Whistleblowing | Prudential Regulation Authority Handbook & Rulebook
Prudential Regulation Authority Rulebook

Prudential Regulation Authority Rulebook

Guidance

SS44/15 – Solvency II: third-country insurance and pure reinsurance branches

Chapter

Whistleblowing

Printed on: 25/06/2025

Rulebook at: 04/10/2024


12

Whistleblowing

12.1

Third-country branches are required to comply with Rule 2.4 in the Whistleblowing Part of the PRA Rulebook, in relation to a third-country branch undertaking’s workers in the UK. Third-country branches should refer to the expectations in SS39/15 – ‘Whistleblowing in deposit-takers, PRA-designated investment firms and insurers’ for guidance on how to comply with the relevant whistleblowing requirements.[16]

Footnotes

  • 16. Supervisory Statement 39/15 ‘Whistleblowing in deposit-takers, PRA-designated investment firms and insurers’: www.bankofengland.co.uk/prudential-regulation/publication/2015/whistleblowing-in-deposit-takers-pra-designated-investment-firms-and-insurers-ss.
  • 23/05/2024