This Compliance Team Manual sets out the policies and procedures which Paragon International Insurance Brokers Ltd (‘Paragon’) must observe to fulfil Paragon’s own administrative requirements and to achieve compliance with the requirements of the Financial Services and Markets Act 2000 (‘the Act’) (as amended from time to time), the rules and guidance of the Financial Conduct Authority (‘FCA’), and other relevant laws, rules and regulations that apply to Paragon while carrying on insurance distribution activities.

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