ML 1
Application
and Purpose
ML 1.1
Application
- 01/12/2004
ML 1.1.1
See Notes
- 01/04/2005
- Past version of ML 1.1.1 before 01/04/2005
Who?
ML 1.1.2
See Notes
- 01/12/2001
ML 1.1.3
See Notes
- 01/04/2005
- Past version of ML 1.1.3 before 01/04/2005
What?
ML 1.1.4
See Notes
Where?
ML 1.1.5
See Notes
- 01/12/2001
ML 1.2
Purpose
- 01/12/2004
ML 1.2.1
See Notes
- 01/12/2001
ML 1.2.2
See Notes
- 01/12/2001
ML 1.2.3
See Notes
- 01/12/2001
ML 1.2.4
See Notes
- 01/03/2004
ML 1.2.5
See Notes
- 01/03/2004
Export chapter as
ML 2
General money laundering duties
ML 2.1
Duty to have arrangements and to appoint a money laundering reporting officer
- 01/12/2004
ML 2.1.1
See Notes
- 01/12/2001
ML 2.1.2
See Notes
- 01/12/2001
ML 2.1.3
See Notes
- 01/12/2001
ML 3
Identification
of the client
ML 3.1
The duty
- 01/12/2004
Purpose and meaning of "client"
ML 3.1.1
See Notes
- 01/12/2001
Meaning of "transaction"
ML 3.1.2
See Notes
- 01/12/2001
Identification of the client: the duty
ML 3.1.3
See Notes
- 21/04/2005
- Past version of ML 3.1.3 before 21/04/2005
Financial exclusion
ML 3.1.5
See Notes
- 01/12/2001
ML 3.1.6
See Notes
- 01/12/2001
ML 3.1.7
See Notes
- 01/12/2001
Identification of the client: timing
ML 3.1.8
See Notes
- 01/12/2001
ML 3.1.9
See Notes
- 01/12/2001
ML 3.2
The exceptions
- 01/12/2004
ML 3.2.1
See Notes
- 01/12/2002
When the duty to identify does not apply
ML 3.2.2
See Notes
- 01/03/2004
ML 3.2.3
See Notes
- 01/12/2001
Where the client is acting for another person
ML 3.2.5
See Notes
- 01/03/2004
Relevant overseas regulatory authorities
ML 3.2.7
See Notes
- 01/12/2001
Export chapter as
ML 4
Reporting
ML 4.1
Internal reporting
- 01/12/2004
ML 4.1.1
See Notes
- 01/03/2004
ML 4.1.2
See Notes
- 01/03/2004
ML 4.1.3
See Notes
- 01/12/2001
ML 4.1.4
See Notes
- 01/03/2004
ML 4.2
MLRO access to know your business information
- 01/12/2004
ML 4.2.1
See Notes
- 01/12/2001
ML 4.2.2
See Notes
- 01/12/2001
ML 4.2.3
See Notes
- 01/12/2001
ML 4.3
External reporting
- 01/12/2004
ML 4.3.1
See Notes
- 01/12/2001
ML 4.3.2
See Notes
- 01/03/2004
ML 4.3.3
See Notes
- 01/12/2002
ML 4.3.4
See Notes
- 01/12/2002
ML 5
Using
national and international findings on material deficiencies
ML 5.1
Government and Financial Action Task Force findings
- 01/12/2004
ML 5.1.1
See Notes
- 01/12/2001
ML 5.1.2
See Notes
- 01/12/2001
ML 5.1.3
See Notes
- 01/12/2001
ML 5.1.4
See Notes
- 01/03/2004
ML 6
Awareness
of and training for staff
ML 6.1
Purpose
- 01/12/2004
ML 6.1.1
See Notes
- 01/12/2001
ML 6.2
Awareness
- 01/12/2004
ML 6.2.1
See Notes
- 01/03/2004
ML 6.2.2
See Notes
- 01/12/2001
ML 6.2.3
See Notes
- 01/12/2001
ML 6.2.4
See Notes
- 01/12/2001
ML 6.3
Training
- 01/12/2004
ML 6.3.1
See Notes
- 01/12/2001
ML 6.3.2
See Notes
- 01/12/2001
ML 6.3.3
See Notes
- 01/12/2001
ML 7
The money
laundering reporting officer and other arrangements
ML 7.1
The money laundering reporting officer
- 01/12/2004
MLRO: approval by the FSA and role
ML 7.1.1
See Notes
- 01/12/2001
Firms within a group
ML 7.1.2
See Notes
- 01/12/2001
Delegation by the MLRO to others
ML 7.1.3
See Notes
- 01/12/2001
MLRO as "nominated officer" under Money Laundering Regulations
ML 7.1.4
See Notes
- 01/03/2004
Duty to appoint MLRO
ML 7.1.5
See Notes
- 01/12/2001
ML 7.1.6
See Notes
- 01/12/2001
Qualifications and resources of MLRO
ML 7.1.7
See Notes
- 01/12/2001
ML 7.1.8
See Notes
- 01/12/2001
ML 7.1.9
See Notes
- 01/12/2001
ML 7.1.10
See Notes
- 01/12/2001
Responsibilities of the MLRO
ML 7.1.11
See Notes
- 01/03/2004
ML 7.1.12
See Notes
- 01/12/2001
Duty to appoint MLRO when position vacant
ML 7.1.13
See Notes
- 01/12/2001
ML 7.1.14
See Notes
- 01/12/2001
ML 7.2
Compliance monitoring
- 01/12/2004
ML 7.2.1
See Notes
- 01/03/2004
ML 7.2.2
See Notes
- 01/12/2001
ML 7.2.3
See Notes
- 01/12/2001
ML 7.3
Record keeping arrangements
- 01/12/2004
ML 7.3.1
See Notes
- 01/12/2001
ML 7.3.2
See Notes
- 01/03/2004
ML 7.3.3
See Notes
- 01/12/2001
ML 8
Sole traders and authorised professional firms
ML 8.1
Application of this sourcebook
- 01/12/2004
Sole traders
ML 8.1.1
See Notes
- 01/12/2001
ML 8.1.2
See Notes
Application to certain sole traders (see ML 8.1.1 R)
Chapter | Subject matter | Parts applicable to a sole trader with no employees | |
ML 1 | Application and purpose | The whole chapter | |
ML 2 | The general money laundering duties | The whole chapter | |
ML 3 | Identification of the client | The whole chapter | |
ML 4 | Reporting | Only ML 4.3.4 R applies | |
ML 5 | Findings of deficiencies | The whole chapter | |
ML 6 | Awareness and training | The whole chapter except ML 6.2.1 R (2) | |
ML 7 | The MLRO and other arrangements | Only | |
ML 7.2 | ML 7.3 | ||
Except ML 7.2.2 E (1)(a) and ML 7.2.2 E (1)(b) and ML 7.2.2 E (2) | Except ML 7.3.2 R (1)(d) and ML 7.3.2 R (1)(e) | ||
ML 8 | Sole traders and authorised professional firms | The whole chapter |
- 01/12/2001
Authorised professional firms
ML 8.1.3
See Notes
- 01/12/2001
Transitional Provisions and Schedules
ML TP 1
Schedule
Transitional Provisions
(1) | (2) | (3) | (4) | (5) | (6) |
Material to which the transitional provision applies | Transitional provision | Transitional provision: dates in force | Handbook provision: coming into force | ||
1 |
ML 2.1.1 R
ML 7.1.5 R | R |
(1) Paragraph (2) applies where, immediately before the
commencement
, there is in a
relevant firm
an individual who was appointed by the
relevant firm
before that date to act for it in connection with its responsibilities in relation to money laundering.
(2) If, on commencement , the individual in (1) is approved to perform the money laundering function , nothing in ML 2.1.1 R or ML 7.1.5 R requires the relevant firm to reappoint that individual as its MLRO . | From commencement | Commencement |
2 | ML 3 | R | Where, immediately before commencement , a relevant firm already has an established client relationship with any person, nothing in ML 3 requires the relevant firm to establish the identity of that client . | From commencement | Commencement |
3 | ML | G | Expired |
- 01/04/2005
- Past version of ML TP 1 before 01/04/2005
ML Sch 1
Record keeping requirements
- 01/12/2004
ML Sch 1.1
See Notes
The aim of the guidance in the following table is to give the reader a quick over-all view of the relevant record keeping requirements. |
- 01/12/2004
ML Sch 1.2
See Notes
It is not a complete statement of those requirements and should not be relied on as if it were. |
- 01/12/2004
ML Sch 1.3
See Notes
Handbook reference | Subject of record | Contents of record | When record must be made | Retention period |
ML 7.3.2 R (1)(a) | Customer identification | Full details of evidence of identity | As soon as reasonably practicable after first contact | 5 years from end of relationship with client |
ML 7.3.2 R (1)(b) | Transactions | Full details | On effecting the transaction | 5 years from the date when the transaction was completed |
ML 7.3.2 R (1)(d) | Internal and external reporting | Full details of actions taken | Once actions have been taken | 5 years from the creation of the record |
ML 7.3.2 R (1)(e) | Information not acted upon | Full details of information considered by the MLRO but not made an external report | Once decision not to report has been made | 5 years from the obtaining of the information |
- 01/12/2004
ML Sch 2
Notification requirements
- 01/12/2004
ML Sch 3
Fees and other required payments
- 01/12/2004
ML Sch 3.1
See Notes
There are no requirements for fees or other payments in ML. |
- 01/12/2004
ML Sch 4
Powers exercised
- 01/12/2004
ML Sch 4.1
See Notes
- 01/12/2004
ML Sch 4.2
See Notes
- 01/12/2004
ML Sch 5
Rights of action for damages
- 01/12/2004
ML Sch 5.1
See Notes
The table below sets out the rulesin MLcontravention of which by an authorised person may be actionable under section 150 of the Act (Actions for damages) by a person who suffers loss as a result of the contravention. |
- 01/12/2004
ML Sch 5.2
See Notes
If a "Yes" appears in the column headed "For private person?", the rulemay be actionable by a "private person" under section 150 (or, in certain circumstances, his fiduciary or representative; see article 6(2) and (3)(c) of the Financial Services and Markets Act 2000 (rights of Action) Regulations 2001 (SI 2001 No 2256)). A "Yes" in the column headed "Removed" indicates that the FSA has removed the right action under section 150(2) of the Act. If so, a reference to the rulein which it is removed is also given. |
- 01/12/2004
ML Sch 5.3
See Notes
The Column headed "For other person?" indicates whether the rulemay be actionable by apersonother than a private person (or his fiduciary or representative) under article 6(2) and (3) of those Regulations. If so, an indication of the type of person by whom the rulemay be actionable is given. |
- 01/12/2004
ML Sch 5.4
See Notes
- 01/12/2004
ML Sch 6
Rules that can be waived
- 01/12/2004
ML Sch 6.1
See Notes
- 01/12/2004