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This Module contains the CBB's Directive (as amended from time to time) relating to auditors and accounting standards used by investment firm licenseesG , and is issued under the powers available to the CBB under Article 38 of the CBB Law. The Directive in this Module is applicable to all investment firm licenseesG .

Amended: January 2011
Added: January 2007
(2 Versions)
Jul 1 2007 - Dec 31 2010Jan 1 2011 onwards
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