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South Africa
Financial Sector Regulation Act, 2017
Levies for Financial Institutions, 2022
General Notice 1258 of 2022
- Published in Government Gazette 46834 on 29 August 2022
- Commenced on 29 August 2022
- [This is the version of this document from 29 August 2022.]
1. Definitions
In this Notice, any word or expression to which a meaning has been assigned in any financial services law, has the meaning so assigned to it and, unless the context indicates otherwise—“Authority” means the Financial Sector Conduct Authority as defined in section 1 of the Financial Sector Regulation Act;“Collective Investment Schemes Control Act” means the Collective Investment Schemes Control Act, 2002 (Act No. 45 of 2002);“commercial umbrella fund” means a fund as defined in section 1(1) of the Pension Funds Act established for the benefit of employees of various employers which are not subsidiaries of a single holding company;“Credit Rating Services Act” means the Credit Rating Services Act, 2012 (Act No 24 of 2012);“Financial Advisory and Intermediary Services Act” means the Financial Advisory and Intermediary Services Act, 2002 (Act No. 37 of 2002);“Financial Markets Act” means the Financial Markets Act, 2012 (Act No. 19 of 2012);“Financial Sector Regulation Act” means the Financial Sector Regulation Act 2017 (Act No. 9 of 2017);“financial services law” means the Act, the Acts referred to in paragraph (a) of the definition of “financial institution” in section 1 of the Act, the Financial Sector Regulation Act and the Insurance Act;“Friendly Societies Act” means the Friendly Societies Act, 1956 (Act No. 25 of 1956);“group” means group of companies as defined in section 1 of the Companies Act 2008 (Act No. 71 of 2008);“Insurance Act” means the Insurance Act, 2017 (Act No. 18 of 2017);“levy year” means the period from 1 April 2022 to 31 March 2023 and, subject to this Notice and any amendment or repeal thereof, such corresponding period in succeeding years, in respect of which levies are imposed;“long-term insurer” means—(a)a licensed insurer as defined in section 1 of the Long-term Insurance Act, and which as at 1 April of the levy year is still licensed in terms of the Insurance Act; or(b)a registered insurer as defined in section 1 of the Long-term Insurance Act, which was not converted to a licence under the Insurance Act as referred to in item 6(5) of Schedule 3 of the Insurance Act, and which as at 1 April of the levy year is still registered or deemed to be registered in terms of the Long-term Insurance Act;“Long-term Insurance Act” means the Long-term Insurance Act, 1998 (Act No. 52 of 1998);“microinsurer” has the meaning assigned to it in section 1 of the Insurance Act;“over-the counter derivative provider” means an over-the counter derivative provider authorised under regulation 2 of the Financial Markets Act Regulations, 2018 published under GN. R98 on 9 February 2018.“Pension Funds Act” means the Pension Funds Act, 1956 (Act No. 24 of 1956);“Short-term Insurance Act” means the Short-term Insurance Act, 1998 (Act No. 53 of 1998);“short-term insurer” means—(a)a licensed insurer as defined in section 1 of the Short-term Insurance Act, and which as at 1 April of the levy year is still licensed in terms of the Insurance Act; or(b)a registered insurer as defined in section 1 of the Short-term Insurance Act, which was not converted to a licence under the Insurance Act as referred to in item 6(5) of Schedule 3 of the Insurance Act, and which as at 1 April of the levy year is still registered or deemed to be registered in terms of the Short-term Insurance Act; and“the Act” means the Financial Services Board Act, 1990 (Act No. 97 of 1990).2. Imposition of levies
The levy specified in a paragraph of this Notice is hereby imposed in respect of the financial institution referred to in that paragraph and in respect of the levy year.3. Levy on pension funds
4. Levy on administrators
5. Levy on retirement annuity funds
6. Levy for Pension Funds Adjudicator
7. Levy on friendly societies
With effect from 1 April 2006, any friendly society registered or provisionally registered in terms of section 3(2)(a) of the Friendly Societies Act, is exempted from the payment of levies.8. Levy on short-term insurers and Lloyd’s underwriters
9. Levy on long-term insurers
10. Levy on collective investment schemes in securities
11. Levy on foreign collective investment schemes
12. Levy on collective investment schemes in property
13. Levy on collective investment schemes in participation bonds
14. Levy on collective investment schemes in hedge funds
15. Levy on authorised financial services providers
16. Levy for funding of Office of Ombud for financial services providers
17. Levy on exchanges
18. Levy on central securities depositories
19. Levy on financial markets in respect of market abuse
20. Levy on over-the counter derivative providers
The levy in respect of an over-the counter derivative provider is a total of R100 000 and is payable on or before 31 August of the levy year.21. Levy on credit rating agencies
General
22. Payment of levies
23. Application for exemption
24. Consolidated payments
Where in any particular levy year, a body regarded by the Authority as fully representative of a category of financial institutions, offers to make a consolidated payment of levies on behalf of that category in terms of an agreement concluded between such category of the financial institutions and the body, the Authority may accept such offer, if the payment is made in accordance with the provisions of this Notice; provided that if for any reason such consolidated payment is not so made on the relevant dates of payment, every individual financial institution concerned shall remain fully responsible for the individual payment payable by it, and interest (if any) on that amount calculated in accordance with paragraph 22(2).25. Withdrawal of notices and saving
26. Short title and commencement
This Notice is called the Levies for Financial Institutions, 2022 and comes into operation on the date of publication in the Government Gazette.History of this document
29 August 2022 this version
Published in Government Gazette 46834
Commenced
Cited documents 11
Act 11
1. | Companies Act, 2008 | 1948 citations |
2. | Pension Funds Act, 1956 | 1574 citations |
3. | Long-term Insurance Act, 1998 | 303 citations |
4. | Financial Advisory and Intermediary Services Act, 2002 | 300 citations |
5. | Short-term Insurance Act, 1998 | 297 citations |
6. | Financial Markets Act, 2012 | 218 citations |
7. | Financial Services Board Act, 1990 | 209 citations |
8. | Collective Investment Schemes Control Act, 2002 | 149 citations |
9. | Financial Sector Regulation Act, 2017 | 123 citations |
10. | Insurance Act, 2017 | 54 citations |