Tipton and Coseley Building Society
- FRN
- 159601
- Date authorised
- 1 April 2013
- Last scraped
- 3 weeks ago
Addresses
The contact details this firm has registered with the FCA.
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Principal Place of Business
70 Owen StreetTiptonWest MidlandsDY4 8HGUNITED KINGDOM- Phone
- +4401215572551
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Complaints Contact
70 Owen StreetTiptonWest MidlandsDY4 8HGUNITED KINGDOM- Phone
- +4401215572551
What this firm is allowed to do
The regulated activities the FCA has granted this firm permission to carry out.
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Bank Deposits
For All, Deposit
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Buy-to-Let Mortgage Admin
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Buy-to-Let Mortgage Advice
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Buy-to-Let Mortgage Lending
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Mortgage Servicing
For Customer, Regulated mortgage contract
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Investment Advice (no pensions)
For Commercial, Retail (Non-Investment Insurance), Non-investment insurance contracts
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Mortgage Advice
For Customer, Regulated mortgage contract
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Authorised to Operate
Show 1 limitation Hide limitations
- · The firm can only agree to carry on the regulated activities specified in this Notice.
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Arranges Investments
For Commercial, Retail (Non-Investment Insurance), Non-investment insurance contracts
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Mortgage Arranging
For Customer, Regulated mortgage contract
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Insurance Admin
For Commercial, Retail (Non-Investment Insurance), Non-investment insurance contracts
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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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Stockbroking
For Commercial, Retail (Non-Investment Insurance), Non-investment insurance contracts
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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 Hide limitations
- · 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.
- · Investment activity in "rights to or interests in investments (contractually based)" is limited to investment types granted for this activity.
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Debt Advice
Show 1 limitation Hide limitations
- · 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 Lending
For Customer, Regulated mortgage contract
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Mortgage Setup
For Customer, Regulated mortgage contract
Approved individuals
Senior staff personally approved by the FCA to hold their roles here.
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Emma Ann Simcox
IRN EXS38343
- [FCA CF] Functions requiring qualifications (1 Jul 2018 to 29 Oct 2021)
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Gail Ann Duffield
IRN GXD38339
- [FCA CF] Functions requiring qualifications (7 Mar 2016 to 30 Jun 2022)
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Gavin Edward Loynes
IRN GEL01026
- SMF12 Chair of the Remuneration Committee (7 Mar 2016 to 31 May 2019)
- CF2 Non Executive Director (1 May 2011 to 6 Mar 2016)
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Ian Robert Cross
IRN IRC01043
- CF2 Non Executive Director (1 Dec 2001 to 21 Apr 2009)
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Janet Patricia Chapman
IRN JPC01259
- SMF11 Chair of the Audit Committee (since 15 May 2024)
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Jason Allen Newsway
IRN JXN00143
- Responsible for Insurance Distribution (since 2 Jul 2021)
- SMF18 Other Overall Responsibility (since 2 Jul 2021)
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Jeremy David Cross
IRN JDC01196
- SMF9 Chair of the Governing Body (since 29 Jul 2022)
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Jill Bentley
IRN JXB00391
- SMF10 Chair of the Risk Committee (since 13 May 2025)
- Director of firm who is not a certification employee or a SMF manager (since 4 Nov 2022)
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John James Miller
IRN JJM01134
- Responsibility for MCD Intermediation (21 Mar 2016 to 31 Dec 2016)
- SMF16 Compliance Oversight (7 Mar 2016 to 4 Jul 2016)
- SMF17 Money Laundering Reporting Officer (MLRO) (7 Mar 2016 to 4 Jul 2016)
- SMF3 Executive Director (7 Mar 2016 to 31 Dec 2016)
- Responsible for Insurance Mediation (14 Jan 2005 to 31 Dec 2016)
- CF10 Compliance Oversight (30 Mar 2004 to 6 Mar 2016)
- CF1 Director (1 Dec 2001 to 6 Mar 2016)
- CF11 Money Laundering Reporting (1 Dec 2001 to 6 Mar 2016)
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Keith Andrew Rolfe
IRN KAR01085
- SMF14 Senior Independent Director (7 Aug 2018 to 28 Apr 2025)
- SMF10 Chair of the Risk Committee (7 Mar 2016 to 28 Apr 2025)
- CF2 Non Executive Director (21 May 2015 to 6 Mar 2016)
Recent activity
Updates to this firm's record on the FCA register.
No changes recorded yet.