No. S 717
Financial Advisers Act
(Chapter 110)
Financial Advisers (Exemption from Requirement to Hold Representative’s Licence) (Revocation) Regulations 2010
In exercise of the powers conferred by section 100(1) of the Financial Advisers Act, the Monetary Authority of Singapore hereby makes the following Regulations:
Citation and commencement
1.  These Regulations may be cited as the Financial Advisers (Exemption from Requirement to Hold Representative’s Licence) (Revocation) Regulations 2010 and shall come into operation on 26th November 2010.
Revocation
2.  The Financial Advisers (Exemption from Requirement to Hold Representative’s Licence) Regulations (Rg 5) are revoked.

Made this 25th day of November 2010.

HENG SWEE KEAT
Managing Director,
Monetary Authority of Singapore.
[CMI 09/2008; AG/LLRD/SL/110/2002/1 Vol. 3]