FSCA Compliance

Trust in Transparency

The FSCA Compliant Seal confirms that Myfin 1237 Financial Services(Pty)Ltd 2012/205235/07  is a registered financial services provider (“FSP”) with the Financial Services Conduct Authority (“FSCA”). Several consecutive compliance monitoring visits and audits are conducted at the business premises of the (FSP) per annum with official reporting to the FSCA. During these visits, the policies and procedures of the FSP ARE measured against the requirements set out in the FSCA Act (37) of 2002 (as amended) and sub-ordinate legislation as prescribed by the Financial Services Board. Amongst other, our Compliance Officers further verify  the appropriateness, completeness and quality of the advice and/or products recommended by the FSP to our clients ensuring our overall professionalism.

Myfin is proud that it consistently maintains a high level of compliance with the procedures as prescribed in the FSCA Act (37) of 2002. This verification is subject to annual review and the FSCA retains the right to withdraw the license of the FSP at any time should the FSP not conform or be in contravention.



Statutory Notice

Disclosure Notice

Complaints Policy and Procedure

Conflict of Interest Policy

Health Care Broker Accreditation

FSCA License

FSCA License Annexure


PLEASE NOTE: Kindly contact our office should you require any of the documents above that are currently not available (not linked to downloads). Our website will be updated soon.

For More Information