SECURITIES COMMISSION OF THE BAHAMAS



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Form - 8 SIR/AD/RF MARCH 2012 SECURITIES COMMISSION 3rd Floor, Charlotte House Tel: (242) 397-4100 Shirley & Charlotte Streets Fax: (242) 356-7530 P.O. Box N-8347 E-mail: info@scb.gov.bs Nassau, Bahamas Website: www.scb.gov.bs FORM 8 Application for Registration as a Registered Firm General Instructions: Please complete all relevant sections; where the allocated space is insufficient, you may continue on a separate page and attach to the completed form. All supporting information and attached pages should be appropriately numbered and the referenced in the form and the reference index attached. See detailed list of required attachments on page 6. This form should be certified by the Chief Executive Officer and Treasurer (see the Attestation on page 5.) Completed applications should be submitted to: The Authorizations Department Securities Commission of The Bahamas 3rd Floor, Charlotte House Shirley & Charlotte Streets P.O. Box N-8347 Nassau, Bahamas WARNING Intentional misstatement or failure to disclose information may constitute an offence. 1. Name of 2. Type of Registration Application 3. Full Business Contact Details of State full legal name of the firm. State the securities business(es) for which registration is sought. Dealing as agent only, including underwriting Dealing as agent or principal, including underwriting Arranging deals in securities Managing securities on a discretionary basis Advising on securities State the s principal business address and provide email address(es), telephone and fax numbers. If the operates at more than one address in The Bahamas, provide details for each office. Primary Business Address Address 1: Address 1: Secondary Business Address Address 2: Address 2: PROPERTY OF THE SECURITIES COMMISSION 1

Telephone: Fax: Telephone: Fax: Registered Office (If different from Business Address) Address 1: Street: Telephone: Fax: 4. Full Details on Security Holders, Directors, and Officers (a) Provide a completed Form 4 for each security holder, director and officer of the. Note that where the is a publicly traded entity in The Bahamas or elsewhere, the Form 4 is only required to be provided for significant security holders of the. (b) If the securities of the are traded on a securities exchange in any jurisdiction, provide full details of listing. Name of Exchange Jurisdiction Type of Securities Number of Securities Any Other Information (c) (Provide a list of Affiliates of the and indicate nature of relationship, business the affiliate is in, where incorporated etc.) Affiliate Name (Full legal name) Nature of Relationship Business of Affiliate Country and Date of Incorporation 5. Full Details on Persons to be Carrying on Securities Business on Behalf of 6. Discipline History Provide a completed Form 9 for each person who is to carry on securities business on behalf of the, including Chief Executive Officer, the Compliance Officer and any representative to be registered. State whether the or any director, officer or significant security holder of the has ever been disciplined as below. If so please provide full details: a. Disciplined by any stock exchange, regulatory authority or professional association in any jurisdiction or been denied admission, registration or renewal or had its membership or registration revoked; Yes No b. Declared bankrupt, been convicted of a crime or been sued under any commercial law, securities law, companies law or law concerning fraud; c. Involved with application for regulatory approval in any jurisdiction where that application has been refused or withdrawn; Yes Yes No No PROPERTY OF THE SECURITIES COMMISSION 2

d. Dismissed from any office or employment or barred from entry to any profession or occupation; and e. Compulsorily wound up or made any arrangement with its creditors or ceased trading in circumstances where its creditors did not receive or have not yet received full settlement of their claims. Yes Yes No No Details: (If necessary you may continue on a separate page and attach to completed form.) 7. Operational Capabilities Provide a detailed description of the s operational capabilities, including the physical premises, risk management systems, banking, clearing and custody arrangements, inclusive of communication capabilities, as applicable. Provide names and addresses of principal bankers, custodians and other service providers. (If necessary you may continue on a separate page and attach to completed form.) Principal Banker Custodian Address 1: Address 1: Telephone: Telephone: Service Provider Service Provider Address 1: Address 1: Telephone: Telephone: Other Operational Details (Including the physical premises, risk management systems, banking, clearing and custody arrangement and communication capabilities, as applicable. Detailed information on each of the identified areas should be provided on a separate sheet and attached to the completed form. 8. Policies and Procedures Provide a summary of the s written supervisory, internal controls and risk management policies and procedures, including portfolio management, front and back office operations, operational controls, reporting policies, code of conduct, etc. as applicable. Attach a complete copy of these policies and procedures. PROPERTY OF THE SECURITIES COMMISSION 3

9. Financial Statements The following must be submitted with the completed application) 1. Where the has been established within six months of the date of the application and the has not commenced operations (a) a statement from a senior officer of the confirming that the has not commenced trading since the date of the establishment and that no financial statements have been produced or dividends declared; and (b) an audited statement of financial position showing the minimum financial resources required as at a date not more than 21 days before the date of the application 2. For all other s (a) audited financial statements for the two financial years immediately prior to the date of the application or, if shorter, since the date of the establishment; (b) the auditor s report accompanying the financial statements; and (c) the most recent interim financial statements certified by the Chief Executive Officer and the Treasurer to be true and complete. 3. If the has any significant security holders that are companies, the must also submit for each such security holder (a) audited financial statements for the two financial years immediately prior to the date of the application or, if shorter, since the date of the establishment; (b) the auditor s report accompanying the financial statements; and (c) the most recent interim financial statements certified by the Chief Executive Officer and the Treasurer to be true and complete. 10. Other Regulatory Approvals If the is registered, licensed or authorized by any other regulatory authority in The Bahamas or Elsewhere, provide details of that status below. 11. Business Plans Provide summary of the s business plan for the next three years, which shall include financial and operational projections and staffing requirements, a description of the products and services offered and the method by which they are to be offered, and the nature of the clientele of the firm. Attach a complete copy of the detailed plan. PROPERTY OF THE SECURITIES COMMISSION 4

12. Contact Person at Give the name, business telephone number and email address of a senior official of the who is knowledgeable abut the application and who may be contacted to discuss it. Surname, First, Middle Business Telephone: ATTESTATION: We, the undersigned, hereby affirm that to the best of our information, knowledge and belief that: a. The is currently in compliance with all the applicable provisions of the Act and these Regulations; and b. The contents of this form and any attachments provided with this form are true, correct and not misleading Chief Executive Officer Treasurer PRINT NAME (Surname, First, Middle) SIGNATURE PRINT NAME (Surname, First, Middle) SIGNATURE DATE DATE PROPERTY OF THE SECURITIES COMMISSION 5

Required Attachments: 1. Copy of the s written supervisory, internal controls and risk management policies and procedures. 2. The arrangements made for execution and settlement of securities transactions on behalf of customers 3. An organizational chart for the firm together with job descriptions for each position. (Include total number of employees in the company). 4. Evidence if the s good standing with the Registrar of Companies. 5. Certified copy of the s Memorandum and Articles of Association or equivalent incorporation documents. 6. Copies of required financial statements. 7. Evidence that the company has adequate indemnity insurance of behalf of its directors, officers and employees. 8. Evidence of the s registration with any other regulatory authority, if applicable. 9. Copy of the s detailed business plan for the next three years, which shall include financial and operational projections, staffing requirements, a description of the products and services offered and the method by which they are to be offered, and the nature of the clientele of the firm. 10. Completed Form 4 for each security holder, director and officer. 11. Completed Form 9 for the Chief Executive Officer, Compliance Officer and each representative to be registered to act for the firm. 12. An application fee must be submitted with this application. The appropriate fee can be found in the Fee Rule. PROPERTY OF THE SECURITIES COMMISSION 6