Pense Limited
Addresses
The contact details this firm has registered with the FCA.
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Principal Place of Business
1 Derwent HouseRichmond Business ParkSidings CourtDoncasterDN4 5NLUNITED KINGDOM- Phone
- +4401302496300
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Complaints Contact
1 Derwent HouseRichmond Business ParkSidings CourtDoncasterDN4 5NLUNITED KINGDOM- Phone
- +4401302496300
What this firm is allowed to do
The regulated activities the FCA has granted this firm permission to carry out.
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Buy-to-Let Mortgage Advice
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Buy-to-Let Mortgage Arranging
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P2P Lending Advice
For Commercial, Professional, Retail (Investment), Retail (Non-Investment Insurance)
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Pension Transfer Advice
For Retail (Investment), Life Policy, Personal pension scheme, Rights to or interests in investments (Contractually Based Investments), Rights to or interests in investments (Security), Stakeholder pension scheme, Unit
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- · This activity is limited to the provision of advice in relation to the conversion or transfer of benefits from: i) pension policies with a Guaranteed Annuity Rate (for the avoidance of doubt, this includes policies which are retirement annuity contracts with a minimum guaranteed income, where that income satisfies limb (b) of the Glossary definition of Guaranteed Annuity Rate); ii) defined contribution occupational schemes without safeguarded benefits.
- · Investment activity in "rights to or interests in investments (security)" and "rights to or interests in investments (contractually based investment)" is limited to the investment types granted for this activity.
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Investment Advice (no pensions)
For Commercial, Professional, Retail (Investment), Retail (Non-Investment Insurance), Certificates representing certain security, Debenture, Government and public security, Life Policy, Non-investment insurance contracts, Personal pension scheme, Rights to or interests in investments (Contractually Based Investments), Rights to or interests in investments (Security), Share, Stakeholder pension scheme, Structured Deposits, Unit, Warrant
Show 1 limitation Hide limitations
- · Investment activity in "rights to or interests in investments (security)" and "rights to or interests in investments (contractually based investment)" is limited to the investment types granted for this activity.
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Mortgage Advice
For Customer, Regulated mortgage contract
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Authorised to Operate
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- · The firm can only agree to carry on the regulated activities specified in this Notice.
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Arranges Investments
For Commercial, Professional, Retail (Investment), Retail (Non-Investment Insurance), Certificates representing certain security, Debenture, Government and public security, Life Policy, Non-investment insurance contracts, Personal pension scheme, Rights to or interests in investments (Contractually Based Investments), Rights to or interests in investments (Security), Share, Stakeholder pension scheme, Structured Deposits, Unit, Warrant
Show 1 limitation Hide limitations
- · Investment activity in "rights to or interests in investments (security)" and "rights to or interests in investments (contractually based investment)" is limited to the investment types granted for this activity.
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Mortgage Arranging
For Customer, Regulated mortgage contract
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Buy-to-Let Start Date
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Buy-to-Let Status
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Credit Brokering
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Debt Advice
Show 2 limitations Hide limitations
- · The permission is limited to debt counselling which is provided in connection with investment advice and regulated mortgage contracts.
- · Limited to debt counselling excluding giving advice about debt management plans. In this limitation “debt management plans” is defined as: “a non-statutory agreement between a customer and one or more of the customer's lenders the aim of which is to discharge or liquidate the customer's debts, by making regular payments to a third party which administers the plan and distributes the money to the lenders”.
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Mortgage Setup
For Customer, Regulated mortgage contract
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Investment Setup
For Commercial, Professional, Retail (Investment), Retail (Non-Investment Insurance), Certificates representing certain security, Debenture, Government and public security, Life Policy, Non-investment insurance contracts, Personal pension scheme, Rights to or interests in investments (Contractually Based Investments), Rights to or interests in investments (Security), Share, Stakeholder pension scheme, Structured Deposits, Unit, Warrant
Show 1 limitation Hide limitations
- · Investment activity in "rights to or interests in investments (security)" and "rights to or interests in investments (contractually based investment)" is limited to the investment types granted for this activity.
Approved individuals
Senior staff personally approved by the FCA to hold their roles here.
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Christian Alexander Derrick
IRN CXD00661
- SMF3 Executive Director (since 1 Oct 2025)
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James Allott
IRN JXA02223
- 4. Giving personal recommendations on retail investment products which are not broker funds
- SMF16 Compliance Oversight (since 9 Sep 2024)
- SMF17 Money Laundering Reporting Officer (MLRO) (since 9 Sep 2024)
- [FCA CF] Manager of certification employee (since 1 Aug 2024)
- [FCA CF] Material risk taker (since 1 Aug 2024)
- [FCA CF] Client dealing (since 1 Aug 2024)
- [FCA CF] Functions requiring qualifications (since 1 Aug 2024)
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John James Mulcahy
IRN JJM00046
- CF30 Customer (1 Nov 2007 to 30 Jun 2014)
- CF21 Investment Adviser (28 Apr 2004 to 31 Oct 2007)
- CF11 Money Laundering Reporting (28 Apr 2004 to 30 Jun 2014)
- CF1 Director (28 Apr 2004 to 30 Jun 2014)
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Jonathan Martin Beardsall
IRN JMB00034
- SMF16 Compliance Oversight (27 Apr 2022 to 17 Jul 2024)
- Responsible for Insurance Distribution (27 Apr 2022 to 17 Jul 2024)
- SMF17 Money Laundering Reporting Officer (MLRO) (27 Apr 2022 to 17 Jul 2024)
- [FCA CF] Functions requiring qualifications (1 Apr 2022 to 10 Apr 2024)
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Kirk Simon Yeomans
IRN KSY01005
- 4. Giving personal recommendations on retail investment products which are not broker funds
- [FCA CF] Client dealing (since 2 Oct 2024)
- [FCA CF] Functions requiring qualifications (since 2 Sep 2024)
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Linton John Henfrey
IRN LJH00008
- SMF3 Executive Director (9 Dec 2019 to 25 Aug 2020)
- Responsible for Insurance Distribution (1 Oct 2018 to 18 Oct 2019)
- Responsibility for MCD Intermediation (21 Mar 2016 to 18 Oct 2019)
- CF11 Money Laundering Reporting (9 Jul 2014 to 18 Oct 2019)
- CF8 Apportionment and Oversight (8 Dec 2008 to 31 Mar 2009)
- CF30 Customer (1 Nov 2007 to 8 Dec 2019)
- Responsible for Insurance Mediation (14 Jan 2005 to 30 Sep 2018)
- CF21 Investment Adviser (28 Apr 2004 to 31 Oct 2007)
- CF10 Compliance Oversight (28 Apr 2004 to 18 Oct 2019)
- CF1 Director (28 Apr 2004 to 8 Dec 2019)
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Mark Blanchfield
IRN MXB00323
- SMF3 Executive Director (7 Jan 2022 to 25 Feb 2022)
- SMF17 Money Laundering Reporting Officer (MLRO) (7 Jan 2022 to 25 Feb 2022)
- SMF16 Compliance Oversight (7 Jan 2022 to 25 Feb 2022)
- Responsible for Insurance Distribution (7 Jan 2022 to 25 Feb 2022)
- [FCA CF] Functions requiring qualifications (1 Sep 2021 to 11 Aug 2022)
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Martyn Edwards
IRN MXE00042
- 4. Giving personal recommendations on retail investment products which are not broker funds
- [FCA CF] Client dealing (since 26 Jan 2026)
- [FCA CF] Functions requiring qualifications (since 26 Jan 2026)
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Richard James Morrall
IRN RJM01471
- Responsible for Insurance Mediation (since 4 Oct 2024)
- SMF3 Executive Director (since 18 Nov 2021)
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Ross Taylor
IRN RXT00406
- 4. Giving personal recommendations on retail investment products which are not broker funds
- [FCA CF] Client dealing (since 1 Apr 2025)
- [FCA CF] Functions requiring qualifications (since 1 Apr 2025)
Appointed representatives
Smaller firms operating under this firm's FCA authorisation.
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Immediate Media Company London Limited
FRN 616930 · Appointed 26 Jan 2026
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NEWS CORP UK & IRELAND LIMITED
FRN 1037980 · Appointed 23 Jul 2025
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Associated Newspapers Limited
FRN 591724 · Appointed 7 Nov 2024
Recent activity
Updates to this firm's record on the FCA register.
No changes recorded yet.