This instrument relieves market participants, in certain circumstances, from the obligation under subrule 2.3.2(1) of the ASIC Market Integrity Rules (Futures Markets) 2017 (the Rules) to perform daily client segregated account (CSA) reconciliations by 7.00 pm on the next business day and also from the obligation under paragraph 2.3.4(a) of the Rules to notify ASIC, in writing, within two business days, if the reconciliation has not been performed by 7.00 pm on the next business day.
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Administered by: Treasury
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Sunset Details
Sunset Date
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