2015-06-15

Instruction No. 2015-I-13 of June 15, 2015, on the reporting of prudential financial information applicable to significant and less significant groups and entities, as amended by Instruction No. 2016-I-11 of June 6, 2016

The Prudential Control and Resolution Authority mandates significant and less significant financial groups and entities to submit detailed prudential financial information to its General Secretariat. The instruction specifies distinct reporting deadlines, formats (XML-XBRL), and electronic signature requirements based on the entity's classification and consolidation basis. These obligations entered into force in stages, with initial deadlines set for December 2015 and June 2016.

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Autorite de Controle Prudentiel et de Resolution

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