Client Funds Safeguarding Programme
What this control requires
Implement PSD2 Article 9 safeguarding for all client funds. Select and document method: (A) segregated accounts at credit institution, (B) insurance/guarantee, or (C) combination. Calculate protected amount daily. Reconcile daily. Annual external safeguarding audit.
Other PSD2 controls
EU_PSD2-CTRL-001 - Daily safeguarding reconciliationEU_PSD2-CTRL-002 - Critical ICT incident reportingEU_PSD2-CTRL-003 - GDPR breach notification workflowEU_PSD2-CTRL-004 - AML suspicious transaction monitoringEU_PSD2-CTRL-005 - Quarterly PCI vulnerability assessmentEU_PSD2-CTRL-006 - Outsourcing provider oversightEU_PSD2-CTRL-007 - DORA Register of Information maintenanceEU_PSD2-CTRL-008 - CTIF suspicious activity escalationEU_PSD2-CTRL-009 - NIS2 cyber resilience testingEU_PSD2-CTRL-010 - Instant payment availability monitoringPSD2-A10-001 - Own Funds Capital Adequacy ProgrammePSD2-A30-001 - Strong Customer Authentication (SCA) Implementation