
CHAPTER 12.12
REGISTERED AGENT AND TRUSTEE LICENSING ACT
Revised Edition
Showing the law as at 31 December, 2001
This is a revised edition of the law, prepared by the Law Revision Commissioner under the authority of the Revised Edition of the Laws Act.
This edition contains a consolidation of the following laws—
REGISTERED AGENT AND TRUSTEE LICENSING ACT
Act 37 of 1999 in force 26 January 2000 (S.I.8/2000)Amended by Act 2 of 2000 in force 26 January 2000
Amended by Act 17 of 2001 in force 8 September 2001
REGISTERED AGENT AND TRUSTEE LICENSING REGULATIONS – Section 30
Statutory Instrument 28/2000 in force 19 February 2000Amended by S.I. 33/2001 in force 9 February 2000
CHAPTER 12.12
REGISTERED AGENT AND TRUSTEE LICENSING ACT   [Back]
Laws of Saint Lucia] The Registered Agent and Trustee Licensing Act [Cap.12.12
CHAPTER 12.12
REGISTERED AGENT AND TRUSTEE LICENSING ACT
(Acts 37 of 1999, 2 of 2000 and 17 of 2001)
AN ACT to make provision for licensing and regulation of international financial services representation, which includes acting as a registered agent for international business companies or as a trustee of registered trusts in Saint Lucia.
Commencement [26 January 2000]
"business of international financial services representation" means the provision of services relating to international financial services representation for profit or reward in Saint Lucia;
"Court" means the High Court;
"$" means United States Dollars;
"Director" means the Director of Financial Services appointed under section 11;
"international accounting standards" means the standards of accounting set by the International Accounting Standards Committee for use in the preparation of financial statements;
"International Accounting Standards Committee" means the International Accounting Standards Committee established under the International Accounting Standards Committee Agreement 1973;
"Financial Centre Corporation" means the company incorporated under the Companies Act as Company Number 126 of 1999;
"international financial services representation" includes—
but does not include the activities of a person who is admitted under the Legal Profession Act to practise in Saint Lucia, in the performance of his or her duties as an attorney-at-law, or notary royal or the activities of an accountant doing business in Saint Lucia in the performance of his or her duties as accountant or auditor;
"licence" means a licence issued under Part 2 of this Act;
"licensee" means a person holding a valid licence to carry on the business of international financial services representation under this Act;
"Minister" means the Minister responsible for international financial services;
"person" includes a natural person, a body corporate or unincorporated body;
"prescribed" means prescribed in regulations;
"regulations" means regulations made under section 29;
"resident" means—
but does not mean a person or other entity registered or licensed under any other law in force in Saint Lucia relating to international financial services;
"suspended licensee" means a licensee whose licence has been suspended under section 19 or 20.
"International Financial World Investment Centre Limited" or "IFWIC" means the company incorporated under the Companies Act as Company No. 195 of 1999.
The Director may, with the approval of the Minister, obtain the services of or appoint any competent person for the purpose of carrying out a survey, investigation, inquiry or function under this Act.
(Inserted by Act 17 of 2001)
The Minister may direct a licensee who carries on the business of international financial services representation under a name which is—
the Director shall decide whether the matter is to be regarded as a compliance issue or as grave and subsection (2) or (4) shall apply respectively.
and, if the Minister decides to revoke a licence, the Minister shall cause the documents revoking the licence to be served on the licensee.
the magistrate may grant a search warrant authorising the Director, together with any other person named in the warrant and any police officer, to enter the premises, vehicle, vessel or aircraft at any such time within 30 days from the date of the warrant, and to search the premises, vehicle, vessel or aircraft.
An action, prosecution or other proceedings shall not be brought against the Minister, the Director, the Financial Centre Corporation or an agent of the Financial Centre Corporation or other person in respect of any acts or matters done or omitted to be done in good faith in the discharge of functions conferred by this Act.
Except as otherwise expressed in section 4, a person who at the commencement of this Act is carrying on the business of international financial services representation shall within one month of that date, fully comply with the provisions of this Act.
REGISTERED AGENT AND TRUSTEE LICENSING REGULATIONS – SECTION 30
(Statutory Instruments 28/2000 and 33/2001)
Commencement [19 February 2000]
These Regulations may be cited as the Registered Agent and Trustee Licensing Regulations.
In these Regulations—
"Act" means the Registered Agent and Trustee Licensing Act;
"accountant" means a person who is a member of the Institute of Chartered Accountants in Saint Lucia or any other person who is a member of another professional accounting association approved to be an accountant by the Minister;
"attorney-at-law" means a person who has been admitted as a barrister under section 2 of the Legal Profession Act;
"chartered secretary" means a person who is an associate or fellow of the Institute of Chartered Secretaries and Administrators in the United Kingdom;
"licence" means a licence granted under section 6 of the Act;
"qualified trust practitioner" means a person who is—
"registered agent" means a person granted a licence and permitted to act as a registered agent under section 6 of the Act;
"registered trustee" means a person granted a licence and permitted to act as a registered trustee under section 6 of the Act.
"annual licence fees" means the annual fee under section 7 of the Act and regulation 5 of the regulations;
"prescribed licence fee" means the prescribed licence fee under section 6 of the Act.
(Substituted by S.I. 33/2001)
A licence shall be in the form as prescribed in Form 2A or 2B of Schedule 2.
(Inserted by S.I. 33/2001)
A licensee shall under section 7 of the Act submit in duplicate a Certificate of Compliance as prescribed in Form 4A or 4B in Schedule 2 together with the relevant fee prescribed in Schedule 1.
A licensee shall under section 9 of the Act inform the Minister of any change in particulars, by submitting in duplicate, Form 5A or 5B as prescribed in Schedule 2 duly completed together with the relevant fee prescribed in Schedule 1.
Where the Minister revokes a licence under section 20 of the Act, a notice of revocation in the form as prescribed in Form 8A or 8B of Schedule 2 shall be served on the licensee.
The insurance required under section 24 of the Act is US$200, 000 for a registered agent and US$500,000 for a registered trustee.
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