The association shall adopt written procedures for the prevention and management of conflicts of interest.
It shall inform the Autorité de contrôle prudentiel et de résolution and its members of any links of any kind, in particular capital or commercial links, as well as offices held on a voluntary basis, between the members of its governing bodies and insurance distributors or training organisations that could constitute conflicts of interest.
At least once a year, the Association shall review its procedure relating to conflicts of interest. It shall adopt all appropriate measures to remedy any conflicts.