Tobacco Products Control Act, 1993
R 385
Financial Advisory and Intermediary Services Act, 2002 (Act No. 37 of 2002)RulesProceedings of the Office of the Ombud for Financial Services Providers Amendment Rules, 20041. Definitions and application |
(a) | In these Rules, "the Act" means the Financial Advisory and Intermediary Services Act, 2002 (Act No. 37 of 2002), and unless the context indicates otherwise, words and expressions used in these Rules bear the same meaning as that of similar words and expressions used in the Act. |
(b) | These Rules apply in particular to the proceedings of the Ombud conducted in terms of Part I of Chapter VI of the Act, and must be read in conjunction with the provisions of the Act. |
(c) | "These Rules" mean the Rules on Proceedings of the Office of the Ombud for Financial Service Providers made under section 26 of the Act, as amended or re-enacted from time to time. |
[Rule 1(c) substituted by section 2 of Board Notice 100, GG26844, dated 29 September 2004]