Federal Register of Legislation - Australian Government

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No. 24 of 2013 Determinations/Other as made
This instrument determines information provided by trustees under Reporting Standard SRS 200.0, SRS 210.0, SRS 210.1, SRS 230, SRS 240.0 and SRS 250.0.
Administered by: Treasury
Made 11 Dec 2013
Registered 12 Dec 2013
Tabled HR 11 Feb 2014
Tabled Senate 11 Feb 2014

 

 

 

Australian Prudential Regulation Authority

(confidentiality) determination No.24 of 2013

 

Information provided by trustees under Reporting Standard SRS 200.0, SRS 210.0, SRS 210.1, SRS 230, SRS 240.0 and SRS 250.0

 

Australian Prudential Regulation Authority Act 1998

 

 

 

I, Juanita Hoare, a delegate of APRA, under section 57 of the Australian Prudential

Regulation Authority Act 1998, DETERMINE that a reporting document described in Part 1

of the Schedule does not contain confidential information, except for the items of information

specified in Part 2 of the Schedule.

 

This determination has effect on the date of registration on the Federal Register of Legislative

Instruments under the Legislative Instruments Act 2003.

 


Note:


The effect of this determination is that the non-confidential information may be published under


subsection 56(5C) of the Australian Prudential Regulation Authority Act.

 

Dated 11 December 2013

 

[Signed]

 

 

 

Juanita Hoare

Senior Manager

Policy, Statistics and International

 

 

 

Interpretation                                                                                      Document ID: 211684

In this determination

APRA means the Australian Prudential Regulation Authority.


Schedule

 

Part 1 (reporting documents covered by this determination)

 

 

A reporting document (within the meaning of section 13 of the Financial Sector (Collection of Data Act) 2001) is covered by this determination if the reporting document satisfies all of the following conditions:

1.            The reporting document relates to a reporting period ending on or after 1 January

2004 and before 1 January 2014.

2.            The reporting document was given to APRA under:

(a)           reporting form SRF 200.00, under Reporting Standard SRS 200.0 (2005) Statement of Financial Performance made under Financial Sector (Collection of Data) determination No. 51 of 2005 or a prior reporting standard of the same name and number; or

(b)           reporting form SRF 210.0, under Reporting Standard SRS 210.0 (2005) Statement of Financial Position made under Financial Sector (Collection of Data) determination No. 52 of 2005 or a prior reporting standard of the same name and number; or

(c)           parts A, C & E of reporting form SRF 210.1, under Reporting Standard SRS 210.1 (2005) Selected Disclosure of Investments made under Financial Sector (Collection of Data) determination No. 53 of 2005 or a prior reporting standard of the same name and number; or

(d)          reporting form SRF 230.0, under Reporting Standard SRS 230.0 (2005) Transactions with Associated Entities made under Financial Sector (Collection of Data) determination No. 56 of 2005 or a prior reporting standard of the same name and number; or

(e)           reporting form SRF 240.0, under Reporting Standard SRS 240.0 (2005) Membership Profile made under Financial Sector (Collection of Data) determination No. 57 of 2005 or a prior reporting standard of the same name and number; or

(f)           reporting form SRF 250.0, under Reporting Standard SRS 250.0 (2005) Superannuation Entity Profile made under Financial Sector (Collection of Data) determination No. 41 of 2005 or a prior reporting standard of the same name and number.

3.            The reporting document was received by APRA on or after 13 December 2012 and before the date of this determination.

 

 

Schedule

 

Part 2 (items of information from reporting documents that are to remain confidential)

 

 

1.        Information reported in a reporting document for a superannuation entity or


institution that is a pooled superannuation trust, within the meaning of the

Superannuation Industry (Supervision) Act 1993.

2.        Personal information, within the meaning of the Privacy Act 1988.