【中英文对照版】期货公司首席风险官管理规定(2022修正).docx
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1、期货公司首席风险官管理规定(2022修正)Administrative Provisions on Chief Risk Officers ofFutures Companies (2022 Amendment)发布部门:中国证券监督管理委员会发文字号:中国证券监督管理委员会公告(2022) 43号发布日期:实施日期:效力级别:部门规范性文件法规类别:期货交易机构Issuing Authority: China Securities Regulatory CommissionDocument Number: Announcement No.43 2022 of the China Securi
2、ties Regulatory CommissionDate Issued: 08-12-2022EfTective Date: 08-12-2022Level of Authority: Departmental Regulatory DocumentsArea of Law: Futures Trading Institutions期货公司首席风险官管理规定期货公司首席风险官管理规定(2008年3月27日中国证券监督管理 委员会公告(2008) 10号公布,根据 2022年8月12日中国证券监督管理委 员会公告(2022) 43号关于修改、 废止局部证券期货规范性文件的决定 修正)Admi
3、nistrative Provisions on Chief Risk Officers of Futures Companies(Issued by the Announcement No. 10 2008 of the China Securities Regulatory Commission on March 27, 2008; and amended in accordance with the Decision to Amend and Repeal Certain Securities and Futures Regulatory Documents by the Announc
4、ement No. 43 2022 of the China Securities Regulatory Commission on August 12, 2022)第一章总那么第一条为了完善期货公司治理Chapter I General ProvisionsArticle 1 These Provisions are developed in accordance with(6)0thcr circumstances as prescribed by the CSRC.(六)中国证监会规定的其他情形。As to the aforesaid circumstances, the futures
5、 company shall make a rectification under the rectification opinions of the institution dispatched by the CSRC to the place where the company is located. The chief risk officer shall help the company with the rectification and report the relevant information to the institution dispatched by the CSRC
6、 to the place where the company is located.对上述情形,期货公司应当按照公司住 所地中国证监会派出机构的整改意见进 行整改。首席风险官应当配合整改,并 将整改情况向公司住所地中国证监会派 出机构报告。Article 25 For performing the duties, a chief risk officer shall be empowered第二十五条首席风险官根据履 行职责的需要,享有以下职权:(l)to attend or observe the meetings relevant to his performance of duties
7、;(一)参加或者列席与其履职相关的会 议;(2)to consult the relevant documents, archives and materials of the futures company;(二)查阅期货公司的相关文件、档案 和资料;(3) to talk with relevant persons of the futures company, and relevant persons of the institutions providing audit, legal service and other intermediary services to the futu
8、res company;(三)与期货公司有关人员、为期货公 司提供审计、法律等中介服务的机构的 有关人员进行谈话;(4)to acquaint himself with the business operations of the futures company; and(四)了解期货公司业务执行情况;(5)to exercise other powers as stated in the articles of association of the company.(五)公司章程规定的其他职权。Article 26 The directors, senior managers and all
9、 departments of a futures company shall support and help the chief risk officer with his work. None of them may restrict or obstruct the chief risk officers performance of his duties under the excuse of involving business secrets, etc.第二十六条期货公司董事、高 级管理人员、各部门应当支持和配合首 席风险官的工作,不得以涉及商业秘密 或者其他理由限制、阻挠首席风险
10、官履 行职责。10第二十七条期货公司股东、董 事不得违反公司规定的程序,越过董事 会直接向首席风险官下达指令或者干涉 首席风险官的工作。第四章监督管理第二十八条首席风险官应当在 每季度结束之日起10个工作日内向公 司住所地中国证监会派出机构提交季度 工作报告;每年1月20日前向公司住 所地中国证监会派出机构提交上一年度 全面工作报告,报告期货公司合规经 营、风险管理状况和内部控制状况,以 及首席风险官的履行职责情况,包括首 席风险官所作的尽职调查、提出的整改 意见以及期货公司整改效果等内容。第二十九条首席风险官不履行 职责或者有第十三条所列行为的,中国 证监会及其派出机构可以依照期货公 司董事
11、、监事和高级管理人员任职管理 方法对首席风险官采取监管谈话、出 具警示函、责令更换等监管措施;情节 严重的,认定其为不适当人选。Article 27 None of the shareholders or directors of a futures company may, in violation of the procedures as prescribed by the company, directly give orders to the chief risk officer or interfere with his work by exceeding the board of
12、directors.Chapter IV Supervision and AdministrationArticle 28 A chief risk officer shall, within 10 working days after the end of each quarter, submit a quarterly work report to the institution dispatched by the CSRC to the place where the company is located. He shall, prior to January 2() each year
13、, submit to the institution dispatched by the CSRC to the place where the company is located an annual all-round work report about the compliance, risk management and internal control of the futures company and his performance of the chief risk officers duties, including the duteous investigations h
14、e made, the rectification opinions he put forward and rectification effects of the futures company.Article 29 Where a chief risk officer fails to perform his or her duties or commits any of the acts as set forth in Article 13, the CSRC and its local office may, in accordance with the Measures for th
15、e Office-Holding Administration of the Directors, Supervisors, and Officers of Futures Companies, take such regulatory measures as holding regulatory interview with him or her, issuing a letter of caution, and ordering the company to replace him or her; and if the circumstances are serious, determin
16、e him or her as unfit for the position.Within 2 years after he is considered as an improper person, no futures company may appoint him as a director, supervisor or senior manager.自被中国证监会及其派出机构认定为不 适当人选之日起2年内,任何期货公司 不得任用该人员担任董事、监事和高级 管理人员。11Article 30 Where a futures company commits any serious viola
17、tion or faces any serious risk, if the chief risk officer fails to timely perform the reporting obligation as required by these Provisions, he shall be subject to the corresponding legal liabilities. However, if he has performed the reporting obligation as required, the CSRC may give him a lighter o
18、r mitigated administrative punishment or exempt him from the administrative punishment.第三十条 期货公司发生严重违 规或者出现重大风险,首席风险官未及 时履行本规定所要求的报告义务的,应 当依法承当相应的法律责任。但首席风 险官已按照要求履行报告义务的,中国 证监会可以从轻、减轻或者免予行政处 罚。Article 31 Where any of the shareholders, directors or management level of a futures company restricts or
19、obstructs the chief risk officers normal work, the chief risk officer may report to the institution dispatched by the CSRC, the institution dispatched by the CSRC shall investigate and deal with the issue.第三十一条期货公司股东、董 事和经理层限制、阻挠首席风险官正常 开展工作的,首席风险官可以向中国证 监会派出机构报告,中国证监会派出机 构依法进行调查和处理。Article 32 If a
20、chief risk officer is dismissed due to his proper performance of duties, the CSRC and its dispatched institution may take corresponding supervisory measures against the futures company and relevant liable persons.第三十二条首席风险官因正当 履行职责而被解聘的,中国证监会及其 派出机构可以依法对期货公司及相关责 任人员采取相应的监管措施。Article 33 The CSRC and
21、its local office shall record the following matters in the credit archives of the futures company and the chief risk officer:第三十三条中国证监会及其派 出机构将以下事项记入期货公司及首席 风险官诚信档案:(1) The regulatory measures taken by the CSRC and its local office against the chief risk officer.(一)中国证监会及其派出机构对首席 风险官采取的监管措施;(2) Othe
22、r matters relevant to the chief risk officer as determined by the CSRC and its local office.()中国证监会及其派出机构认定的 与首席风险官有关的其他事项。12第五章附那么Chapter V Supplementary ProvisionsArticle 34 These Provisions shall come into force as of May 1,第三十四条 本规定自 2008 年 52008.月1日起施行。13the Futures and Derivatives Law of the P
23、eoples Republic of China, the Regulation on the Administration of Futures Trading, the Measures for the Supervision and Administration of Futures Companies, and the Measures for the Office- Holding Administration of the Directors, Supervisors, and Officers of Futures Companies for the purposes of im
24、proving the governance structure of futures companies, strengthening internal control and risk management, promoting the steady and sound operations of futures companies in accordance with the law, and safeguarding the lawful rights and interests of futures traders.结构,加强内部控制和风险管理,促进 期货公司依法稳健经营,维护期货交
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