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Revenue eBrief No. 164/25 - Tax and Duty Manual - Part 38-02-01 - Completion of Corporation Tax Returns Form CT1
Revenue eBrief No. 168/25 - Tax and Duty Manual - Part 38-01-03b Guidelines for VAT Registration
Revenue eBrief No. 170/25 - Tax and Duty Manual - Part 04A-01-01A - Guidance on Pillar Two - Registration
Revenue eBrief No. 173/25 - Tax and Duty Manual - Part 38-02-01I - iXBRL filing clarification
Revenue eBrief No. 173/25 - Tax and Duty Manual - Part Part 38-02-01H - iXBRL filing clarification
Revenue eBrief No. 179/25 - ROS Support for the 2025 Pay and File Period, Extended Opening Hours and Updating your bank details
Revenue eBrief No. 278/24 - Tax and Duty Manual - Part 04-05-07 - Interest Relief for Qualifying Financing Companies (QFCs) – Section 76E
Revenue eBrief No. 288/24 - Tax and Duty Manual - Part 04-05-06 - Taxation of provisions and accruals
Revenue eBrief No. 289/24 - Tax and Duty Manual - Part 36-00-19 - Interest on loans to defray money applied for certain purposes
Revenue eBrief No. 292/24 - Tax and Duty Manual - Part 35D-01-01- Guidance on interest limitation
Revenue eBrief No. 307/24 - Tax and Duty Manual - Part 12-04-02 - Leasing ringfences - Sections 403 and 404 TCA 1997
Revenue eBrief No. 322/24 - Tax and Duty Manual - Part 04A-01-02 - Global Minimum Level of Taxation for Multinational Enterprise Groups and Large-Scale Domestic Groups in the Union
Revenue eBrief No. 323/24 - Tax and Duty Manual - Part 38-01-03b - Guidelines for VAT Registration
Revenue eBrief No. 323/24- Tax and Duty Manual - Part 38-01-03a - Guidelines for Registration for IT, CT, RCT, PREM and Certain Other Taxheads
Revenue eBrief No. 325/24 - Tax and Duty Manual - Co-operative Compliance Framework - Large Corporates Division and High Wealth & Financial Services Division
Review of fees charged to third country CCPs
Review of the AIFMD and UCITS
Review of the DGS Regulations 2024 - Individual Customer Assessment Policy (Beleidsregel Individueel Klantbeeld)
Review of the DGS Regulations 2024 - Policy Rule on the Scope and Implementation of the Deposit Guarantee Scheme (Beleidsregel Reikwijdte en Uitvoering Depositogarantiestelsel)
Review of the Global Monitoring Exercise (GME)
Review of the Mortgage Credit Directive
Review of the regulatory framework for securitisation in Solvency II
Review of the RTS on the information for an application for authorisation and registration under the Benchmarks Regulation
Review of the VAT rules for financial and insurance services
Revised guidelines on reporting for financial stability purposes under Solvency II
Revised Guidelines on ring-fenced funds
Revised Guidelines on supervisory review process
Revised guidelines on the methods for determining the market shares for reporting
Revised guidelines on the supervision of branches of third-country insurance undertakings under Solvency II
Revised Guidelines on the valuation of technical provisions
Revised Insurance Core Principles (ICPs) and ComFrame material integrated with ICPs
Revised ITS on the treatment of matching adjustment
Revision ICP 17 - Capital Adequacy
Revision IRRBB Guidelines
Revision of certain procedural aspects of EU merger control
Revision of circular on requirements for the appointment of external valuers for real estate and real estate companies
Revision of guidelines on the treatment of market and counterparty risk exposures in the standard formula
Revision of guidelines on undertaking-specific parameters
Revision of ICP 14 - Valuation
Revision of the CSDR (Central Securities Depositories Regulation)
Revision of the general ruling on a request for pension data from EIOPA
Revision of the GRI Topic Standard Climate Change
Revision of the GRI Topic Standard Energy
Revision of the IDW statement on accounting: Accounting for financial instruments held for trading by institutions (IDW ERS BFA 2 n.F.)
Revision of the IDW statement on accounting: Accounting for interests in commercial partnerships in annual financial statements prepared in accordance with the German Commercial Code (IDW ERS FAB 18)
Revision of the IDW statement on accounting: Accounting treatment of emission allowances and GHG quota trading under commercial law (IDW ERS FAB 15)
Revision of the IDW Statement on the Distinction between Maintenance Expenses and Production Costs for Buildings
Revision of the ITS on disclosure of solvency and financial condition under Solvency II
Revision of the ITS with regard to the templates for supervisory reporting under Solvency II
Revision of the Mutual Assistance Directive in relation to the taxation of multinational enterprises (DAC 9)
Revision of the opinion on the supervisory assessment of internal models including a dynamic volatility adjustment due to the Solvency II Review
Revision of the Recommendation on the transparency and beneficial ownership of legal arrangements
Revisions to Insurance Core Principles (ICPs) 8 & 12 and the associated ComFrame standards
Revisions to the Recommendation on G20/OECD High-Level Principles on Financial Consumer Protection
RFR Technical Documentation
Riksbankens finansiering (The financing of the Riksbank (Swedish Central Bank))
Risk-based and preventive framework for business supervision
Risk-free interest rate (RFR) term structures
Risk-Free Interest Rate Term Structures
Risk-free interest rate term structures
Riskskatt för kreditinstitut [Risk tax for credit institutions]
Role and functioning of PPSs
RTS amending the rules for the European passport for investment services
RTS for CCPs on authorisation of additional services or model changes
RTS for financial support within the Group
RTS for indirect subscription of MREL instruments within groups
RTS for Initial Margin Model Validation (IMMV)
RTS for standards for the assessment of market risk models for reviewing the trading book
RTS for the management of sustainability risks
RTS for the transmission of information under Art. 22 of the CSDR
RTS on anti-cyclical measures of the CCP
RTS on applicability criteria for macroprudential analysis
RTS on criteria for assessing knowledge and experience of analysts for EuGB
RTS on enhancing the supervision of cross-border activities
RTS on factors for determining companies under dominant influence
RTS on individual portfolio management by providers of crowdfunding services
RTS on Liquidity Management Tools under the AIFMD
RTS on Liquidity Management Tools under the UCITS Directive
RTS on liquidity risk management plans
RTS on residual risk add-on exemption
RTS on resolution colleges of CCPs
RTS on the authorisation of CTPs
RTS on the content and format of the order book records under MiCAR
RTS on the content of preventive (group) recovery plans - IRRD
RTS on the content of resolution plans and group resolution plans - IRRD
RTS on the criteria for preventive recovery planning requirements and the methods for determining market shares - IRRD
RTS on the disclosure of costs under the ELTIF Regulation
RTS on the information to be notified to ESMA by third-country CSDs
RTS on the notification by certain financial entities of their intention to provide crypto-asset services
RTS on the reclassification of investment firms as credit institutions
RTS on the revenue distribution scheme of CTPs
RTS on the revision of the disclosure framework for private securitisations
RTS on the revision of the form and content of the application for recognition of a reference value
RTS on the risk assessment for the purpose of selection of credit institutions, financial institutions and groups of credit and financial institutions for direct supervision
RTS on the simplified calculation of the risk margin
RTS on the update of the guidelines on governing bodies of data reporting services
RTS on trade transparency under MiCAR
RTS regarding thresholds for credit institutions
RTS related to implementation of a new prudential regime for investment firms
RTS setting the threshold for prudential risk management requirements for CSDs providing banking-type ancillary services
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