The Module 1A Exam applies to all persons who wish to deal in securities products for a principal company that is a member of Singapore Exchange – Securities Trading Limited
The Module 1B Exam applies to all persons who wish to deal in securities products for a principal company that is not a member of Singapore Exchange – Securities Trading Limited
The Module 2A Exam applies to all persons who wish to deal in futures products for a principal company that is a member of Singapore Exchange – Derivatives Trading Limited
The Module 8 Exam applies to persons who intend to carry out the regulated activity of fund management and the units in CIS they markets are Excluded Investment Products & managed/operated by his principal/related corporation
The Module 8A Exam applies to persons who intend to carry out the regulated activity of fund management and the units in CIS he markets are Specified Investment Products & managed/operated by his principal/related corporation
The Module 9 Exam applies to persons who intend to provide advice on and/or arrange life insurance policies (whether or not including investment-linked policies)
Health Insurance HI Question Bank/ Practice Questions
The Health Insurance Module applies to all life & general insurance intermediaries and their staff members who are involved in advising and / or selling any Health Insurance products, including
Basic Insurance Concepts and Principles BCP Question Bank/ Practice Questions
The Basic Insurance Concepts and Principles (BCP) Exam applies to all relevant persons (including general insurance intermediaries and employees of insurance agencies, insurance broking companies, insurance companies, finance companies, banks, as well as merchant banks) who wish to
sells and / or provides sales advice and / or
handles claims and / or
gives advice on claims
Passing the BCP exam is one of the requirements for obtaining either the Personal General Insurance Certification or the Commercial General Insurance Certification
Client Advisor Competency Standards (CACS) Assessment Paper 1 Question Bank/ Practice Questions
The Client Advisor Competency Standards (CACS) Assessment applies to client-facing roles who serve high net worth clients on behalf of a private bank/covered person. Paper 1 is Legislations, Regulations & Industry Codes of Practice
Client Advisor Competency Standards (CACS) Assessment Paper 2 Question Bank/ Practice Questions
The Client Advisor Competency Standards (CACS) Assessment applies to client-facing roles who serve high net worth clients on behalf of a private bank/covered person. Paper 2 is Industry & Product Knowledge
Financial Markets Regulatory Practices FMRP Question Bank/ Practice Questions
The Financial Markets Regulatory Practices (FMRP) Exam applies to OTC dealers & brokers engaging in wholesale dealing of foreign exchange, money market instruments and derivative products in Singapore