PINS Schedule 1 Guidance about what should be included in insurer's risk management policy
(see r 2.3.1 (5))
Note for sch 1
This Schedule sets out in detail what the Regulatory Authority expects to see in an insurer's risk management policy. Each Part deals with a risk that the insurer is required to address under r 2.3.1 by first describing the risk and then stating what, in the authority's view, should be included in the policy in relation to the risk.
|Inserted by QFCRA RM/2013-1 and amended by Editorial changes (as from 1st January 2015).|