Skip to content

Beneficial Ownership Registry Rules Come to New Brunswick

By Alanna Waberski, Graham Haynes and Maria Cummings

On June 10, 2022, the Government of New Brunswick proclaimed into force Bill 95, which amends the Business Corporations Act (New Brunswick) (the “NBBCA”) to require corporations to maintain a register of all individuals with significant control over the corporation, among other things.

Non-compliance can result in significant fines for a corporation, its shareholders and other individuals.

Key Changes

1. Register Maintenance

Under Bill 95, all corporations formed under the NBBCA, aside from public corporations, are required to maintain a register of individuals with significant control (a “Register”).  An “individual with significant control” over a corporation is defined as an individual who:

  1. is the registered holder of a “significant number of shares”;
  2. is the beneficial owner of a “significant number of shares”; or
  3. has direct or indirect control over a “significant number of shares”.

A “significant number of shares” is defined as either any number of shares that carry 25% or more of the voting rights attached to all of the corporation’s outstanding voting shares, or any number of shares that is equal to 25% or more of all of the corporation’s outstanding voting shares.

A register must contain the following information about every individual with significant control:

  1. their full name, date of birth and last known address;
  2. their jurisdiction of residence for tax purposes;
  3. the day they became, or ceased to be, an individual with significant control;
  4. a description of how each individual has significant control over the corporation, including their interests and rights in respect of shares of the corporation;
  5. a description of each step taken to ensure the information is accurate; and
  6. any other prescribed information.

At least once during each financial year, a corporation must take reasonable steps to ensure that it has identified all individuals with significant control, and ensure that the information in the register is accurate, complete and up to date, and must also update any information which has changed once it becomes aware of such change within fifteen (15) days.

2. Penalties

A corporation that, without reasonable cause, fails to maintain a Register or fails to comply with a request for information from an investigative body may be fined up to $10,200 for a first offence or, for a second or further offence, be fined up to $15,000 or such face imprisonment for up to 90 days.  A judge may also choose to levy a fine in an amount above the aforementioned maximums in certain circumstances.  Shareholders that fail to comply with requests for information from a corporation can also be subject to the same penalties for not complying.

3. Bearer Share Warrant Prohibition

Also under Bill 95, corporations are prohibited from issuing bearer share warrants (i.e., shares granting ownership to the person who physically possesses the bearer share warrant certificate) following the date of enactment.

If you would like our assistance in complying with these legislative changes and preparing your Register, or if you have any questions about the new disclosure requirements, please contact our Firm at compliance@stewartmckelvey.com.


Click here to subscribe to Stewart McKelvey Thought Leadership.

SHARE

Archive

Search Archive


 
 

Client Update: “Lien”-ing Towards Efficiency: Upcoming Amendments to the Builders’ Lien Act

June 29, 2017

By Brian Tabor, QC and Colin Piercey Bill 81 and Bill 15, receiving Royal Assent in 2013 and 2014 respectively, are due to take effect this month. On June 30, 2017, amendments to the Builders’…

Read More

Weeding Through New Brunswick’s Latest Cannabis Recommendations

June 26, 2017

New Brunswick continues to be a thought leader in the field of regulation of recreational cannabis and provides us with a first look at what the provincial regulation of recreational cannabis might look like. New…

Read More

Client Update: Elk Valley Decision – SCC Finds that Enforcement of “No Free Accident” Rule in Workplace Drug and Alcohol Policy Does Not Violate Human Rights Legislation

June 23, 2017

Rick Dunlop and Richard Jordan In Stewart v. Elk Valley Coal Corporation, 2017 SCC 30, a six-judge majority of the Supreme Court of Canada (“SCC”) confirmed a Tribunal decision which concluded that the dismissal of an…

Read More

Client Update: The Grass is Always Greener in the Other Jurisdiction – Provincial Acts and Regulations under the Cannabis Act

June 22, 2017

By Kevin Landry New Brunswick’s Working Group on the Legalization of Cannabis released an interim report on June 20, 2017. It is a huge step forward in the legalization process and the first official look at how legalization…

Read More

Client Update: Cannabis Act regulations – now we are really getting into the weeds!

June 15, 2017

Rick Dunlop and Kevin Landry As we explained in The Cannabis Act- Getting into the Weeds, the Cannabis Act introduces a regulatory regime for recreational marijuana in Canada. The regime promises to be complex. The details of legalization will be…

Read More

Client Update: Requirement to register as a lobbyist in New Brunswick

June 15, 2017

On April 1, 2017, the New Brunswick Lobbyists’ Registration Act was proclaimed into force (the “Act”), requiring active professional consultant or in-house lobbyists to register and file returns with the Office of the Integrity Commissioner of New…

Read More

How much is too much?: Disclosure in multiple accident litigation in English v House, 2017 NLTD(G) 93

June 14, 2017

Joe Thorne and Jessica Habet How far can an insurer dig into the Plaintiff’s history to defend a claim? And how much information is an insurer entitled to have in order to do so? In English v.…

Read More

Client Update: Court of Appeal confirms accounting firms may take on multiple mandates for the same company

June 14, 2017

Neil Jacobs, QC, Joe Thorne and Meaghan McCaw The Newfoundland and Labrador Court of Appeal recently confirmed that accounting/auditing firms may take on several mandates in respect of companies that may or do become insolvent in Wabush Hotel Limited…

Read More

Negligence claims in paper-only independent medical examinations: Rubens v Sansome, 2017 NLCA 32

June 13, 2017

Joe Thorne and Brandon Gillespie An independent medical examination (“IME”) is a useful tool for insurers. An IME is an objective assessment of the claimant’s condition for the purpose of evaluating coverage and compensation. Where a…

Read More

Client Update: Mental injury? Expert diagnosis not required

June 12, 2017

On June 2, 2017 the Supreme Court of Canada released its decision in Saadati v. Moorhead, 2017 SCC 28, clarifying the evidence needed to establish mental injury. Neither expert evidence nor a diagnosed psychiatric illness…

Read More

Search Archive


Scroll To Top