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Home > Prudential Regulation Authority > Internal governance - SS21/15 UPDATED

Internal governance - SS21/15 UPDATED

02 April 2015

3 August 2015 - Content on this page has been updated, see:

Internal governance - SS21/15 UPDATE

For information only, the original publication issued on 2 April 2014 is available below.

This supervisory statement is relevant to banks, building societies and Prudential Regulation Authority (PRA) designated investment firms. It sets out the PRA’s expectations of how firms should comply with the rules in the General Organisational Requirements, Skills, Knowledge and Expertise, Compliance and Internal Audit, Risk Control, Outsourcing and Record Keeping Parts of the PRA Rulebook.

Internal governance - SS21/15