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efta-efta01477866DOJ Data Set 10CorrespondenceEFTA Document EFTA01477866
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EFTA DisclosureText extracted via OCR from the original document. May contain errors from the scanning process.
Deutsche Asset
& Wealth Management
Wealth Management Americas Annual Client Update Form
Primary Client
Customer #
Other Clients in Update
Other Customer #
Meeting/Call Type: o Phone Call o In Person
Location
Meeting/Call Date
List All Participants
Is the most recent KYC on DBForce? o Yes o No
Client Risk Rating (leave blank if low) o Moderate o High
Relationship and Account Overview: (please indicate "Yes" or "No")
Is the reason for the update that an account is being opened in a new
booking center?
Are there any new parties to be included on the accounts (POAs, signatories,
etc.)?
Are there any changes in actual or expected monthly transaction activity in
any account?
Financial status: (relevant for all parties contributing to source of wealth)
Did significant new funds (25% or more of existing balances) come in from an
external source not
previously described?
Was there a change of 25% or more in the client's financial situation or
overall wealth (e.g., income,
assets, net worth) since the client's financial status was last updated?
Professional / Geographic status: (relevant for all parties involved in the
relationship)
Has the client's principal residence or, for entities, principal office
location, changed, or have we
lost contact?
Has the client's primary occupation or business, or where it is conducted,
changed ?
If the client is an entity, has there been a change in ownership of any
person owning 25% or more
if the entity is publicly traded, 5% or more if the entity if not publicly
traded, or any percent if the entity
is a PIC? Note: If the client is an unregistered investment company (UIC),
these percentages apply
to the UIC manager(s) and investment advisor(s) rather than to the UIC
itself.
Have bearer shares been newly issued or transferred (if applicable)?
Public Exposure: (relevant for all parties involved in the relationship)
EFTA01477866
Has a party been subject to a criminal or regulatory investigation or
negative media?
Has a party become a PEP or public figure since the last review?
Has a party become involved in or threatened litigation against any DB
entity?
Suitability Assessment
Have the client's general investment guidelines, investment risk tolerance,
investment time horizon,
or knowledge of higher risk investment products changed?
o Yes o No
o Yes o No
o Yes o No
o Yes o No
o Yes o No
o Yes o No
o Yes o No
o Yes o No
WM146031
019587.102314
o Yes o No
o Yes o No
o Yes o No
o Yes o No
o Yes o No
EFTA01477867
Client Activities:
Describe the client's activities in the past year. Individuals: You should
include developments in the client's occupation, where
the client spends most of his time, etc. Entities: You should include nature
of business, income producing activities, etc.
Describe the Client's income-producing activities; est. annual income/-
investable assets, any other changes in circumstances
or topics discussed with client
Have you verified this client's position as an officer or director of
publically traded companies and reported any changes to
your supervisor? o Yes o No
Any Other Material Changes Not Listed Above? o Yes o No
Description of "Yes" Responses and Any Other Material Changes (e.g.,
divorce, death):
WEALTH MANAGEMENT POLICY STATEMENT
Deutsche Bank Wealth Management worldwide is committed to professionally
serve the interests of its clients. To do so,
Client Facing Professionalsl
(CFPs) should establish and maintain business relationships only with
persons who satisfy
our high standards of suitability, background and character. Due diligence
obtained on the client must be appropriately
documented by the CFP. It is the responsibility of CFPs to demonstrate that
they know their client both at the inception of
a relationship and on an ongoing basis.
1
CFPs include: Relationship Managers, Wealth Advisors, Product Officers,
Brokers, Client Managers, etc.
DECLARATION BY ALL SIGNERS OF THIS FORM
To the best of my knowledge and belief the above information is correct and
up to date. I confirm that I have no suspicions
relating to money laundering or other illegal activities on the part of the
client(s) and that I have followed all the procedures
relating to account opening as described in the Wealth Management Americas
Policies and Procedures and the Wealth
Management Global KYC Policy.
Approvals
CFP
CFP Print Name
Account Manager/Product Officer Print Name
Date
Account Manager/Product Officer
Date
WM146031
019587.102314
EFTA01477868
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