EQUINE AND LIVESTOCK INSURANCE COMPANY LIMITED (THE)

Date authorised
1 April 2013
Companies House
00294940
Last scraped
3 weeks ago
Watch for changes

Addresses

The contact details this firm has registered with the FCA.

  • Principal Place of Business

    Thorpe Underwood Hall
    Ouseburn
    York
    North Yorkshire
    YO26 9SS
    UNITED KINGDOM
    Phone
    +443300244007
  • Complaints Contact

    Thorpe Underwood Hall
    Ouseburn
    York
    North Yorkshire
    YO26 9SS
    UNITED KINGDOM
    Phone
    +443300244007

What this firm is allowed to do

The regulated activities the FCA has granted this firm permission to carry out.

  • Bank Deposits

    For All, Deposit

    Show 1 limitation
    • · Limited to accepting deposits in the course of carrying on insurance business for which the firm holds a permission.
  • P2P Lending Advice

    For Commercial, Retail (Non-Investment Insurance)

  • Investment Advice (no pensions)

    For Commercial, Retail (Non-Investment Insurance), Non-investment insurance contracts

  • Authorised to Operate

    Show 1 limitation
    • · The firm can only agree to carry on the regulated activities specified in this Notice.
  • Arranges Investments

    For Commercial, Retail (Non-Investment Insurance), Non-investment insurance contracts

  • Insurance Admin

    For Commercial, Retail (Non-Investment Insurance), Non-investment insurance contracts

  • Manages Insurance Policies

    For All, Damage to property, Fire and natural forces, General liability, Legal expenses, Liability for ships, Miscellaneous financial loss, Ships

  • Credit Brokering

  • Stockbroking

    For Commercial, Retail (Non-Investment Insurance), Non-investment insurance contracts

  • Trades With You Directly

    For Eligible Counterparty, Professional, Retail (Investment), Commodity Future, Commodity option and option on commodity future, Contract for Differences (excluding a spread bet and, a rolling spot forex contract and a binary bet), Future (excluding a commodity future and a rolling spot forex contract), Option (excluding a commodity option and an option on a commodity future), Rights to or interests in investments (Contractually Based Investments), Rolling spot forex contract, Spread Bet

    Show 2 limitations
    • · Investment activity in "rights to or interests in investments (contractually based)" is limited to investment types granted for this activity.
    • · The firm, in carrying out this regulated activity, is limited to entering into transactions in a manner which, if the firm was an unauthorised person, would come within article 16 of the RAO.
  • Issues Insurance

    For All, Damage to property, Fire and natural forces, General liability, Legal expenses, Liability for ships, Miscellaneous financial loss, Ships

  • Consumer Loans

  • Loan Servicing

  • Investment Setup

    For Commercial, Retail (Non-Investment Insurance), Non-investment insurance contracts

Approved individuals

Senior staff personally approved by the FCA to hold their roles here.

  • Elisabeth Mary Walker

    IRN EMW01061

    • SMF12 Chair of the Remuneration Committee (since 10 Dec 2018)
    • SMF11 Chair of the Audit Committee (since 10 Dec 2018)
    • SMF10 Chair of the Risk Committee (since 10 Dec 2018)
    • SIMF10 Chair of the Risk Committee (14 Sep 2017 to 9 Dec 2018)
    • SIMF11 Chair of the Audit Committee (14 Sep 2017 to 9 Dec 2018)
    • SIMF12 Chair of the Remuneration Committee (14 Sep 2017 to 9 Dec 2018)
  • Elizabeth Martin

    IRN EXM01073

    • CF4 Partner (AR) (22 Jan 2018 to 29 Jul 2022)
    • CF1 Director (1 Dec 2001 to 4 Nov 2015)
  • Francis David Martin

    IRN FDM01001

    • SMF1 Chief Executive (since 10 Dec 2018)
    • Responsible for Insurance Distribution (since 1 Oct 2018)
    • CF1 Director (AR) (since 12 Jan 2015)
    • SMF4 Chief Risk (10 Dec 2018 to 19 Apr 2022)
    • SIMF4 Chief Risk Function (7 Mar 2016 to 9 Dec 2018)
    • SIMF1 Chief Executive Function (7 Mar 2016 to 9 Dec 2018)
    • CF3 Chief Executive (4 Jan 2016 to 6 Mar 2016)
    • Responsible for Insurance Mediation (14 Jan 2005 to 30 Sep 2018)
    • CF1 Director (1 Dec 2001 to 6 Mar 2016)
  • Graham Brown

    IRN GXB86807

    • SMF20 Chief Actuary (since 16 Oct 2020)
  • Grant McGregor

    IRN GXM02198

    • CF1 Director (AR) (1 Dec 2014 to 3 Aug 2018)
  • Greig Moran

    IRN GXM00020

    • SMF16 Compliance Oversight (7 Apr 2021 to 31 Dec 2021)
    • SMF4 Chief Risk (21 Dec 2020 to 31 Dec 2021)
    • [FCA CF] Significant management (14 Sep 2020 to 31 Dec 2021)
  • Jane Shaw

    IRN JXS27018

    • [PRA CF] Key function holder (since 11 Sep 2019)
  • Jason Milner

    IRN JXM00261

    • [PRA CF] Key function holder (since 1 Dec 2020)
  • Karen Howells-Lee

    IRN KXH01247

    • SMF24 Chief Operations (since 19 Mar 2019)
    • SMF23 Chief Underwriting Officer (since 10 Dec 2018)
    • CF1 Director (AR) (since 9 Nov 2015)
    • SIMF22 Chief Underwriting Officer Function (7 Mar 2016 to 9 Dec 2018)
    • CF1 Director (1 Dec 2001 to 6 Mar 2016)
  • Kay Turner

    IRN KJB01113

    • SMF17 Money Laundering Reporting Officer (MLRO) (since 10 Dec 2018)
    • SMF16 Compliance Oversight (28 Jan 2019 to 11 Apr 2022)
    • CF11 Money Laundering Reporting (1 Aug 2014 to 9 Dec 2018)
    • CF29 Significant management (1 Nov 2007 to 9 Dec 2018)
    • CF17 Significant Mgt (Other Business Operations) (16 Mar 2004 to 31 Oct 2007)

Appointed representatives

Smaller firms operating under this firm's FCA authorisation.

Recent activity

Updates to this firm's record on the FCA register.

No changes recorded yet.