2015-06-30
The Prudential Control and Resolution Authority issued Instruction No. 2015-I-16 to specify the documentation requirements for insurance entities exercising freedom of establishment or free provision of services in other EEA states. The instruction mandates the submission of detailed information regarding the entity's structure, planned activities, governance, and financial projections, with additional requirements for branch establishments. These documents must be submitted in duplicate, including certified translations, to the Authority's Secretariat General starting January 1, 2016.