Jan 4, 2017
On 15 December 2016 the Cyprus Securities and Exchange Commission (“CySEC”) issued for consultation a draft law dealing with the submission of complaints about regulatory infringements and the protection of persons raising such complaints, together with a draft explanatory circular regarding the implementation of the proposed law.
The draft law has been issued to meet Cyprus’s obligations as an EU member state to establish a framework for resolving complaints under EU legislation, particularly:
The draft law deals with complaints regarding violation or possible violation of the regulatory framework made by any person to CySEC, or made to a business regulated by CySEC by an employee of the business. The draft law provides protection to “whistle-blowers” against retaliatory action by the person or business complained about. It also provides for the possibility of anonymous complaints and the protection of the complainant’s identity in other than in criminal proceedings.
The draft law does not deal with complaints by customers regarding the services of regulated entities, which should be dealt with in accordance with the procedure published on the CySEC website dealing with investor protection.
Violations of the proposed new law are punishable by an administrative fine of up to €500,000 and up to €1 million for a repeat offence. The draft law also makes it a criminal offence, punishable by imprisonment for up to five years, a fine of up to €350,000 or both, to knowingly make a false complaint, to prevent a person from making a complaint, or to threaten, intimidate or otherwise interfere with anyone who has made or intends to make a complaint, or their relatives or friends.