{"kind":"expression","expression":{"expr_id":"326","doc_id":"326","label":"Act 10 of 2014","is_as_enacted":"t","commenced_on":null,"superseded_on":null,"valid_from":null,"valid_to":null,"is_current":"t","incorporating":null,"akn_expr_iri":"\/akn\/ky\/act\/2014\/10\/eng@2014-01-01","akn_envelope":"{\"_canary\": {\"iri\": {\"work\": \"\/akn\/ky\/act\/2014\/10\", \"expression\": \"\/akn\/ky\/act\/2014\/10\/eng@2014-01-01\", \"manifestation\": \"\/akn\/ky\/act\/2014\/10\/eng@2014-01-01.pdf\"}, \"pdf\": {\"md5\": \"932985db74ccdf708ae1171fc26f29cd\", \"path\": \"\/Users\/q\/kyleg-data\/working\/PRINCIPAL\/2014\/2014-0010\/2014-0010_Act 10 of 2014.pdf\", \"pages\": 19, \"filename\": \"2014-0010_Act 10 of 2014.pdf\"}, \"errors\": [], \"extraction\": {\"model\": null, \"stats\": {\"word_count\": 5370, \"paragraph_count\": 30, \"text_char_count\": 35199}, \"usage\": null, \"method\": \"pymupdf-text\", \"version\": \"kyleg-akn-1.0\", \"extracted_at\": \"2026-06-22\"}, \"classification\": \"text_layer\", \"validation_flags\": [], \"docai_processor_id\": null}, \"akomaNtoso\": {\"act\": {\"body\": [{\"eId\": \"sec_n1\", \"num\": null, \"text\": \"Directors Registration and Licensing Law, 2014 Law 10 of 2014 PART IV - CORPORATE DIRECTORS 17. 18. 19. 20. 21. 22. PART V - POWERS AND DUTIES OF THE AUTHORITY 23. 24. 25. 26. PART VI - MISCELLANEOUS 27. 28. 29. SCHEDULE LIST OF OVERSEAS REGULATORY AUTHORITIES Directors Registration and Licensing Law, 2014 Law 10 of 2014 DIRECTORS REGISTRATION AND LICENSING LAW, 2014 (Law 10 of 2014) A LAW TO MAKE PROVISION FOR THE ESTABLISHMENT OF A REGISTRATION REGIME FOR DIRECTORS AND A LICENSING REGIME FOR PROFESSIONAL DIRECTORS AND CORPORATE DIRECTORS OF MUTUAL FUNDS REGULATED UNDER THE MUTUAL FUNDS LAW (2013 REVISION) AND PERSONS TO WHOM PARAGRAPHS 1 AND 4 OF SCHEDULE 4 OF THE SECURITIES INVESTMENT BUSINESS LAW (2011 REVISION) APPLIES; AND FOR INCIDENTAL AND CONNECTED PURPOSES ENACTED by the Legislature of the Cayman Islands. PART I - PRELIMINARY\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_1\", \"num\": \"1.\", \"text\": \"Short title and commencement 1. (1) This Law may be cited as the Directors Registration and Licensing Law, 2014. (2) This Law shall come into force on such date as may be appointed by Order made by the Cabinet and different dates may be appointed for different provisions of this Law and in relation to different matters. Directors Registration and Licensing Law, 2014 Law 10 of 2014\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_2\", \"num\": \"2.\", \"text\": \"Interpretation 2. In this Law \u2014 \u201cAuthority\u201d means the Cayman Islands Monetary Authority established under section 5(1) of the Monetary Authority Law (2013 Revision); \u201ccompanies management licence\u201d means a companies management licence issued pursuant to the Companies Management Law (2003 Revision); \u201ccorporate director\u201d means a body corporate appointed as a director for a covered entity; \u201ccovered entity\u201d means \u2014 (a) a company to which paragraphs 1 and 4 of Schedule 4 of the Securities Investment Business Law (2011 Revision) apply; or (b) a mutual fund regulated under the Mutual Funds Law (2013 Revision); \u201cfund manager\u201d means a person providing investment management services or investment advisory services or a promoter under the Mutual Funds Law (2013 Revision); \u201cinsurer\u201d means an insurer licensed under the Insurance Law, 2010 [Law 32 of 2010] to carry on insurance business within the meaning of that Law or any other insurer acceptable to the Authority; \u201cmutual fund administrators licence\u201d means a mutual fund administrators licence issued pursuant to the Mutual Funds Law (2013 Revision); \u201cprofessional director\u201d means a natural person appointed as a director for twenty or more covered entities; and \u201cregistered director\u201d means a natural person who is registered under this Law.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_3\", \"num\": \"3.\", \"text\": \"Application 3. This Law applies to a registered director, a professional director and a corporate director of a covered entity in the Islands, whether or not that registered director, professional director or corporate director is resident in the Islands. PART II - REGISTERED DIRECTORS\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_4\", \"num\": \"4.\", \"text\": \"Prohibition from acting as a director unless registered 4. (1) A natural person appointed as a director of a covered entity shall not, subject to subsection (4), act in that capacity unless registered under this Law. (2) A natural person who, on or after the date of commencement of this Law, is proposed to be appointed as a director of a covered entity shall not be appointed to act in that capacity unless registered by the Authority. Directors Registration and Licensing Law, 2014 Law 10 of 2014 (3) Subject to subsection (4) a natural person who, prior to the date of commencement of this Law, is a director of a covered entity shall not continue to act in that capacity on or after that date unless he makes an application for registration, and is registered as a director, by the Authority. (4) A natural person to whom subsection (3) applies shall not be in contravention of this Law if that person is registered within three months of the date of commencement of this Law. (5) A natural person who contravenes this section commits an offence and is liable on summary conviction to a fine of fifty thousand dollars or to imprisonment for twelve months, or to both.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_5\", \"num\": \"5.\", \"text\": \"Application for registration 5. (1) An application for registration shall be made, in the prescribed form, to the Authority and shall be accompanied by the prescribed application fee. (2) An applicant shall comply with a request made by the Authority for information \u2014 (a) that relates to his appointment as a director of a covered entity; (b) necessary to the Authority for the purposes of registration; or (c) that the Authority may reasonably require for the exercise of its regulatory functions under this Law or the Monetary Authority Law (2013 Revision). (3) An application fee paid to the Authority for registration is non-refundable. (4) Upon submitting an application for registration to the Authority, an applicant may continue to act as a director of a covered entity until the applicant is registered by the Authority under section 6 but that applicant shall, in the time prescribed, cease to act as a director of a covered entity if, for any reason, the application for registration is refused.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_6\", \"num\": \"6.\", \"text\": \"Registration by the Authority 6. (1) The Authority may register an applicant if satisfied that the applicant has provided to the Authority the information in the prescribed form and paid to the Authority any applicable fees that may be prescribed. (2) Each registered director shall, on or before the 15th January in each calendar year, provide to the Authority the information in the prescribed form and pay to the Authority the prescribed annual fee, and there shall be payable by a registered director who fails to pay the prescribed annual fee by that date, a surcharge of one-twelfth of that fee for every month or part of a month after the 15th January in each year that the fee is not paid. Directors Registration and Licensing Law, 2014 Law 10 of 2014 (3) If there is any change in the information provided to the Authority for the registration of a director, the registered director shall within twenty-one days of the change, inform the Authority of the change. (4) A registered director who acts in contravention of subsection (3) commits an offence and is liable on summary conviction to a fine of twenty thousand dollars.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_7\", \"num\": \"7.\", \"text\": \"Authority may refuse to register 7. The Authority may refuse to register an applicant if the Authority has information that the applicant \u2014 (a) has been convicted of a criminal offence involving fraud or dishonesty; or (b) is the subject of an adverse finding, financial penalty, sanction or disciplinary action by a regulator, self-regulatory organization or a professional disciplinary body.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_8\", \"num\": \"8.\", \"text\": \"Consequence of refusal of registration 8. (1) Where the Authority refuses to register an applicant under this Part, the applicant shall not serve as a director for any covered entity. (2) Notwithstanding subsection (1), a person who is refused registration by the Authority may re-apply for registration if there is a material change in the circumstances relevant to the application. PART III - PROFESSIONAL DIRECTORS\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_9\", \"num\": \"9.\", \"text\": \"Prohibition from acting as professional director unless licensed 9. (1) No natural person shall be a professional director unless, subject to subsection (4), that person holds a valid licence issued under this Law. (2) A natural person who, on or after the date of commencement of this Law, proposes to be a professional director shall not be or carry on business as a professional director unless that person holds a valid licence issued under this Law by the Authority. (3) Subject to subsection (4) a natural person who, prior to the date of commencement of this Law, is a professional director shall not continue to act in that capacity on or after that date unless he is licensed by the Authority. (4) A natural person to whom subsection (3) applies shall not be in contravention of this Law if that person is licensed within three months of the date of commencement of this Law. Directors Registration and Licensing Law, 2014 Law 10 of 2014 (5) A person who contravenes this section commits an offence and is liable on summary conviction to a fine of one hundred thousand dollars and to imprisonment for twelve months, or to both. (6) The Cabinet may by Order amend the Schedule.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_10\", \"num\": \"10.\", \"text\": \"Application for a licence as a professional director 10. (1) An application for a licence shall be made to the Authority, in the prescribed form and shall be accompanied by the prescribed application fee. (2) An applicant shall comply with any requests made by the Authority for information \u2014 (a) that relates to his appointment as a director of a covered entity; (b) necessary to the Authority for the purposes of licensing; or (c) that the Authority may reasonably require for the exercise of its regulatory functions under this Law or the Monetary Authority Law (2013 Revision). (3) An application fee paid to the Authority for licensing as a professional director is non- refundable. (4) Upon submitting an application for a licence under this Part to the Authority, an applicant may continue to act as a professional director until the applicant is granted a licence by the Authority under section 11 but that applicant shall in the time prescribed cease to act as a professional director if, for any reason, the application for a licence is refused.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_11\", \"num\": \"11.\", \"text\": \"Licensing by the Authority 11. (1) The Authority may grant a licence with or without conditions as the Authority may consider appropriate. (2) The Authority may not grant a licence to an applicant unless it is satisfied \u2014 (a) that the applicant has sufficient capacity to carry out the applicant\u2019s duties as a professional director; and (b) that the applicant is a fit and proper person for licensing as a professional director.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_12\", \"num\": \"12.\", \"text\": \"Determination of fitness and propriety 12. In determining for the purposes of this Part whether a natural person is a fit and proper person, regard shall be had to all circumstances, including that person\u2019s \u2014 (a) honesty, integrity and reputation; (b) competence and capability; and (c) financial soundness. Directors Registration and Licensing Law, 2014 Law 10 of 2014\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_13\", \"num\": \"13.\", \"text\": \"Consequence of refusal to license a professional director 13. (1) Where the Authority refuses to grant a licence to an applicant under this Part, the applicant shall not serve as a professional director for any covered entity. (2) Notwithstanding subsection (1), if there is a material change in the circumstances relevant to an application, a professional director who is refused a licence by the Authority may re-apply for a licence.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_14\", \"num\": \"14.\", \"text\": \"Licence fees 14. (1) A professional director who is granted a licence under this Part shall upon the grant of the licence \u2014 (a) pay the prescribed licence fee to the Authority; and (b) comply with the conditions of the licence. (2) Each licensed professional director shall, on or before the 15th January in each calendar year, provide to the Authority the information in the prescribed form and pay to the Authority the prescribed annual fee, and there shall be payable by a licensed professional director who fails to pay the prescribed annual fee by that date, a surcharge of one-twelfth of that fee for every month or part of a month after the 15th January in each year that the fee is not paid. (3) If there is any change in the information provided to the Authority for the grant of a licence, a professional director shall within twenty-one days of the change, inform the Authority of the change. (4) A professional director who acts in contravention of subsection (3) commits an offence and is liable on summary conviction to a fine of twenty thousand dollars.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_15\", \"num\": \"15.\", \"text\": \"Insurance 15. (1) A professional director shall at all times be covered by insurance with an insurer, to cover loss arising from claims in respect of civil liability incurred in connection with the business of the professional director, in an amount which is a minimum aggregate cover of one million dollars and a minimum cover of one million dollars for each and every claim. (2) A professional director shall file with the Authority current details of the insurance required under subsection (1).\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_16\", \"num\": \"16.\", \"text\": \"Exemption from licensing 16. (1) A director of a covered entity who is a natural person and is a director, an employee, a member, an officer, a partner, or a shareholder of a holder of a companies management licence or a mutual funds administrators licence is not required to be licensed as a professional director but is required to be registered under section 6. Directors Registration and Licensing Law, 2014 Law 10 of 2014 (2) A director of a covered entity who is a natural person and is a director, an employee, a member, an officer, a partner, or a shareholder of a fund manager of a mutual fund regulated under the Mutual Funds Law (2013 Revision) and that fund manager is registered or licensed by an overseas regulatory authority listed in the Schedule, is not required to be licensed as a professional director if the person \u2014 (a) acts as a director for a covered entity by virtue of the person\u2019s relationship to that fund manager; and (b) is registered pursuant to section 6. PART IV - CORPORATE DIRECTORS\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_17\", \"num\": \"17.\", \"text\": \"Corporate directors 17. (1) A corporate director appointed as a director of a covered entity shall not, subject to section 22, act in that capacity unless licensed as a corporate director under this Law. (2) A corporate director who, on or after the date of commencement of this Law, is proposed to be appointed as a director of a covered entity shall not be appointed to act in that capacity unless licensed as a corporate director under this Law. (3) A corporate director that contravenes this section commits an offence and is liable on summary conviction to a fine of one hundred thousand dollars. (4) An offence is not committed under subsection (3) by the holder of \u2014 (a) a companies management licence; or (b) a mutual fund administrators licence, if the holder of the licence is providing directors to or acting as a director for a client which is a covered entity.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_18\", \"num\": \"18.\", \"text\": \"Application for a licence as a corporate director 18. (1) The Authority may grant a licence under this Law to a corporate director with or without conditions as the Authority may consider appropriate. (2) The Authority may not grant a licence to an applicant unless the Authority is satisfied \u2014 (a) that the applicant has sufficient capacity to carry out the applicant\u2019s duties as a corporate director; and (b) that the applicant is a fit and proper person for licensing as a corporate director. Directors Registration and Licensing Law, 2014 Law 10 of 2014 (3) An application for a licence by a corporate director shall be made to the Authority, in the prescribed form and shall be accompanied by the prescribed fee. (4) An application fee paid to the Authority for licensing as a corporate director is non-refundable. (5) An applicant shall comply with any requests made by the Authority for information \u2014 (a) that relates to the applicant\u2019s appointment as a director of a covered entity; (b) necessary to the Authority for the purposes of licensing; or (c) that the Authority may reasonably require for the exercise of its regulatory functions under this Law. (6) Upon submitting an application for a licence under this Part to the Authority, an applicant may continue to act as a corporate director until the applicant is granted a licence by the Authority under subsection (1) but that applicant shall, in the time prescribed, cease to act as a corporate director if, for any reason, the application for a licence is refused. (7) Each licensed corporate director shall, on or before the 15th January in each calendar year, provide to the Authority the information in the prescribed form and pay to the Authority the prescribed annual fee, and there shall be payable by a licensed corporate director who fails to pay the prescribed annual fee by that date, a surcharge of one-twelfth of that fee for every month or part of a month after the 15th January in each year that the fee is not paid. (8) If there is any change in the information provided to the Authority for the grant of a licence under this Part, a corporate director shall within twenty-one days of the change, inform the Authority of the change. (9) A corporate director who acts in contravention of subsection (8) commits an offence and is liable on summary conviction to a fine of twenty thousand dollars.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_19\", \"num\": \"19.\", \"text\": \"Consequence of refusal to license a corporate director 19. (1) Where the Authority refuses to grant a licence to an applicant under this Part, the applicant shall not serve as a corporate director for any covered entity. (2) Notwithstanding subsection (1), if there is a material change in the circumstances relevant to an application, a corporate director who is refused a licence by the Authority may re-apply for a licence. Directors Registration and Licensing Law, 2014 Law 10 of 2014\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_20\", \"num\": \"20.\", \"text\": \"Corporate director licensing regime 20. (1) In addition to any other requirements under section 18, a corporate director shall \u2014 (a) be registered as an ordinary resident company, an ordinary non-resident company, an exempted company or foreign company in accordance with the Companies Law (2013 Revision); (b) appoint to its board at least two natural persons who are registered or licensed under this Law; (c) before the appointment of any new or additional person to its board, apply to the Authority for its written approval of that appointment. (2) A corporate director is not required to be registered under section 5 of the Securities Investment Business Law (2011 Revision) where that registration is required solely as a result of registration as a foreign company pursuant to subsection (1)(a). (3) A person to whom subsection (1)(c) refers shall be registered or licensed as required under this Law. (4) The Authority may refuse an appointment under subsection (1)(b) or (c) if the Authority is of the opinion that the person is not a fit and proper person. (5) In determining for the purposes of this Part whether a person is a fit and proper person, regard shall be had to all circumstances, including that person\u2019s \u2014 (a) honesty, integrity and reputation; (b) competence and capability; and (c) financial soundness.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_21\", \"num\": \"21.\", \"text\": \"Further requirements 21. (1) The subsidiary, whether wholly owned or otherwise, of \u2014 (a) a corporate director; (b) the holder of a mutual funds administrators licence; or (c) the holder of a companies management licence, that is appointed to act as a director of a covered entity shall be licensed under this Law unless that subsidiary holds a mutual funds administrators licence or a companies management licence. (2) A corporate director shall at all times be covered by insurance with an insurer, to cover loss arising from claims in respect of civil liability incurred in connection with the business of the corporate director, in an amount which is a minimum aggregate cover of one million dollars and a minimum cover of one million dollars for each and every claim. Directors Registration and Licensing Law, 2014 Law 10 of 2014 (3) A corporate director shall file with the Authority current details of the insurance required under subsection (2).\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_22\", \"num\": \"22.\", \"text\": \"Transition of corporate director 22. A corporate director who, prior to the date of commencement of this Law, is a corporate director of a covered entity shall not be in contravention of this Law if that corporate director, within six months of the commencement of this Law, takes all necessary steps to comply with this Law. PART V - POWERS AND DUTIES OF THE AUTHORITY\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_23\", \"num\": \"23.\", \"text\": \"Duty to maintain register 23. The Authority shall maintain a register of directors of covered entities which shall contain the particulars of each registered director, professional director or corporate director, under this Law which may include but are not limited to \u2014 (a) the name and address; (b) the location of the registered office; (c) the date of registration or the date on which a licence was issued, whichever is applicable; and (d) any other information that may be prescribed.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_24\", \"num\": \"24.\", \"text\": \"Powers of the Authority 24. (1) The Authority shall \u2014 (a) maintain a general review of the requirements for the qualification of directors of covered entities in the Islands and make recommendations to the Cabinet necessary with respect to the making of regulations under this Law; (b) examine the capacity of registered directors, professional directors and corporate directors to carry out their duties and responsibilities as directors of covered entities and to give directions where necessary; (c) examine and determine applications for registration and licences; (d) act as the adviser to the Cabinet and take all necessary action to ensure the proper and just implementation of this Law; and (e) whenever the Authority considers it necessary, examine, by way of scrutiny of prescribed regular returns or on-site inspections, or in such other manner as the Authority may determine, the affairs or business of any registered director, professional or corporate director for the purpose of a general review of directorship services in the Islands or for the Directors Registration and Licensing Law, 2014 Law 10 of 2014 purpose of satisfying itself that this Law and any regulation made under this Law are being complied with. (2) In the performance of its functions under this Law, the Authority may, at all reasonable times, require \u2014 (a) a person whom the Authority reasonably believes is acting as a director of a covered entity in contravention of this Law; (b) a registered director, professional director or corporate director; or (c) any person whom the Authority reasonably believes has relevant information relating to (a) or (b), to provide access to and allow copies to be made of any books, records or documents that the Authority may reasonably require and to furnish any information or explanation the Authority may reasonably require for the performance of its functions under this Law or the Monetary Authority Law (2013 Revision). (3) If the Authority considers there are reasonable grounds for believing that an offence against this Law has been committed, the Authority may apply to the Court for any order which is necessary to facilitate the investigation of the offence. (4) A person who fails to comply with any requirement of the Authority under subsection (2) commits an offence and is liable on summary conviction to a fine of ten thousand dollars, and on conviction on indictment to a fine of one hundred thousand dollars, and if the offence of which he is convicted is continued after conviction he commits a further offence and is liable to a fine of ten thousand dollars for every day on which the offence is so continued. (5) A person to whom subsection (2) applies who knowingly or recklessly, furnishes any information, provides any explanation or makes any statement to the Authority which is false or misleading in a material particular commits an offence and is liable on summary conviction to a fine of ten thousand dollars or to imprisonment for six months, or to both, or on conviction on indictment to a fine of one hundred thousand dollars or to imprisonment for five years, or to both.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_25\", \"num\": \"25.\", \"text\": \"Additional powers of the Authority 25. (1) The Authority may take any of the actions in subsection (2) if the Authority is of the opinion that a registered director, professional director or corporate director \u2014 (a) is carrying on business in a manner detrimental to the public interest or to the interests of the covered entities for which the registered director, professional director or corporate director is appointed; (b) has contravened this Law or any regulations made under this Law; Directors Registration and Licensing Law, 2014 Law 10 of 2014 (c) has failed to comply with a condition of registration or licence; (d) is not carrying on business as a registered director, professional director or corporate director in a manner that is fit and proper; (e) is a person that is not a fit and proper person to hold a position as a registered director, professional director or corporate director; or (f) has failed to comply with any directions given by the Authority under section 24(1)(b). (2) For the purposes of subsection (1), the Authority may \u2014 (a) cancel or suspend the registration of a registered director; (b) suspend or revoke the licence of a professional director or corporate director; (c) impose on a registered director, professional director or corporate director any conditions or further conditions and amend or revoke those conditions; (d) require any action the Authority considers necessary to be taken by the registered director, professional director or corporate director; and (e) direct a registered director, professional director or corporate director to cease from committing any act or to pursue any course of conduct and to perform any act which in the opinion of the Authority is in the foregoing circumstances, necessary . (3) Notwithstanding any other provision in this Law, the Authority may cancel the registration of a registered director or revoke the licence of a professional director or a corporate director if that registered director or professional director or corporate director has ceased to act in their appointed role. (4) A registered director, professional director or corporate director may surrender the registration or licence of that registered director, professional director or corporate director upon application to the Authority in the prescribed form and payment to the Authority of the prescribed fee.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_26\", \"num\": \"26.\", \"text\": \"Publication of revocation 26. Whenever the Authority suspends or cancels a registration or suspends or revokes a licence under section 25 notice of the suspension, cancellation or revocation shall forthwith be gazetted. Directors Registration and Licensing Law, 2014 Law 10 of 2014 PART VI - MISCELLANEOUS\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_27\", \"num\": \"27.\", \"text\": \"Appeals 27. (1) Where, in respect of a person who is a director of a covered entity upon the date of commencement of this Law, in this section referred to as an \u201cexisting director\u201d, the Authority \u2014 (a) refuses to register the existing director as a director pursuant to Part II; or (b) refuses to grant a licence to the existing director pursuant to either Part III or Part IV, then the Authority shall give the existing director who is the subject of the refusal, in this section referred to as \u201cthe refusal\u201d, written notice of the refusal together with reasons for the refusal, in this section referred to as \u201cthe refusal notice\u201d. (2) The existing director who is the subject of the refusal may, within fourteen days of the receipt of the refusal notice, provide a written notice to the Authority requesting reconsideration of the refusal, in this section referred to as a \u201creconsideration request\u201d, which shall include a response to the reasons set out in the refusal notice. (3) Where a reconsideration request is received by the Authority pursuant to subsection (3), the Authority shall, within twenty-one days from receipt of the reconsideration request \u2014 (a) reconsider the refusal, taking into account the response set out in the reconsideration request; and (b) communicate the result of the reconsideration and by written notice to the existing director, provide reasons for the result. (4) Where a reconsideration request is received by the Authority pursuant to subsection (3), no refusal shall be deemed to have taken place in respect of the relevant existing director pursuant to this Law \u2014 (a) unless the reconsideration process has been concluded; and (b) until the decision of the Authority to refuse registration or to refuse to grant a licence has been confirmed by the Authority. (5) Where the Authority cancels or suspends registration, or revokes or suspends a licence, a registered director, professional director or corporate director may, within twenty-one days of the effective date of the revocation, appeal to the Grand Court against the decision of the Authority to revoke the licence but the appeal shall not suspend the execution of the decision. Directors Registration and Licensing Law, 2014 Law 10 of 2014\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_28\", \"num\": \"28.\", \"text\": \"Offences by corporations 28. (1) Where a body corporate is found guilty of an offence under this Law, every director or other officer concerned in the management of the body corporate is guilty of that offence unless the director or other officer proves that the offence was committed without the consent or connivance of that director or other officer or that the director or other officer exercised reasonable diligence to prevent the commission of the offence. (2) In subsection (1), \u201cdirector\u201d, in relation to a body corporate whose affairs are managed by its members, means a member of the body corporate.\", \"element\": \"section\", \"heading\": null}, {\"eId\": \"sec_29\", \"num\": \"29.\", \"text\": \"Regulations 29. (1) The Cabinet, after consultation with the Authority, may make regulations \u2014 (a) prescribing anything which is to be prescribed under this Law; and (b) generally for carrying the purposes and provisions of this Law into effect. (2) Regulations made under this Law may provide that the contravention of any provision constitutes an offence and may prescribe penalties for any such offence not exceeding the maximum fine and term of imprisonment prescribed in this Law for any offence under this Law. Directors Registration and Licensing Law, 2014 SCHEDULE Law 10 of 2014 SCHEDULE (Section 9) LIST OF OVERSEAS REGULATORY AUTHORITIES 1. U. S. Securities and Exchange Commission (SEC) 2. U. S. Commodity Futures Trading Commission (CFTC) 3. U. S. Financial Industry Regulatory Authority (FINRA) 4. Hong Kong Securities and Futures Commission (SFC) 5. Japan Financial Services Agency (FSA) 6. Monetary Authority of Singapore (MAS) 7. U. K. Financial Conduct Authority (FCA) 8. German Federal Financial Supervisory Authority (BaFin) 9. French Authorit\u00e9 des March\u00e9s Financiers (France) (AMF) 10. Netherlands Authority for the Financial Markets (Autoriteit Financi\u00eble Markten, AFM) 11. The Central Bank of Ireland (CBI) 12. Luxembourg Commission de Surveillance du Secteur Financier (CSSF) 13. Dubai Financial Services Authority (DFSA) 14. Brazilian Comiss\u00e3o de Valores Mobil\u00e1rios (CVM). Passed by the Legislative Assembly the 11th day of April, 2014. Juliana Y. O\u2019Connor-Connolly Speaker. Zena Merren-Chin Clerk of the Legislative Assembly\", \"element\": \"section\", \"heading\": null}], \"meta\": {\"notes\": null, \"workflow\": null, \"lifecycle\": {\"source\": \"#cilegis\", \"eventRef\": [{\"eId\": \"e_commence_2014_01_01\", \"date\": \"2014-01-01\", \"type\": \"generation\", \"source\": \"#cilegis\"}]}, \"references\": {\"source\": \"#canary\", \"TLCRole\": [], \"TLCEvent\": [{\"eId\": \"ev_commencement\", \"href\": \"\/akn\/ontology\/canary\/event\/commencement\", \"showAs\": \"commencement\"}], \"TLCPerson\": [], \"TLCConcept\": [{\"eId\": \"inForce\", \"href\": \"\/akn\/ontology\/canary\/concept\/temporal\/in-force\", \"showAs\": \"in force\"}], \"TLCProcess\": [], \"TLCLocation\": [], \"TLCOrganization\": [{\"eId\": \"cilegis\", \"href\": \"\/akn\/ontology\/canary\/organization\/editor\/cilegis\", \"showAs\": \"Cayman Islands legislation mirror (kyleg)\"}]}, \"temporalData\": {\"source\": \"#cilegis\", \"temporalGroup\": [{\"eId\": \"tg_inforce_2014_01_01\", \"timeInterval\": [{\"end\": null, \"start\": \"#e_commence_2014_01_01\", \"duration\": null, \"refersTo\": \"#inForce\"}]}]}, \"classification\": null, \"identification\": {\"source\": \"#cilegis\", \"FRBRWork\": {\"FRBRuri\": \"\/akn\/ky\/act\/2014\/10\", \"FRBRdate\": [{\"date\": \"2014-01-01\", \"name\": \"generation\"}], \"FRBRthis\": \"\/akn\/ky\/act\/2014\/10\/!main\", \"FRBRalias\": [{\"name\": \"cmsId\", \"value\": \"2014-0010\"}], \"FRBRauthor\": [{\"as\": \"#editor\", \"href\": \"\/akn\/ontology\/canary\/organization\/editor\/cilegis\"}], \"FRBRnumber\": \"10 of 2014\", \"FRBRcountry\": \"ky\", \"FRBRsubtype\": \"principal\"}, \"FRBRExpression\": {\"FRBRuri\": \"\/akn\/ky\/act\/2014\/10\/eng@2014-01-01\", \"FRBRdate\": [{\"date\": \"2014-01-01\", \"name\": \"generation\"}], \"FRBRthis\": \"\/akn\/ky\/act\/2014\/10\/eng@2014-01-01\/!main\", \"FRBRauthor\": [{\"as\": \"#editor\", \"href\": \"\/akn\/ontology\/canary\/organization\/editor\/cilegis\"}], \"FRBRlanguage\": \"eng\"}, \"FRBRManifestation\": {\"FRBRuri\": \"\/akn\/ky\/act\/2014\/10\/eng@2014-01-01.xml\", \"FRBRdate\": [{\"date\": \"2026-06-22\", \"name\": \"generation\"}], \"FRBRthis\": \"\/akn\/ky\/act\/2014\/10\/eng@2014-01-01.xml\", \"FRBRauthor\": [{\"as\": \"#editor\", \"href\": \"\/akn\/ontology\/canary\/organization\/editor\/cilegis\"}], \"FRBRformat\": \"application\/xml\"}}}, \"name\": \"act\", \"header\": {\"title\": \"Directors Registration and Licensing Act\", \"actNumber\": \"10 of 2014\", \"longTitle\": null}}, \"doc\": null, \"bill\": null, \"judgment\": null}}","akn_full_text":"CAYMAN ISLANDS\n\nDIRECTORS REGISTRATION AND\nLICENSING LAW, 2014\n\n(Law 10 of 2014)\nSupplement No. 6 published with Extraordinary Gazette No. 35 dated 21st May, 2014.\n\nPage 2\nLaw 10 of 2014\nc\n\nPUBLISHING DETAILS\nThe provisions of the Directors Registration and Licensing Law, 2014, with the exception\nof sections 11(2)(a), 18(2)(a) and 24(1)(b), shall come into force on the 4th day of June,\n2014.\n\nDirectors Registration and Licensing Law, 2014\nArrangement of Sections\n\nc\nLaw 10 of 2014\nPage 3\n\nCAYMAN ISLANDS\n\nDIRECTORS REGISTRATION AND LICENSING\nLAW, 2014\n(Law 10 of 2014)\nArrangement of Sections\nSection\nPage\nPART I - PRELIMINARY\n1.\nShort title and commencement ..................................................................................................5\n2.\nInterpretation .............................................................................................................................6\n3.\nApplication .................................................................................................................................6\nPART II - REGISTERED DIRECTORS\n4.\nProhibition from acting as a director unless registered ...............................................................6\n5.\nApplication for registration .........................................................................................................7\n6.\nRegistration by the Authority ......................................................................................................7\n7.\nAuthority may refuse to register .................................................................................................8\n8.\nConsequence of refusal of registration .......................................................................................8\nPART III - PROFESSIONAL DIRECTORS\n9.\nProhibition from acting as professional director unless licensed .................................................8\n10.\nApplication for a licence as a professional director .....................................................................9\n11.\nLicensing by the Authority ..........................................................................................................9\n12.\nDetermination of fitness and propriety ........................................................................................9\n13.\nConsequence of refusal to license a professional director ........................................................ 10\n14.\nLicence fees ............................................................................................................................ 10\n15.\nInsurance ................................................................................................................................. 10\n16.\nExemption from licensing ......................................................................................................... 10\n\nArrangement of Sections\nDirectors Registration and Licensing Law, 2014\n\nPage 4\nLaw 10 of 2014\nc\n\nPART IV - CORPORATE DIRECTORS\n17.\nCorporate directors .................................................................................................................. 11\n18.\nApplication for a licence as a corporate director ....................................................................... 11\n19.\nConsequence of refusal to license a corporate director ............................................................ 12\n20.\nCorporate director licensing regime ......................................................................................... 13\n21.\nFurther requirements ............................................................................................................... 13\n22.\nTransition of corporate director ................................................................................................ 14\nPART V - POWERS AND DUTIES OF THE AUTHORITY\n23.\nDuty to maintain register .......................................................................................................... 14\n24.\nPowers of the Authority ............................................................................................................ 14\n25.\nAdditional powers of the Authority ............................................................................................ 15\n26.\nPublication of revocation .......................................................................................................... 16\nPART VI - MISCELLANEOUS\n27.\nAppeals ................................................................................................................................... 17\n28.\nOffences by corporations ......................................................................................................... 18\n29.\nRegulations ............................................................................................................................. 18\nSCHEDULE\n19\nLIST OF OVERSEAS REGULATORY AUTHORITIES\n19\n\nDirectors Registration and Licensing Law, 2014\nSection 1\n\nc\nLaw 10 of 2014\nPage 5\n\nCAYMAN ISLANDS\n\nDIRECTORS REGISTRATION AND LICENSING\nLAW, 2014\n(Law 10 of 2014)\nA LAW TO MAKE PROVISION FOR THE ESTABLISHMENT OF A REGISTRATION\nREGIME FOR DIRECTORS AND A LICENSING REGIME FOR PROFESSIONAL\nDIRECTORS AND CORPORATE DIRECTORS OF MUTUAL FUNDS REGULATED\nUNDER THE MUTUAL FUNDS LAW (2013 REVISION) AND PERSONS TO WHOM\nPARAGRAPHS 1 AND 4 OF SCHEDULE 4 OF THE SECURITIES INVESTMENT\nBUSINESS LAW (2011 REVISION) APPLIES; AND FOR INCIDENTAL AND\nCONNECTED PURPOSES\nENACTED by the Legislature of the Cayman Islands.\nPART I - PRELIMINARY\n1.\nShort title and commencement\n1.\n(1) This Law may be cited as the Directors Registration and Licensing Law, 2014.\n(2) This Law shall come into force on such date as may be appointed by Order\nmade by the Cabinet and different dates may be appointed for different\nprovisions of this Law and in relation to different matters.\n\nSection 2\nDirectors Registration and Licensing Law, 2014\n\nPage 6\nLaw 10 of 2014\nc\n\n2.\nInterpretation\n2.\nIn this Law \u2014\n\u201cAuthority\u201d means the Cayman Islands Monetary Authority established under\nsection 5(1) of the Monetary Authority Law (2013 Revision);\n\u201ccompanies management licence\u201d means a companies management licence\nissued pursuant to the Companies Management Law (2003 Revision);\n\u201ccorporate director\u201d means a body corporate appointed as a director for a\ncovered entity;\n\u201ccovered entity\u201d means \u2014\n(a)\na company to which paragraphs 1 and 4 of Schedule 4 of the Securities\nInvestment Business Law (2011 Revision) apply; or\n(b) a mutual fund regulated under the Mutual Funds Law (2013 Revision);\n\u201cfund manager\u201d means a person providing investment management services\nor investment advisory services or a promoter under the Mutual Funds Law\n(2013 Revision);\n\u201cinsurer\u201d means an insurer licensed under the Insurance Law, 2010 [Law 32\nof 2010] to carry on insurance business within the meaning of that Law or any\nother insurer acceptable to the Authority;\n\u201cmutual fund administrators licence\u201d means a mutual fund administrators\nlicence issued pursuant to the Mutual Funds Law (2013 Revision);\n\u201cprofessional director\u201d means a natural person appointed as a director for\ntwenty or more covered entities; and\n\u201cregistered director\u201d means a natural person who is registered under\nthis Law.\n3.\nApplication\n3.\nThis Law applies to a registered director, a professional director and a corporate\ndirector of a covered entity in the Islands, whether or not that registered director,\nprofessional director or corporate director is resident in the Islands.\nPART II - REGISTERED DIRECTORS\n4.\nProhibition from acting as a director unless registered\n4.\n(1) A natural person appointed as a director of a covered entity shall not, subject\nto subsection (4), act in that capacity unless registered under this Law.\n(2) A natural person who, on or after the date of commencement of this Law, is\nproposed to be appointed as a director of a covered entity shall not be\nappointed to act in that capacity unless registered by the Authority.\n\nDirectors Registration and Licensing Law, 2014\nSection 5\n\nc\nLaw 10 of 2014\nPage 7\n\n(3) Subject to subsection (4) a natural person who, prior to the date of\ncommencement of this Law, is a director of a covered entity shall not continue\nto act in that capacity on or after that date unless he makes an application for\nregistration, and is registered as a director, by the Authority.\n(4) A natural person to whom subsection (3) applies shall not be in contravention\nof this Law if that person is registered within three months of the date of\ncommencement of this Law.\n(5) A natural person who contravenes this section commits an offence and is liable\non summary conviction to a fine of fifty thousand dollars or to imprisonment\nfor twelve months, or to both.\n5.\nApplication for registration\n5.\n(1) An application for registration shall be made, in the prescribed form, to the\nAuthority and shall be accompanied by the prescribed application fee.\n(2) An applicant shall comply with a request made by the Authority for\ninformation \u2014\n(a)\nthat relates to his appointment as a director of a covered entity;\n(b) necessary to the Authority for the purposes of registration; or\n(c)\nthat the Authority may reasonably require for the exercise of its\nregulatory functions under this Law or the Monetary Authority Law\n(2013 Revision).\n(3) An application fee paid to the Authority for registration is non-refundable.\n(4) Upon submitting an application for registration to the Authority, an applicant\nmay continue to act as a director of a covered entity until the applicant is\nregistered by the Authority under section 6 but that applicant shall, in the time\nprescribed, cease to act as a director of a covered entity if, for any reason, the\napplication for registration is refused.\n6.\nRegistration by the Authority\n6.\n(1) The Authority may register an applicant if satisfied that the applicant has\nprovided to the Authority the information in the prescribed form and paid to\nthe Authority any applicable fees that may be prescribed.\n(2) Each registered director shall, on or before the 15th January in each calendar\nyear, provide to the Authority the information in the prescribed form and pay\nto the Authority the prescribed annual fee, and there shall be payable by a\nregistered director who fails to pay the prescribed annual fee by that date, a\nsurcharge of one-twelfth of that fee for every month or part of a month after\nthe 15th January in each year that the fee is not paid.\n\nSection 7\nDirectors Registration and Licensing Law, 2014\n\nPage 8\nLaw 10 of 2014\nc\n\n(3) If there is any change in the information provided to the Authority for the\nregistration of a director, the registered director shall within twenty-one days\nof the change, inform the Authority of the change.\n(4) A registered director who acts in contravention of subsection (3) commits an\noffence and is liable on summary conviction to a fine of twenty thousand\ndollars.\n7.\nAuthority may refuse to register\n7.\nThe Authority may refuse to register an applicant if the Authority has information\nthat the applicant \u2014\n(a)\nhas been convicted of a criminal offence involving fraud or\ndishonesty; or\n(b) is the subject of an adverse finding, financial penalty, sanction or\ndisciplinary action by a regulator, self-regulatory organization or a\nprofessional disciplinary body.\n8.\nConsequence of refusal of registration\n8.\n(1) Where the Authority refuses to register an applicant under this Part, the\napplicant shall not serve as a director for any covered entity.\n(2) Notwithstanding subsection (1), a person who is refused registration by the\nAuthority may re-apply for registration if there is a material change in the\ncircumstances relevant to the application.\nPART III - PROFESSIONAL DIRECTORS\n9.\nProhibition from acting as professional director unless licensed\n9.\n(1) No natural person shall be a professional director unless, subject to\nsubsection (4), that person holds a valid licence issued under this Law.\n(2) A natural person who, on or after the date of commencement of this Law,\nproposes to be a professional director shall not be or carry on business as a\nprofessional director unless that person holds a valid licence issued under this\nLaw by the Authority.\n(3) Subject to subsection (4) a natural person who, prior to the date of\ncommencement of this Law, is a professional director shall not continue to act\nin that capacity on or after that date unless he is licensed by the Authority.\n(4) A natural person to whom subsection (3) applies shall not be in contravention\nof this Law if that person is licensed within three months of the date of\ncommencement of this Law.\n\nDirectors Registration and Licensing Law, 2014\nSection 10\n\nc\nLaw 10 of 2014\nPage 9\n\n(5) A person who contravenes this section commits an offence and is liable on\nsummary conviction to a fine of one hundred thousand dollars and to\nimprisonment for twelve months, or to both.\n(6) The Cabinet may by Order amend the Schedule.\n10.\nApplication for a licence as a professional director\n10. (1) An application for a licence shall be made to the Authority, in the prescribed\nform and shall be accompanied by the prescribed application fee.\n(2) An applicant shall comply with any requests made by the Authority for\ninformation \u2014\n(a)\nthat relates to his appointment as a director of a covered entity;\n(b) necessary to the Authority for the purposes of licensing; or\n(c)\nthat the Authority may reasonably require for the exercise of its\nregulatory functions under this Law or the Monetary Authority Law\n(2013 Revision).\n(3) An application fee paid to the Authority for licensing as a professional director\nis non- refundable.\n(4) Upon submitting an application for a licence under this Part to the Authority,\nan applicant may continue to act as a professional director until the applicant is\ngranted a licence by the Authority under section 11 but that applicant shall in\nthe time prescribed cease to act as a professional director if, for any reason, the\napplication for a licence is refused.\n11.\nLicensing by the Authority\n11. (1) The Authority may grant a licence with or without conditions as the Authority\nmay consider appropriate.\n(2) The Authority may not grant a licence to an applicant unless it is satisfied \u2014\n(a)\nthat the applicant has sufficient capacity to carry out the applicant\u2019s\nduties as a professional director; and\n(b) that the applicant is a fit and proper person for licensing as a professional\ndirector.\n12.\nDetermination of fitness and propriety\n12. In determining for the purposes of this Part whether a natural person is a fit and\nproper person, regard shall be had to all circumstances, including that person\u2019s \u2014\n(a)\nhonesty, integrity and reputation;\n(b) competence and capability; and\n(c)\nfinancial soundness.\n\nSection 13\nDirectors Registration and Licensing Law, 2014\n\nPage 10\nLaw 10 of 2014\nc\n\n13.\nConsequence of refusal to license a professional director\n13. (1) Where the Authority refuses to grant a licence to an applicant under this Part,\nthe applicant shall not serve as a professional director for any covered entity.\n(2) Notwithstanding subsection (1), if there is a material change in the\ncircumstances relevant to an application, a professional director who is refused\na licence by the Authority may re-apply for a licence.\n14.\nLicence fees\n14. (1) A professional director who is granted a licence under this Part shall upon the\ngrant of the licence \u2014\n(a)\npay the prescribed licence fee to the Authority; and\n(b) comply with the conditions of the licence.\n(2) Each licensed professional director shall, on or before the 15th January in each\ncalendar year, provide to the Authority the information in the prescribed form\nand pay to the Authority the prescribed annual fee, and there shall be payable\nby a licensed professional director who fails to pay the prescribed annual fee\nby that date, a surcharge of one-twelfth of that fee for every month or part of a\nmonth after the 15th January in each year that the fee is not paid.\n(3) If there is any change in the information provided to the Authority for the\ngrant of a licence, a professional director shall within twenty-one days of the\nchange, inform the Authority of the change.\n(4) A professional director who acts in contravention of subsection (3) commits an\noffence and is liable on summary conviction to a fine of twenty thousand\ndollars.\n15.\nInsurance\n15. (1) A professional director shall at all times be covered by insurance with an\ninsurer, to cover loss arising from claims in respect of civil liability incurred in\nconnection with the business of the professional director, in an amount which\nis a minimum aggregate cover of one million dollars and a minimum cover of\none million dollars for each and every claim.\n(2) A professional director shall file with the Authority current details of the\ninsurance required under subsection (1).\n16.\nExemption from licensing\n16. (1) A director of a covered entity who is a natural person and is a director, an\nemployee, a member, an officer, a partner, or a shareholder of a holder of a\ncompanies management licence or a mutual funds administrators licence is not\nrequired to be licensed as a professional director but is required to be\nregistered under section 6.\n\nDirectors Registration and Licensing Law, 2014\nSection 17\n\nc\nLaw 10 of 2014\nPage 11\n\n (2) A director of a covered entity who is a natural person and is a director, an\nemployee, a member, an officer, a partner, or a shareholder of a fund manager\nof a mutual fund regulated under the Mutual Funds Law (2013 Revision) and\nthat fund manager is registered or licensed by an overseas regulatory authority\nlisted in the Schedule, is not required to be licensed as a professional director\nif the person \u2014\n(a)\nacts as a director for a covered entity by virtue of the person\u2019s\nrelationship to that fund manager; and\n(b) is registered pursuant to section 6.\nPART IV - CORPORATE DIRECTORS\n17.\nCorporate directors\n17. (1) A corporate director appointed as a director of a covered entity shall not,\nsubject to section 22, act in that capacity unless licensed as a corporate director\nunder this Law.\n(2) A corporate director who, on or after the date of commencement of this Law,\nis proposed to be appointed as a director of a covered entity shall not be\nappointed to act in that capacity unless licensed as a corporate director under\nthis Law.\n(3) A corporate director that contravenes this section commits an offence and is\nliable on summary conviction to a fine of one hundred thousand dollars.\n(4) An offence is not committed under subsection (3) by the holder of \u2014\n(a)\na companies management licence; or\n(b) a mutual fund administrators licence,\nif the holder of the licence is providing directors to or acting as a director for a\nclient which is a covered entity.\n18.\nApplication for a licence as a corporate director\n18. (1) The Authority may grant a licence under this Law to a corporate director with\nor without conditions as the Authority may consider appropriate.\n(2) The Authority may not grant a licence to an applicant unless the Authority is\nsatisfied \u2014\n(a)\nthat the applicant has sufficient capacity to carry out the applicant\u2019s\nduties as a corporate director; and\n(b) that the applicant is a fit and proper person for licensing as a corporate\ndirector.\n\nSection 19\nDirectors Registration and Licensing Law, 2014\n\nPage 12\nLaw 10 of 2014\nc\n\n(3) An application for a licence by a corporate director shall be made to the\nAuthority, in the prescribed form and shall be accompanied by the\nprescribed fee.\n(4) An application fee paid to the Authority for licensing as a corporate director is\nnon-refundable.\n(5) An applicant shall comply with any requests made by the Authority for\ninformation \u2014\n(a)\nthat relates to the applicant\u2019s appointment as a director of a covered\nentity;\n(b) necessary to the Authority for the purposes of licensing; or\n(c)\nthat the Authority may reasonably require for the exercise of its\nregulatory functions under this Law.\n(6) Upon submitting an application for a licence under this Part to the Authority,\nan applicant may continue to act as a corporate director until the applicant is\ngranted a licence by the Authority under subsection (1) but that applicant shall,\nin the time prescribed, cease to act as a corporate director if, for any reason,\nthe application for a licence is refused.\n(7) Each licensed corporate director shall, on or before the 15th January in each\ncalendar year, provide to the Authority the information in the prescribed form\nand pay to the Authority the prescribed annual fee, and there shall be payable\nby a licensed corporate director who fails to pay the prescribed annual fee by\nthat date, a surcharge of one-twelfth of that fee for every month or part of a\nmonth after the 15th January in each year that the fee is not paid.\n(8) If there is any change in the information provided to the Authority for the\ngrant of a licence under this Part, a corporate director shall within twenty-one\ndays of the change, inform the Authority of the change.\n(9) A corporate director who acts in contravention of subsection (8) commits an\noffence and is liable on summary conviction to a fine of twenty thousand\ndollars.\n19.\nConsequence of refusal to license a corporate director\n19. (1) Where the Authority refuses to grant a licence to an applicant under this Part,\nthe applicant shall not serve as a corporate director for any covered entity.\n(2) Notwithstanding subsection (1), if there is a material change in the\ncircumstances relevant to an application, a corporate director who is refused a\nlicence by the Authority may re-apply for a licence.\n\nDirectors Registration and Licensing Law, 2014\nSection 20\n\nc\nLaw 10 of 2014\nPage 13\n\n20.\nCorporate director licensing regime\n20. (1) In addition to any other requirements under section 18, a corporate director\nshall \u2014\n(a)\nbe registered as an ordinary resident company, an ordinary non-resident\ncompany, an exempted company or foreign company in accordance with\nthe Companies Law (2013 Revision);\n(b) appoint to its board at least two natural persons who are registered or\nlicensed under this Law;\n(c)\nbefore the appointment of any new or additional person to its board,\napply to the Authority for its written approval of that appointment.\n(2) A corporate director is not required to be registered under section 5 of the\nSecurities Investment Business Law (2011 Revision) where that registration is\nrequired solely as a result of registration as a foreign company pursuant to\nsubsection (1)(a).\n(3) A person to whom subsection (1)(c) refers shall be registered or licensed as\nrequired under this Law.\n(4) The Authority may refuse an appointment under subsection (1)(b) or (c) if the\nAuthority is of the opinion that the person is not a fit and proper person.\n(5) In determining for the purposes of this Part whether a person is a fit and proper\nperson, regard shall be had to all circumstances, including that person\u2019s \u2014\n(a)\nhonesty, integrity and reputation;\n(b) competence and capability; and\n(c)\nfinancial soundness.\n21.\nFurther requirements\n21. (1) The subsidiary, whether wholly owned or otherwise, of \u2014\n(a)\na corporate director;\n(b) the holder of a mutual funds administrators licence; or\n(c)\nthe holder of a companies management licence,\nthat is appointed to act as a director of a covered entity shall be licensed under\nthis Law unless that subsidiary holds a mutual funds administrators licence or\na companies management licence.\n(2) A corporate director shall at all times be covered by insurance with an insurer,\nto cover loss arising from claims in respect of civil liability incurred in\nconnection with the business of the corporate director, in an amount which is a\nminimum aggregate cover of one million dollars and a minimum cover of one\nmillion dollars for each and every claim.\n\nSection 22\nDirectors Registration and Licensing Law, 2014\n\nPage 14\nLaw 10 of 2014\nc\n\n(3) A corporate director shall file with the Authority current details of the\ninsurance required under subsection (2).\n22.\nTransition of corporate director\n22. A corporate director who, prior to the date of commencement of this Law, is a\ncorporate director of a covered entity shall not be in contravention of this Law if\nthat corporate director, within six months of the commencement of this Law, takes\nall necessary steps to comply with this Law.\nPART V - POWERS AND DUTIES OF THE AUTHORITY\n23.\nDuty to maintain register\n23. The Authority shall maintain a register of directors of covered entities which shall\ncontain the particulars of each registered director, professional director or corporate\ndirector, under this Law which may include but are not limited to \u2014\n(a)\nthe name and address;\n(b) the location of the registered office;\n(c)\nthe date of registration or the date on which a licence was issued,\nwhichever is applicable; and\n(d) any other information that may be prescribed.\n24.\nPowers of the Authority\n24. (1) The Authority shall \u2014\n(a)\nmaintain a general review of the requirements for the qualification of\ndirectors of covered entities in the Islands and make recommendations to\nthe Cabinet necessary with respect to the making of regulations under\nthis Law;\n(b) examine the capacity of registered directors, professional directors and\ncorporate directors to carry out their duties and responsibilities as\ndirectors of covered entities and to give directions where necessary;\n(c)\nexamine and determine applications for registration and licences;\n(d) act as the adviser to the Cabinet and take all necessary action to ensure\nthe proper and just implementation of this Law; and\n(e)\nwhenever the Authority considers it necessary, examine, by way of\nscrutiny of prescribed regular returns or on-site inspections, or in such\nother manner as the Authority may determine, the affairs or business of\nany registered director, professional or corporate director for the purpose\nof a general review of directorship services in the Islands or for the\n\nDirectors Registration and Licensing Law, 2014\nSection 25\n\nc\nLaw 10 of 2014\nPage 15\n\npurpose of satisfying itself that this Law and any regulation made under\nthis Law are being complied with.\n(2) In the performance of its functions under this Law, the Authority may, at all\nreasonable times, require \u2014\n(a)\na person whom the Authority reasonably believes is acting as a director\nof a covered entity in contravention of this Law;\n(b) a registered director, professional director or corporate director; or\n(c)\nany person whom the Authority reasonably believes has relevant\ninformation relating to (a) or (b),\nto provide access to and allow copies to be made of any books, records or\ndocuments that the Authority may reasonably require and to furnish any\ninformation or explanation the Authority may reasonably require for the\nperformance of its functions under this Law or the Monetary Authority Law\n(2013 Revision).\n(3) If the Authority considers there are reasonable grounds for believing that an\noffence against this Law has been committed, the Authority may apply to the\nCourt for any order which is necessary to facilitate the investigation of the\noffence.\n(4) A person who fails to comply with any requirement of the Authority under\nsubsection (2) commits an offence and is liable on summary conviction to a\nfine of ten thousand dollars, and on conviction on indictment to a fine of one\nhundred thousand dollars, and if the offence of which he is convicted is\ncontinued after conviction he commits a further offence and is liable to a fine\nof ten thousand dollars for every day on which the offence is so continued.\n(5) A person to whom subsection (2) applies who knowingly or recklessly,\nfurnishes any information, provides any explanation or makes any statement to\nthe Authority which is false or misleading in a material particular commits an\noffence and is liable on summary conviction to a fine of ten thousand dollars\nor to imprisonment for six months, or to both, or on conviction on indictment\nto a fine of one hundred thousand dollars or to imprisonment for five years, or\nto both.\n25.\nAdditional powers of the Authority\n25. (1) The Authority may take any of the actions in subsection (2) if the Authority is\nof the opinion that a registered director, professional director or corporate\ndirector \u2014\n(a)\nis carrying on business in a manner detrimental to the public interest or to\nthe interests of the covered entities for which the registered director,\nprofessional director or corporate director is appointed;\n(b) has contravened this Law or any regulations made under this Law;\n\nSection 26\nDirectors Registration and Licensing Law, 2014\n\nPage 16\nLaw 10 of 2014\nc\n\n(c)\nhas failed to comply with a condition of registration or licence;\n(d) is not carrying on business as a registered director, professional director\nor corporate director in a manner that is fit and proper;\n(e)\nis a person that is not a fit and proper person to hold a position as a\nregistered director, professional director or corporate director; or\n(f)\nhas failed to comply with any directions given by the Authority under\nsection 24(1)(b).\n(2) For the purposes of subsection (1), the Authority may \u2014\n(a)\ncancel or suspend the registration of a registered director;\n(b) suspend or revoke the licence of a professional director or corporate\ndirector;\n(c)\nimpose on a registered director, professional director or corporate\ndirector any conditions or further conditions and amend or revoke those\nconditions;\n(d) require any action the Authority considers necessary to be taken by the\nregistered director, professional director or corporate director; and\n(e)\ndirect a registered director, professional director or corporate director to\ncease from committing any act or to pursue any course of conduct and to\nperform any act which in the opinion of the Authority is in the foregoing\ncircumstances, necessary .\n(3) Notwithstanding any other provision in this Law, the Authority may cancel the\nregistration of a registered director or revoke the licence of a professional\ndirector or a corporate director if that registered director or professional\ndirector or corporate director has ceased to act in their appointed role.\n(4) A registered director, professional director or corporate director may surrender\nthe registration or licence of that registered director, professional director or\ncorporate director upon application to the Authority in the prescribed form and\npayment to the Authority of the prescribed fee.\n26.\nPublication of revocation\n26. Whenever the Authority suspends or cancels a registration or suspends or revokes a\nlicence under section 25 notice of the suspension, cancellation or revocation shall\nforthwith be gazetted.\n\nDirectors Registration and Licensing Law, 2014\nSection 27\n\nc\nLaw 10 of 2014\nPage 17\n\nPART VI - MISCELLANEOUS\n27.\nAppeals\n27. (1) Where, in respect of a person who is a director of a covered entity upon the\ndate of commencement of this Law, in this section referred to as an \u201cexisting\ndirector\u201d, the Authority \u2014\n(a)\nrefuses to register the existing director as a director pursuant to Part II; or\n(b) refuses to grant a licence to the existing director pursuant to either Part\nIII or Part IV,\nthen the Authority shall give the existing director who is the subject of the\nrefusal, in this section referred to as \u201cthe refusal\u201d, written notice of the refusal\ntogether with reasons for the refusal, in this section referred to as \u201cthe refusal\nnotice\u201d.\n(2) The existing director who is the subject of the refusal may, within fourteen\ndays of the receipt of the refusal notice, provide a written notice to the\nAuthority requesting reconsideration of the refusal, in this section referred to\nas a \u201creconsideration request\u201d, which shall include a response to the reasons\nset out in the refusal notice.\n(3) Where a reconsideration request is received by the Authority pursuant to\nsubsection (3), the Authority shall, within twenty-one days from receipt of the\nreconsideration request \u2014\n(a)\nreconsider the refusal, taking into account the response set out in the\nreconsideration request; and\n(b) communicate the result of the reconsideration and by written notice to the\nexisting director, provide reasons for the result.\n(4) Where a reconsideration request is received by the Authority pursuant to\nsubsection (3), no refusal shall be deemed to have taken place in respect of the\nrelevant existing director pursuant to this Law \u2014\n(a)\nunless the reconsideration process has been concluded; and\n(b) until the decision of the Authority to refuse registration or to refuse to\ngrant a licence has been confirmed by the Authority.\n(5) Where the Authority cancels or suspends registration, or revokes or suspends a\nlicence, a registered director, professional director or corporate director may,\nwithin twenty-one days of the effective date of the revocation, appeal to the\nGrand Court against the decision of the Authority to revoke the licence but the\nappeal shall not suspend the execution of the decision.\n\nSection 28\nDirectors Registration and Licensing Law, 2014\n\nPage 18\nLaw 10 of 2014\nc\n\n28.\nOffences by corporations\n28. (1) Where a body corporate is found guilty of an offence under this Law, every\ndirector or other officer concerned in the management of the body corporate is\nguilty of that offence unless the director or other officer proves that the\noffence was committed without the consent or connivance of that director or\nother officer or that the director or other officer exercised reasonable diligence\nto prevent the commission of the offence.\n(2) In subsection (1), \u201cdirector\u201d, in relation to a body corporate whose affairs are\nmanaged by its members, means a member of the body corporate.\n29.\nRegulations\n29. (1) The Cabinet, after consultation with the Authority, may make regulations \u2014\n(a)\nprescribing anything which is to be prescribed under this Law; and\n(b) generally for carrying the purposes and provisions of this Law into effect.\n(2) Regulations made under this Law may provide that the contravention of any\nprovision constitutes an offence and may prescribe penalties for any such\noffence not exceeding the maximum fine and term of imprisonment prescribed\nin this Law for any offence under this Law.\n\nDirectors Registration and Licensing Law, 2014\nSCHEDULE\n\nc\nLaw 10 of 2014\nPage 19\n\n SCHEDULE\n (Section 9)\nLIST OF OVERSEAS REGULATORY AUTHORITIES\n1.\nU. S. Securities and Exchange Commission (SEC)\n2.\nU. S. Commodity Futures Trading Commission (CFTC)\n3.\nU. S. Financial Industry Regulatory Authority (FINRA)\n4.\nHong Kong Securities and Futures Commission (SFC)\n5.\nJapan Financial Services Agency (FSA)\n6.\nMonetary Authority of Singapore (MAS)\n7.\nU. K. Financial Conduct Authority (FCA)\n8.\nGerman Federal Financial Supervisory Authority (BaFin)\n9.\nFrench Authorit\u00e9 des March\u00e9s Financiers (France) (AMF)\n10. Netherlands Authority for the Financial Markets (Autoriteit Financi\u00eble Markten,\nAFM)\n11. The Central Bank of Ireland (CBI)\n12. Luxembourg Commission de Surveillance du Secteur Financier (CSSF)\n13. Dubai Financial Services Authority (DFSA)\n14. Brazilian Comiss\u00e3o de Valores Mobil\u00e1rios (CVM).\nPassed by the Legislative Assembly the 11th day of April, 2014.\nJuliana Y. O\u2019Connor-Connolly\nSpeaker.\nZena Merren-Chin\nClerk of the Legislative Assembly","akn_extracted_at":"2026-06-22 15:32:30.104573+00","cms_id":"2014-0010","law_type":"principal","year":"2014","number":"10","title":"Directors Registration and Licensing Act","status":"in_force"},"provenance":{"files":[{"file_id":"5231","expr_id":"326","kind":"akn_xml","filename":"2014-0010_Act 10 of 2014.akn.xml","source_url":null,"storage_path":"\/Users\/q\/kyleg-data\/working\/PRINCIPAL\/2014\/2014-0010\/2014-0010_Act 10 of 2014.akn.xml","content_md5":"3bccd605140b019735b5d8858b9d4d7e","byte_size":"36332","http_last_modified":null,"fetched_at":"2026-06-22 15:32:31.335143+00"},{"file_id":"651","expr_id":"326","kind":"pristine_pdf","filename":"2014-0010_Act 10 of 2014.pdf","source_url":"\/cms\/images\/LEGISLATION\/PRINCIPAL\/2014\/2014-0010\/2014-0010_Act 10 of 2014.pdf","storage_path":"\/Users\/q\/kyleg-data\/pristine\/PRINCIPAL\/2014\/2014-0010\/2014-0010_Act 10 of 2014.pdf","content_md5":"932985db74ccdf708ae1171fc26f29cd","byte_size":"491068","http_last_modified":null,"fetched_at":"2026-06-21 23:09:34.850591+00"},{"file_id":"652","expr_id":"326","kind":"working_pdf","filename":"2014-0010_Act 10 of 2014.pdf","source_url":"\/cms\/images\/LEGISLATION\/PRINCIPAL\/2014\/2014-0010\/2014-0010_Act 10 of 2014.pdf","storage_path":"\/Users\/q\/kyleg-data\/working\/PRINCIPAL\/2014\/2014-0010\/2014-0010_Act 10 of 2014.pdf","content_md5":"932985db74ccdf708ae1171fc26f29cd","byte_size":"491068","http_last_modified":null,"fetched_at":"2026-06-21 23:09:34.850591+00"}],"paragraph_count":21,"latest_history":null},"quality":{"expr_id":"326","doc_id":"326","quality_state":"needs_review","quality_score":"76","needs_human_review":"t","deterministic_categories":"{commencement_metadata_problem,duplicate_text,page_header_footer_noise,paragraph_numbering_problem}","llm_categories":"{truncated_text,other}","repair_actions":"{collapse_duplicate_text,manual_review,rebuild_paragraphs,reextract_full_text,strip_page_furniture,verify_commencement_metadata}","finding_severity_counts":"{\"low\": 1, \"medium\": 1}","finding_summary":"Sample appears mostly complete but shows truncation at Section 29; full text should be reviewed for completeness.","assessed_at":"2026-06-22 15:29:44.992148+00","updated_at":"2026-06-22 15:29:44.992148+00"}}