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571AA PDFTitle:Securities and Futures (Levy) RulesGazette Number:E.R. 1 of 2012
Section:4Heading:Market Operator to remit levies*Version Date:09/02/2012

Where the Market Operator has collected the levy paid to it under section 3, it shall pay the levy, by way of remittance, to the Commission by paying it into such bank account as may be specified by the Commission, on the 15th day of the month following the month of the collection of the levy or, where the 15th day is not a business day, on the next business day.

(L.N. 116 of 2011)
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* (Amended L.N. 116 of 2011)