- Latest available (Revised)
- Point in Time (18/11/2016)
- Original (As made)
Point in time view as at 18/11/2016.
Pharmacy (Northern Ireland) Order 1976 is up to date with all changes known to be in force on or before 28 November 2024. There are changes that may be brought into force at a future date. Changes that have been made appear in the content and are referenced with annotations.
Changes and effects yet to be applied by the editorial team are only applicable when viewing the latest version or prospective version of legislation. They are therefore not accessible when viewing legislation as at a specific point in time. To view the ‘Changes to Legislation’ information for this provision return to the latest version view using the options provided in the ‘What Version’ box above.
Article 3(2).
1. The Society is a body corporate.N.I.
2. Every person registered as a pharmaceutical chemist shall, so long as he continues to be so registered, be a member of the Society.N.I.
3.—(1) Every person registered as a druggist shall, so long as he continues to be so registered, be an associate of the Society.N.I.
(2) Every associate of the Society shall have the privilege of attending and voting at all meetings of the Society, and otherwise taking part in the Society's proceedings, in the same manner as a member of the Society.
4. Every person registered as a student shall, so long as he continues to be so registered, be a student of the Society.N.I.
5. The Council may elect suitable members or associates of the Society as fellows of the Society and may elect suitable persons as honorary members of the Society.N.I.
6. The fixing of the seal of the Society shall be authenticated in such manner as may be prescribed, and any document purporting to be sealed with that seal so authenticated shall be receivable in evidence of the particulars stated in that document.N.I.
7.—(1) The Council may employ a secretary of the Society (who shall be a registered pharmaceutical chemist), a treasurer and such other subordinate officers as may be found necessary for the performance of the Society's functions.N.I.
(2) All fees and other sums which are payable to the Society under this Order shall be paid to the treasurer and shall be applied to the purposes of the Society in such manner as may be determined by the Council under Article 4(3).
8.—(1) The Society may in its discretion, with the consent of the Department, grant to any officer whose whole time has been devoted to the service of the Society and who has become incapable of discharging the duties of his office with efficiency by reason of permanent infirmity of mind or body or old age, upon his resigning or otherwise ceasing to hold his office, an annual allowance not exceeding in any case two-thirds of his salary and emoluments at that time.N.I.
(2) An officer shall not be qualified to receive an allowance under this paragraph on the ground of age unless he has attained the age of sixty years and has served as an officer of the Society for twenty years at least.
(3) An allowance under this paragraph shall be payable to, or in trust for the officer concerned and shall not be assignable or chargeable with debts or other liabilities.
(4) Where an officer whose whole time has been devoted to the service of the Society dies, after he has served five years or upwards, while still employed in that service, the Society may in its discretion, with the consent of the Department, grant to his legal personal representatives a gratuity equal to the annual salary and emoluments of his office.
(5) Where an officer, having become entitled to an annual allowance under this paragraph, dies after he has retired from the service of the Society, and the sums paid or payable to him at the time of his death on account of that allowance are less than the amount of the annual salary and emoluments of his office, the Society may in its discretion, with the consent of the Department, grant to his legal personal representatives a gratuity equal to the deficiency.
Article 4(2)
F1Sch. 2 substituted (1.10.2012) by The Pharmacy (1976 Order) (Amendment) Order (Northern Ireland) 2012 (S.R. 2012/308), arts. 1(1), 10, Sch. 1 (with Sch. 3)
1.—(1) The Council shall consist of—N.I.
(a)7 registered persons; and
(b)7 lay members.
(2) The members of the Council shall be appointed by the Department.
(3) The term of office of members of the Council shall be 4 years or such other period as may be determined by the Department at the time the appointments are made.
(4) No member of the Council is to hold office for more than an aggregate of 8 years in any 20 year period.
(5) The Council shall pay to its members such remuneration and allowances as the Department may determine.
2.—(1) Without prejudice to sub-paragraph (4), the Council may appoint one or more committees and sub-committees and delegate to such committees and sub-committees such of its functions as it thinks fit.N.I.
(2) A committee or sub-committee appointed under sub-paragraph (1) may include persons who are not members of the Society.
(3) Every member of a committee or sub-committee appointed under sub-paragraph (1), who, at the time of appointment, was a member of the Council shall, if that person ceases to be a member of the Council, also ceases to be a member of the committee or sub-committee.
(4) The Council shall have a Scrutiny Committee and it shall have the functions assigned to it by or under this Order.
(5) The Council may by regulations make provision as to—
(a)the constitution, appointment and procedure of the Scrutiny Committee (including the validation of proceedings in the event of vacancies or defects in appointment);
(b)the grounds on which persons are to be disqualified from appointment as members of the Scrutiny Committee; and
(c)the tenure of office of members of the Scrutiny Committee (including the circumstances in which they cease to hold office or may be removed or suspended from office).
(6) There shall be paid to the members of the Scrutiny Committee and any committee or sub-committee appointed under paragraph (1) such remuneration and such travelling, subsistence or other expenses as the Council may determine.
3. The Department may by regulations make provision as to—N.I.
(a)the grounds on which persons are to be disqualified from appointment as members of the Council;
(b)the appointment of a President and a Vice-President of the Council and the President’s and Vice-President’s term of office, and the regulations may provide that the term is to be determined by whoever makes the appointment of the President and Vice-President, on appointment;
(c)deputising arrangements in respect of the President and Vice-President;
(d)the quorum of the Council;
(e)the circumstances in which members cease to hold office or may be removed or suspended from office; and
(f)the procedure of the Council (including the validation of proceedings in the event of vacancies or defects in appointment).]
F2Sch. 2A, 2B substituted (22.5.2008) for Sch. 2A by European Qualifications (Pharmacy) Regulations (Northern Ireland) 2008 (S.R. 2008/192), reg. 12, Sch.
Column (a) | Column (b) | Column (c) |
---|---|---|
1st January 1993 | Former Czechoslovakia | Czech Republic |
1st January 1993 | Former Czechoslovakia | Slovakia |
20th August 1991 | Former Soviet Union | Estonia |
21st August 1991 | Former Soviet Union | Latvia |
11th March 1990 | Former Soviet Union | Lithuania |
25th June 1991 | Former Yugoslavia | Slovenia |
[F3 8th October 1991 | Former Yugoslavia | Croatia ]] |
F3Words in Sch. 2A inserted (31.12.2013) by The European Qualifications (Health Care Professions) (Croatia Accession Amendment) Regulations 2013 (S.I. 2013/3036), regs. 1(1), 8
F4Sch. 2A, 2B substituted (22.5.2008) for Sch. 2A by European Qualifications (Pharmacy) Regulations (Northern Ireland) 2008 (S.R. 2008/192), reg. 12, Sch.
[F51. This Schedule applies to a person who—
(a)is an exempt person who is lawfully established as a pharmacist in a relevant European State other than the United Kingdom; and
(b)is not a person to whom paragraph 15 of Schedule 2C (European professional card and entitlement to registration: provision of occasional pharmacy services) to this Order or paragraph 15 of Schedule 2A (European professional card and entitlement to registration: provision of occasional pharmacy services) to the Pharmacy Order 2010 (S.I. 2010/231) applies.]
F5Sch. 2B para. 1 substituted (18.11.2016) by The European Qualifications (Health and Social Care Professions) Regulations 2016 (S.I. 2016/1030), regs. 1, 24(2) (with reg. 155)
2. In this Schedule—N.I.
(a)a “visiting practitioner” means an exempt person to whom this Schedule applies;
(b)the “home State”, in relation to a visiting practitioner, means the relevant European State in which the practitioner is lawfully established as a pharmacist; and
(c)a reference to the provision of occasional pharmacy services is a reference to the provision of services as a pharmaceutical chemist in Northern Ireland on a temporary and occasional basis.
3.—(1) A visiting practitioner is entitled to be registered in the register mentioned in Article 6(1)(d) if the practitioner is entitled under paragraph 4 or 7 to provide occasional pharmacy services; and the registrar shall give effect to the entitlement.
(2) A visiting practitioner who is entitled under sub-paragraph (1) to be registered in the register mentioned in Article 6(1)(d) as a visiting pharmaceutical chemist from a relevant European State, but who is not registered in that register, shall be treated as so registered in that register.
(3) Sub-paragraph (4) applies where a person's entitlement under sub-paragraph (1) to be registered in the register mentioned in Article 6(1)(d) ceases because, by reason of the operation of paragraphs 8(1),(2) or (5), the person ceases to be entitled under this Schedule to provide occasional pharmacy services.
(4) If the person's name is registered in the register mentioned in Article 6(1)(d), the registrar may remove the person's name from that register.
(5) Sub-paragraphs (1) to (4) are not to be taken to prejudice the application, in relation to persons registered in the register mentioned in Article 6(1)(d) on the basis of entitlement under sub-paragraph (1), of any other provision of this Order under which a registered person's name may be removed from the register mentioned in Article 6(1)(d).
4. A visiting practitioner is entitled to provide occasional pharmacy services if—
(a)the practitioner has complied with requirements of paragraph 5; and
(b)where the practitioner's case falls within regulation [F63(8)(a) or (e)] of the General Systems Regulations, the provision by the practitioner of occasional pharmacy services is in accordance with regulations [F719 to 23] of those regulations (the practitioner having, in particular, successfully completed any adaptation period, or passed any aptitude test, that the practitioner may be required to undertake pursuant to Part 2 of those regulations).
but paragraph 8 contains provision about the duration of entitlement under this paragraph.
F6Words in Sch. 2B para. 4(b) substituted (18.11.2016) by The European Qualifications (Health and Social Care Professions) Regulations 2016 (S.I. 2016/1030), regs. 1, 24(3)(a) (with reg. 155)
F7Words in Sch. 2B para. 4(b) substituted (18.11.2016) by The European Qualifications (Health and Social Care Professions) Regulations 2016 (S.I. 2016/1030), regs. 1, 24(3)(b) (with reg. 155)
5.—(1) A visiting practitioner who proposes to provide occasional pharmacy services for the first time must, before providing any such services, send or produce to the registrar the required documents.
(2) The required documents are—
(a)a written declaration that—
(i)states the practitioner's wish to provide occasional pharmacy services, F8...
(ii)contains details of the insurance cover, or other means of personal or collective protection, that the practitioner has with regard to professional liability;
[F9(iii)confirms that the practitioner does not have a criminal conviction; and
(iv)confirms that the practitioner is not subject to a temporary or final suspension preventing practice as a pharmacist;]
[F10(aa)a written declaration as to whether the practitioner has the necessary knowledge of English;]
(b)if the practitioner is a national of a relevant European State, proof of nationality;
(c)if the practitioner is not a national of a relevant European State, proof of the Community right by virtue of which the practitioner is an exempt person;
(d)evidence of qualifications in pharmacy (see paragraph 6); and
(e)a certificate issued by a competent authority in the practitioner's home State confirming—
(i)that the practitioner is lawfully established as a pharmacist in that State, and
(ii)that the practitioner is not prohibited (whether on a permanent or temporary basis) from practising as a pharmacist there.
(3) A declaration under sub-paragraph (2)(a) [F11or (aa)] may be supplied by any means.
F8Word in Sch. 2B para. 5(2)(a)(i) omitted (18.11.2016) by virtue of The European Qualifications (Health and Social Care Professions) Regulations 2016 (S.I. 2016/1030), regs. 1, 24(4)(a)(i) (with reg. 155)
F9Sch. 2B para. 5(2)(a)(iii)(iv) inserted (18.11.2016) by The European Qualifications (Health and Social Care Professions) Regulations 2016 (S.I. 2016/1030), regs. 1, 24(4)(a)(ii) (with reg. 155)
F10Sch. 2B para. 5(2)(aa) inserted (18.11.2016) by The European Qualifications (Health and Social Care Professions) Regulations 2016 (S.I. 2016/1030), regs. 1, 24(4)(b) (with reg. 155)
F11Words in Sch. 2B para. 5(3) inserted (18.11.2016) by The European Qualifications (Health and Social Care Professions) Regulations 2016 (S.I. 2016/1030), regs. 1, 24(4)(c) (with reg. 155)
5A.—(1) The registrar must treat a visiting practitioner who—
(a)applies to be registered in the register mentioned in Article 6(1)(d) as a visiting practitioner; and
(b)is entered in Part 4 of the register maintained under article 19 of the Pharmacy Order 2010 relating to pharmacists who are visiting practitioners to Great Britain,
as complying with the requirements of paragraph 5.
(2) The registrar may require the visiting practitioner to provide additional information concerning his or her professional qualifications as a result of differences in the way that the profession is regulated in different parts of the United Kingdom.
(3) Sub-paragraph (1) does not apply if the registrar has required the visiting practitioner to provide information under sub-paragraph (2) and the visiting practitioner has not done so.]
F12Sch. 2B para. 5A inserted (18.11.2016) by The European Qualifications (Health and Social Care Professions) Regulations 2016 (S.I. 2016/1030), regs. 1, 24(5) (with reg. 155)
6.—(1) Subject to sub-paragraph (3), the evidence referred to in paragraph 5(2)(d) is evidence of the European-recognised qualifications which entitle the visiting practitioner to provide, in the practitioner's home State, the pharmacy services that the practitioner proposes to provide in Northern Ireland on a temporary and occasional basis.N.I.
(2) This sub-paragraph applies to a visiting practitioner whose case falls within regulation [F133(8)(a) or (e)] of the General Systems Regulations (with the result that the practitioner is not entitled to provide occasional pharmacy services unless their provision by the practitioner is in accordance with regulations [F1419 to 23] of those regulations).
(3) If sub-paragraph (2) applies to a visiting practitioner, the evidence referred to in paragraph 5(2)(d) of the practitioner's qualifications in pharmacy is evidence of the qualifications which entitle the practitioner to practise as a pharmacist in his home State.
(4) In this paragraph, “European-recognised qualifications” means qualifications which relevant European States are required by the Directive to recognise.
F13Words in Sch. 2B para. 6(2) substituted (18.11.2016) by The European Qualifications (Health and Social Care Professions) Regulations 2016 (S.I. 2016/1030), regs. 1, 24(6)(a) (with reg. 155)
F14Words in Sch. 2B para. 6(2) substituted (18.11.2016) by The European Qualifications (Health and Social Care Professions) Regulations 2016 (S.I. 2016/1030), regs. 1, 24(6)(b) (with reg. 155)
7.—(1) Sub-paragraph (2) applies where the registrar receives the required renewal documents from a visiting practitioner who is entitled under this Schedule to provide occasional pharmacy services.
(2) The visiting practitioner is entitled to continue to provide occasional pharmacy services, but paragraph 8 contains provision about the duration of entitlement continued under this sub-paragraph.
(3) Sub-paragraph (4) applies where the registrar receives the required renewal documents from a visiting practitioner—
(a)who is not entitled under this Schedule to provide occasional pharmacy services; and
(b)who has been previously entitled under this Schedule to provide occasional pharmacy services.
The visiting practitioner is once again entitled to provide occasional pharmacy services but, in a case where the practitioner's name is not in the register mentioned in Article 6(1)(d) as a result of removal otherwise than under paragraph 3(4), only if the registrar decides, after having regard (in particular) to the fact of that removal and the reasons for it, that the entitlement should be renewed.
Paragraph 8 contains provision about the duration of entitlement under this sub-paragraph.
(5) In relation to a visiting practitioner “the required renewal documents” are—
(a)a renewal declaration; and
(b)each evidence of change document (if any).
(6) In this paragraph “renewal declaration”, in relation to a visiting practitioner, means a written declaration that—
(a)states the practitioner's wish to provide occasional pharmacy services in a further year; and
(b)contains details of the insurance cover, or other means of personal or collective protection, that the practitioner has with regard to professional liability.
(7) Where a document—
(a)is, in relation to a visiting practitioner, one of the required documents for the purposes of paragraph 5;
(b)is not a declaration under paragraph 5(2)(a); and
(c)substantiates a matter as respects which there has been a material change since the practitioner last (whether under paragraph 5 or this paragraph) supplied the then-current version of the document to the registrar;
the version of the document current when under this paragraph the practitioner supplies a renewal declaration to the registrar is an “evidence of change document” for the purposes of sub-paragraph (5)(b).
(8) A renewal declaration supplied under this paragraph may be supplied by any means.
8.—(1) Unless an entitlement under paragraph 4 or 7(4) is continued (or further continued) by paragraph 7(2), the entitlement ceases at the end of the year that begins with and includes the day on which the registrar received the documents whose receipt gave rise to the entitlement.
(2) Where an entitlement under paragraph 4 or 7(4) is continued (or further continued) by paragraph 7(2), the entitlement is extended so as to cease at the end of the year that begins with and includes the relevant day.
(3) For the purposes of sub-paragraph (2)—
(a)if the day on which the registrar receives the documents whose receipt gives rise to the continuation (or further continuation) is an anniversary of the start day, “the relevant day” means the day on which the registrar receives those documents;
(b)otherwise, “the relevant day” means the anniversary of the start day that is the first such anniversary to occur after the registrar receives the documents whose receipt gives rise to the continuation (or further continuation).
(4) In sub-paragraph (3) “the start day”, in relation to an entitlement under paragraph 4 or 7(4), means the day on which the registrar receives the documents whose receipt gives rise to the entitlement.
(5) An entitlement under this Schedule to provide occasional pharmacy services ceases if—
(a)the visiting practitioner concerned becomes established as a pharmacist in Great Britain or a pharmaceutical chemist in Northern Ireland; or
(b)a disqualifying decision is made against the visiting practitioner concerned.
(6) In sub-paragraph (5) “disqualifying decision”, in relation to a visiting practitioner, means a decision made by a competent or judicial authority in the practitioner's home State [F15or, if different, a relevant European State in which the practitioner practises or has practised as a pharmacist] that has the effect that the practitioner—
(a)ceases in that State to be registered or otherwise officially recognised as a pharmacist; or
(b)is prohibited (whether on a permanent or temporary basis) from practising as a pharmacist in that State.
(7) If in the case of a visiting practitioner—
(a)the practitioner's name is removed from the register mentioned in Article 6(1)(d); and
(b)immediately before the time when the removal takes effect, the practitioner is entitled under this Schedule to provide occasional pharmacy services;
that entitlement ceases at that time.
F15Words in Sch. 2B para. 8(6) inserted (18.11.2016) by The European Qualifications (Health and Social Care Professions) Regulations 2016 (S.I. 2016/1030), regs. 1, 24(7) (with reg. 155)
9.—(1) Sub-paragraph (2) applies if—
(a)the establishment of a visiting practitioner in the practitioner's home State is subject to a condition relating to the practitioner's practice as a pharmacist;
(b)the practitioner's name is registered in the register mentioned in Article 6(1)(d); and
(c)for any of the purposes of this Order it falls to be decided whether the practitioner's misconduct renders him unfit to be on the register mentioned in Article 6(1)(d).
(2) The matters that may be considered as misconduct include (in particular) any act or omission by the visiting practitioner during the course of the provision by the practitioner of occasional pharmacy services that is, or would be if the condition applied in relation to practice as a pharmacist outside the practitioner's home State, a breach of the condition.
(3) In sub-paragraphs (1) and (2) “condition” includes limitation.]
Article 8D
1. This Schedule supplements the rights and obligations set out in the Implementing Regulation 2015.
2. In this Schedule—
“automatically recognised pharmacist” means a person who is entitled to have his or her qualifications as a pharmacist automatically recognised under articles 21, 23, 49a or 49b of the Directive;
“disqualifying decision” means a decision made by a competent authority or a judicial authority in a person’s home State or host State that has the effect that—
the person ceases to be registered or otherwise officially recognised as a pharmacist in that State; or
the person is prohibited, permanently or temporarily, from practising as a pharmacist in that State;
“EPC applicant” means a person making, or who has made, an EPC application;
“EPC application” means an application for a European professional card made by a person who is seeking to practise as an automatically recognised pharmacist;
“EPC holder” means a person who holds a valid European professional card as a result of an EPC application;
“home State” means the relevant European State specified by an EPC applicant in his or her EPC application in accordance with article 4 of the Implementing Regulation 2015;
“host State” means the relevant European State in which an EPC applicant seeks to practise as a pharmacist;
“Implementing Regulation 2015” means Commission Implementing Regulation (EU) No 983 of 2015 on the procedure for issuance of the European professional card and the application of the alert mechanism pursuant to the Directive;
“missing document” means a document which an EPC applicant was required to provide with the EPC application but which the EPC applicant has not provided;
“occasional pharmacy services” means the provision of services as a pharmacist on a temporary and occasional basis; and
references to a pharmacist include a pharmaceutical chemist.
3. If a person (“P”) who has already made an application for or in relation to a European professional card makes a subsequent or further application for or in relation to a European professional card, the Society may not request resubmission of documents that are contained in P’s IMI file and which are still valid for the purposes of processing P’s subsequent or further application.
4.—(1) The Society may revoke a European professional card issued under this Schedule if it appears to the Society that the person (“P”) to whom the card was issued is not entitled to hold the card.
(2) P is not entitled to hold a European professional card if, in particular, P is subject to a disqualifying decision.
5.—(1) If an automatically recognised pharmacist (“P”) holds a European professional card issued by the Society, P may, at any time, make a written request to the Society to rectify inaccurate or incomplete data in P’s IMI file or to delete or block P’s IMI file if it contains inaccurate or incomplete data.
(2) If the Society is satisfied that the data in P’s IMI file is inaccurate or incomplete, the Society must comply with a request by P under sub-paragraph (1).
(3) The Society must notify P of P’s right under sub-paragraph (1)—
(a)at the time P’s European professional card is issued;
(b)within the period ending two years after the date on which the European professional card was issued; and
(c)subsequently at intervals not exceeding two years from the date of the previous notification.
(4) A notification under sub-paragraph (3)(b) or (c) must be sent to P by means of an automatic reminder sent through the IMI.
(5) The Society must not charge P a fee in relation to the making of a written request under sub-paragraph (1) or in relation to complying with, or responding to, such a request.
(6) If—
(a)P’s European professional card was issued for the purposes of establishment;
(b)P asks the Society to delete P’s IMI file; and
(c)P’s host State is the United Kingdom,
the Society must provide P with evidence confirming that the Society recognises P’s professional qualifications.
6. If the Society refuses to issue, extend or vary, or decides to revoke, a European professional card under this Schedule, the Society must notify the EPC applicant or the EPC holder of the reasons for that decision and of his or her right of appeal under Article 11ZZB.
7.—(1) This paragraph applies if a person (“P”)—
(a)makes an EPC application to the Society; or
(b)is an EPC holder and P’s European professional card was issued by the Society.
(2) The Society must update P’s IMI file in accordance with sub-paragraphs (3) and (4) in a timely manner.
(3) The Society must add to P’s IMI file information, regarding disciplinary action or criminal sanctions, which—
(a)relates to a prohibition or restriction on P’s entitlement to practise as a pharmacist; or
(b)has consequences for the pursuit of any activities by P, in P’s capacity as a pharmacist.
(4) The Society must delete from P’s IMI file information regarding disciplinary action or criminal sanctions that is no longer required.
(5) The Society must immediately inform P and the competent authorities of other relevant European States that have access to P’s IMI file of any update under this paragraph.
(6) The information that may be added or deleted under this paragraph is limited to details of—
(a)P’s identity;
(b)information about the national authority or court which has made a decision on a restriction or prohibition applying to P;
(c)the scope of the restriction or prohibition; and
(d)the period for which the restriction or prohibition applies.
8.—(1) The Society may access information on the IMI file of an EPC applicant or an EPC holder, in accordance with Directive 95/46/EC, only if the United Kingdom is the home State or the host State of the applicant or the holder.
(2) The Society must provide an EPC applicant or an EPC holder with information on the content of his or her IMI file on request.
9.—(1) The Society may process personal data to which it has access under paragraph 8—
(a)for as long as it is needed for the purposes of recognition of the professional qualifications of the EPC applicant or the EPC holder; and
(b)as evidence of the recognition or transmission of the declaration required as part of the documents submitted under paragraph 12(2).
(2) The Society is the controller within the meaning of article 2(d) of Directive 95/46/EC for the purposes of processing personal data in a person’s European professional card or IMI file.
10.—(1) This paragraph applies if—
(a)a person (“P”) makes an EPC application to the Society for the purposes of establishment as a pharmacist in a relevant European State other than the United Kingdom; and
(b)P’s home State is the United Kingdom.
(2) P must submit with the EPC application the appropriate documents listed in paragraph 1 of Part A of Annex 2 to the Implementing Regulation 2015 (in addition to the information required in accordance with article 4 of the Implementing Regulation 2015 that is relevant to the application).
(3) Within the period of one week beginning with and including the date on which the Society receives the EPC application, the Society must acknowledge receipt of the application and inform P of any missing document.
(4) The Society must, within the period of one month beginning with and including the date of the relevant day—
(a)decide whether the documents in P’s IMI file are authentic and valid for the purposes of the EPC application and whether P is qualified as an automatically recognised pharmacist; and
(b)transmit its decision (under paragraph (a)) and the EPC application to the competent authority of P’s host State (in order for that competent authority to decide whether to issue the European professional card: see article 4d(2) of the Directive) and, at the same time, inform P of the status of the application.
(5) In this paragraph, “the relevant day” means the later of—
(a)the day which falls one week after the day on which the Society receives the EPC application, beginning with and including the day on which the Society receives the EPC application; or
(b)the day on which the last relevant document is received by the Society.
(6) For the purpose of sub-paragraph (5), “relevant document” means—
(a)any previously missing document; or
(b)any document that is requested by the Society in connection with the EPC application before the day described in sub-paragraph (5)(a).
11.—(1) This paragraph applies if—
(a)a person (“P”) makes an EPC application to a competent authority of a relevant European State other than the United Kingdom for the purposes of establishment as a pharmacist in Northern Ireland;
(b)P’s home State is not the United Kingdom;
(c)the competent authority of P’s home State has decided whether the documents in P’s IMI file are authentic and valid for the purposes of the EPC application and whether P is qualified as an automatically recognised pharmacist; and
(d)the competent authority of P’s home State transmits the decision described in paragraph (c) and the EPC application to the Society (in order for the Society to decide whether to issue the European professional card: see article 4d(2) of the Directive).
(2) The Society may request additional information or a certified copy of a document from the competent authority of P’s home State if it appears to the Society—
(a)that the applicant may not be entitled to hold a European professional card in accordance with this Schedule; or
(b)that a document or information supplied as part of the EPC application is not, or may not be, valid or correct.
(3) Subject to sub-paragraphs (4) to (6), the Society must issue the European professional card within one month beginning with and including the date on which the Society received the EPC application from the competent authority of P’s home State.
(4) The Society may extend the period in sub-paragraph (3)—
(a)by two weeks; and
(b)if it considers it necessary to do so, in particular for reasons relating to public health or the safety of recipients or prospective recipients of pharmacy services from the applicant, by a further two weeks following expiry of the two week extension under paragraph (a).
(5) The Society must notify the applicant of any extension under sub-paragraph (4) and the reasons for it.
(6) If the Society does not receive the documents or information necessary to determine whether to issue the European professional card, the Society may refuse to issue the card (also see paragraph 6: duty to give reasons and to notify of right of appeal).
(7) If the Society fails to make a decision within the time limits set out in this paragraph—
(a)the applicant is to be treated as entitled to the European professional card; and
(b)the Society must issue the card to the applicant through the IMI immediately.
12.—(1) This paragraph applies if—
(a)a person (“P”) makes an EPC application to the Society for the purposes of providing occasional pharmacy services (which do not fall within article 7(4) of the Directive) in one or more relevant European States other than the United Kingdom; and
(b)P’s home State is the United Kingdom.
(2) P must submit with the EPC application the documents listed in paragraphs (a) to (c) of Part B of Annex 2 to the Implementing Regulation 2015 (in addition to the information required in accordance with article 4 of the Implementing Regulation 2015 that is relevant to the application).
(3) Within the period of one week beginning with and including the date on which the Society receives the EPC application, the Society must acknowledge receipt of the application and inform P of any missing document.
(4) The Society must within three weeks beginning with and including the date of the relevant day—
(a)consider P’s EPC application, the authenticity and validity of the supporting documents and whether P is qualified as an automatically recognised pharmacist;
(b)decide whether to approve or refuse the application and whether to issue the European professional card; and
(c)transmit its decision (under paragraph (b)) and, if issued, the European professional card, to the competent authority of each host State concerned and, at the same time, inform P of its decision (also see paragraph 6: duty to give reasons and to notify of right of appeal).
(5) Unless its period of validity is extended under paragraph 13, a European professional card issued under this paragraph expires after 18 months beginning with and including the date on which it is issued.
(6) In this paragraph, “the relevant day” means the later of—
(a)the day which falls one week after the day on which the Society receives the EPC application, beginning with and including the day on which the Society receives the EPC application; or
(b)the day on which the last relevant document is received by the Society.
(7) For the purpose of sub-paragraph (6), “relevant document” means—
(a)any previously missing document; or
(b)any document that is requested by the Society in connection with the EPC application before the day described in sub-paragraph (6)(a).
13.—(1) This paragraph applies to an automatically recognised pharmacist (“P”) who holds a European professional card issued under paragraph 12.
(2) If P wishes to provide relevant pharmacy services after the end of the period of 18 months beginning with and including the date on which the card was issued, P may apply to the Society for the period of validity of the card to be extended by 18 months or such shorter period as may be specified in the application.
(3) If P wishes to provide relevant pharmacy services in a host State not already specified on the card, P may apply to the Society for the list of host States specified on the card to be supplemented with the addition of such relevant European States as may be specified in the application.
(4) An application under sub-paragraph (2) or (3) must be accompanied by details of any material changes to documentation or information that—
(a)was, pursuant to the Implementing Regulation 2015, provided to the Society with the EPC application under paragraph 12; and
(b)is recorded in P’s IMI file.
(5) After considering an application under sub-paragraph (2) or (3), the Society must—
(a)accept the application (see sub-paragraph (6)); or
(b)if it appears to the Society that P is not, or may not be, entitled to hold a European professional card, reject the application and inform P of its decision (also see paragraph 6: duty to give reasons and to notify of right of appeal).
(6) If the Society accepts the application, the Society must—
(a)issue an amended European professional card;
(b)transmit the card to the competent authority of each host State specified on the card; and
(c)notify P.
(7) In this paragraph, “relevant pharmacy services” means occasional pharmacy services that are provided or to be provided in a relevant European State other than the United Kingdom.
14.—(1) A person (“P”) who holds a valid European professional card for establishment in Northern Ireland is not entitled to practise as a pharmacist in Northern Ireland on the basis of establishment unless P complies with any requirements of, or under, this Order as to registration in Northern Ireland on that basis.
(2) For the purposes of registration, P is not required—
(a)to resubmit any document or evidence which is contained in P’s IMI file and which is still valid; or
(b)to submit further evidence, or a certificate from the competent authority in P’s home State which certifies, that P holds a qualification listed in Annex V, point 5.6.2 of the Directive.
15.—(1) This paragraph applies to a person (“P”) who holds a valid European professional card, in relation to the provision of occasional pharmacy services in the United Kingdom, which—
(a)has been transmitted to the Society through the IMI by the competent authority of P’s home State (pursuant to article 4c of the Directive); or
(b)has been issued by the Society under regulation 52 of the General Systems Regulations.
(2) Subject to sub-paragraphs (3) to (6)—
(a)P is entitled to be registered in the register mentioned in Article 6(1)(d) and the Society must give effect to that entitlement; and
(b)if P is not registered in the register mentioned in Article 6(1)(d), P is treated as being so registered.
(3) If P’s European professional card has been issued by the Society under regulation 52 of the General Systems Regulations, P’s entitlement to be registered in the register mentioned in Article 6(1)(d) ceases at the end of the period of 12 months beginning with and including the date on which the Society issued P’s card.
(4) This sub-paragraph applies if—
(a)P’s European professional card is, or becomes, invalid;
(b)P is subject to a disqualifying decision; or
(c)P becomes established as a pharmacist in the United Kingdom.
(5) If sub-paragraph (4) applies—
(a)the Society may refuse to register P in, or may remove P from, the register mentioned in Article 6(1)(d); and
(b)sub-paragraph (2) ceases to apply.
(6) This paragraph is without prejudice to any other provision of this Order under which a person’s registration under Article 6 may be suspended or under which a person may be removed from a register kept under Article 6.
16.—(1) Sub-paragraph (2) applies in relation to a person (“P”) who—
(a)falls within paragraph 15(1); and
(b)is registered in the register mentioned in Article 6(1)(d).
(2) If it falls to be decided whether P’s fitness to practise is or may be impaired on the ground of misconduct for any of the purposes of this Order, then “misconduct” includes any act or omission by P during the course of P’s provision of occasional pharmacy services—
(a)which constitutes a breach of a condition or limitation to which P is subject in relation to P’s practice as a pharmacist in P’s home State; or
(b)which would constitute a breach of the condition or limitation mentioned in paragraph (a) if that condition or limitation applied in relation to P’s practice as a pharmacist outside of P’s home State.]
Article 22A
Provision of Directive | Function of Society |
---|---|
Article 4a | Ensuring that the holder of a European professional card benefits from all of the rights conferred by articles 4b to 4e of the Directive. Charging reasonable fees to cover the costs of processing applications for or in relation to European professional cards under Schedule 2C and under Part 4 of the General Systems Regulations. |
Article 4b | Enabling pharmacists to apply for a European professional card in accordance with Schedule 2C and in accordance with Part 4 of the General Systems Regulations. |
Article 4c | Verifying the application and supporting documents in the IMI file and issuing the European professional card for pharmacists for the temporary and occasional provision of pharmacy services other than those covered by article 7(4) of the Directive. |
Article 4d | Verifying the authenticity and validity of the application and supporting documents in the IMI file for the purpose of issuing the European professional card for pharmacists for establishment or for the temporary and occasional provision of pharmacy services under article 7(4) of the Directive. |
Article 4e | Updating, in a timely manner, the IMI file of a holder of a European professional card with information about disciplinary actions or criminal sanctions regarding a prohibition or restriction and which have consequences for the pursuit of any professional activities by that person under the Directive. |
Article 4f | Considering applications for partial access to the profession of pharmacist under regulations 10 and 11 of the General Systems Regulations. |
Article 7(2)(b) | Issuing certificates containing attestations in relation to persons established as a pharmacist in Northern Ireland. |
Article 7(2a) | Requesting information from, and providing information to, other competent authorities in accordance with the declaration provided by the applicant to provide pharmacy services on a temporary and occasional basis. |
Article 8(1) | In the event of justified doubts, receiving information from, or providing information to, other competent authorities in relation to— |
(a) the legality of a person’s establishment as a pharmacist in Northern Ireland; | |
(b) the good conduct of such a person; | |
(c) the absence of any disciplinary or criminal sanctions of a professional nature against such a person. | |
Receiving information from, or providing information to, other competent authorities in relation to a person’s training courses to the extent necessary to assess substantial differences likely to be harmful to public health and safety. | |
Article 8(2) | Receiving information from, or providing information to, other competent authorities in connection with the investigation of complaints made against persons providing services as a pharmacist. |
Article 23(1) | Issuing certificates of effective and lawful practice in Northern Ireland to pharmacists. |
Article 23(6) | Issuing certificates stating that NI pharmacy qualifications, which do not correspond to the titles set out in respect of the United Kingdom at point 5.6.2 of Annex V to the Directive, certify successful completion of training in pharmacy— (a) that is in accordance with article 44 of the Directive; or (b) that under article 22(a) of the Directive (part-time training), is to be treated as in accordance with article 44 of the Directive. |
Article 50(1) and paragraph 1(b) of Annex VII | Providing information to other competent authorities concerning the training in Northern Ireland of a pharmacist to whom Chapter 1 of Part 3 of the General Systems Regulations applies. |
Article 50(1) and paragraph 1(d) of Annex VII | Issuing, in respect of practice as a pharmacist, the certificates of current professional status referred to in sub-paragraph (d) of paragraph 1 of Annex VII to the Directive within the time limits set by that sub-paragraph. |
Article 50(1) and paragraph 2 of Annex VII | Issuing certificates stating that evidence of NI pharmacy qualifications is that covered by the Directive. |
Article 50(2) | In cases of justified doubts— |
(a) requiring confirmation of the authenticity of non-UK pharmacy qualifications; | |
(b) requiring confirmation that holders of non-UK pharmacy qualifications satisfy the minimum training conditions set out in article 44 of the Directive or are to be treated as satisfying those conditions under article 22(a) of the Directive; | |
(c) providing confirmation to competent authorities of other relevant European States of the authenticity of any person’s NI pharmacy qualification; | |
(d) providing confirmation that holders of NI pharmacy qualifications satisfy the minimum training conditions set out in article 44 of the Directive or are to be treated as satisfying those conditions under article 22(a) of the Directive. | |
Article 50(3) | In cases of justified doubts— |
(a) verifying information provided in connection with non-UK pharmacy qualifications awarded following training in a relevant European State other than the State in which the qualification was awarded; | |
(b) providing information in connection with a person’s NI pharmacy qualification awarded following training in another relevant European State. | |
Article 50(3a) | In the event of justified doubts, seeking confirmation from, or providing confirmation to, other competent authorities of the fact that the applicant is not suspended or prohibited from the pursuit of the profession of pharmacist as a result of serious professional misconduct or conviction of criminal offences relating to the pursuit of any of the applicant’s professional activities. |
Article 50(3b) | Ensuring that the exchange of information under article 50 of the Directive with other competent authorities takes place through the IMI. |
Article 53 | Ensuring that any language controls imposed on a pharmacist are compliant with article 53 of the Directive. |
Article 55a | When considering an application for registration as a pharmacist, ensuring that in respect of professional traineeships— |
(a) traineeships undertaken in a relevant European State are recognised in accordance with published guidelines; and | |
(b) traineeships undertaken in a third country are taken into account. | |
Article 56(1) | Ensuring the confidentiality of information exchanged with other competent authorities. |
Article 56(2) | Receiving information from, or providing information to, other competent authorities regarding disciplinary action, criminal sanctions or other serious circumstances likely to have consequences for practise as a pharmacist. |
Where such information is received by the Society— | |
(a) examining the veracity of the circumstances; | |
(b) deciding the nature and scope of any investigations that need to be carried out; | |
(c) informing other competent authorities of the Society’s conclusions. | |
Ensuring that the processing of personal data for the purposes of the exchange of information in accordance with article 56(2) of the Directive is carried out in accordance with Directive 95/46/EC and Directive 2002/58/EC and through the IMI. | |
Article 56(2a) | Ensuring that the exchange of information carried out in accordance with article 56(2) of the Directive takes place through the IMI. |
Article 56a (1) and (2) | Informing all other competent authorities, by way of an alert through the IMI, about a pharmacist whose professional activities have been restricted or prohibited, even temporarily, within three days beginning with and including the date of adoption of the decision; ensuring the information provided is limited to the information referred to in article 56a(2) of the Directive. |
Article 56a(3) | Informing all other competent authorities, by way of an alert through the IMI, about the identity of professionals who have applied for registration and who have been subsequently found to have used falsified evidence of professional qualifications, within three days beginning with and including the date of the finding. |
Article 56a(4) | Ensuring that the processing of personal data for the purposes of the exchange of information under article 56a(1) and (3) of the Directive is carried out in accordance with Directive 95/46/EC and Directive 2002/58/EC. |
Article 56a(5) | Informing all other competent authorities through the IMI without delay when— (a) a prohibition or a restriction referred to in article 56a(1) of the Directive has expired; (b) there is a change to the prohibition or restriction period notified under article 56a(2) of the Directive. |
Article 56a(6) | Notifying the pharmacist, in respect of whom an alert is sent under article 56a(1) or (3) of the Directive, in writing at the same time as the alert is sent, that the pharmacist— (a) is the subject of an alert sent under article 56a(1) or (3) of the Directive; (b) has the right to appeal the decision or to apply for rectification of the decision; (c) has the right to access remedies in respect of any damage caused by false alerts sent to other competent authorities. |
Informing competent authorities, where applicable, that an alert is subject to appeal proceedings by the pharmacist. | |
Article 56a(7) | Ensuring that an alert made under article 56a(1) of the Directive is deleted from the IMI within three days of, beginning with and including— (a) the date of adoption of the revoking decision; or (b) the date of expiry of the prohibition or restriction referred to in that article. |
Article 57a(1) | Ensuring that all requirements, procedures and formalities relating to the recognition of qualifications as a pharmacist may be easily completed by the applicant remotely and by electronic means.] |
Article 20
F18Sch. 3 substituted (1.10.2012) by The Pharmacy (1976 Order) (Amendment) Order (Northern Ireland) 2012 (S.R. 2012/308), arts. 1(1), 11, Sch. 2 (with Sch. 3)
1.—(1) The Council shall—
(a)set standards relating to the conduct, ethics and performance expected of registered persons; and
(b)make provision in regulations regarding the criteria to which the Statutory Committee is to have regard when deciding, in the case of any registered person, whether or not the requirements as to fitness to practise are met in relation to that registered person.
(2) The Council shall publish the standards set under this paragraph, as they exist from time to time, in such manner as it considers appropriate.
(3) Where any registered person is alleged to have failed to comply with standards set under this paragraph, that failure—
(a)is not, of itself, to be taken to constitute misconduct on the registered person’s part; but
(b)is to be taken into account in any proceedings against the registered person under this Order.
2.—(1) For the purpose of assisting the Council (including its staff and the Scrutiny Committee) and the Statutory Committee in carrying out functions in respect of the fitness to practise of a registered person a person authorised by the Council or the Statutory Committee may require—
(a)a registered person (except the registered person in respect of whom the information or document is sought), or
(b)any other person,
who, in the opinion of the authorised person, is able to supply information or produce any document which appears to be relevant to the discharge of any such function, to supply the information or produce the document.
(2) Nothing in sub-paragraph (1) requires or permits—
(a)any disclosure of information which is prohibited by or under any statutory provision, but where that prohibition arises because the information is in a form which allows for the identification of an individual, the authorised person may require that information to be put in a form which does not allow for the identification of that individual; or
(b)the supplying of information or production of a document which a person could not be compelled to produce in civil proceedings in the High Court under paragraph 10.
(3) In determining, for the purposes of sub-paragraph (2)(a) whether a disclosure of personal data is prohibited, it is to be assumed, for the purposes of section 35(1) of the Data Protection Act 1998 (disclosures required by law or made in connection with legal proceedings etc. ), that the disclosure of personal data is required by sub-paragraph (1).
(4) If a person fails to supply any information or to produce any document within 14 days of being required to do so under sub-paragraph (1), or within such longer period as the Council or the Statutory Committee in the circumstances of a particular case may allow, the Council may seek an order of the county court requiring the information to be supplied or the document to be produced.
3.—(1) The Council may, if it considers it to be in the public interest to do so, publish or disclose to any person, information—
(a)which relates to a particular registered person’s fitness to practise, whether the matter to which the information relates arose before or after the entry in the register of that registered person’s name, or arose in Northern Ireland or elsewhere; or
(b)of a particular description related to fitness to practise in relation to every registered person or to every registered person of a particular description.
(2) For the purposes of sub-paragraph (1)(b), the Council need not consider whether it is in the public interest to publish or disclose the information in question in relation to each individual registered person to whom it relates.
4.—(1) A person’s fitness to practise is to be regarded as “impaired” for the purposes of this Order only by reason of—
(a)misconduct;
(b)deficient professional performance (which includes competence);
(c)adverse physical or mental health which impairs their ability to practise safely and effectively or which otherwise impairs their ability to carry out the duties of a registered person in a safe and effective manner;
[F19(ca)the person not having the necessary knowledge of English;]
(d)a conviction in the British Islands for a criminal offence;
(e)a conviction elsewhere than in the British Islands for an offence which, if committed in Northern Ireland, would constitute a criminal offence;
(f)having agreed to pay a penalty under section 109A of the Social Security Administration (Northern Ireland) Order 1992 (penalty as alternative to prosecution);
(g)a police caution in the British Islands;
(h)having agreed to be bound over to keep the peace by a magistrates’ court in Northern Ireland;
(i)a determination made by a regulatory body in the United Kingdom responsible under any statutory provision for the regulation of a health or social care profession to the effect that the person’s fitness to practise as a member of a profession regulated by that body is impaired, or a determination by a regulatory body elsewhere to the same effect;
(j)the Independent Safeguarding Authority including the person in a barred list (within the meaning of the Safeguarding Vulnerable Groups Act 2006 or the Safeguarding Vulnerable Groups (Northern Ireland) Order 2007; or
(k)the Scottish Ministers including the person in the children’s list or the adults’ list (within the meaning of the Protection of Vulnerable Groups (Scotland) Act 2007.
(2) The demonstration towards a patient or customer, or a prospective patient or customer, by a registered person of attitudes or behaviour from which that person can reasonably expect to be protected may be treated as misconduct for the purposes of sub-paragraph (1)(a).
(3) References in this paragraph to a conviction include a conviction by court martial.
(4) A person’s fitness to practise may be regarded as impaired because of matters arising—
(a)outside Northern Ireland; and
(b)at any time.
(5) The Council may make such provision in regulations as it considers appropriate in connection with the information to be provided to the registrar by a registered person about fitness to practise matters that arise while their name is entered in any register kept under this Order.
(6) If a registered person fails to comply with regulations under sub-paragraph (5) the failure may be treated as misconduct for the purposes of sub-paragraph (1)(a) and the registrar must consider in accordance with paragraph 5(1) whether or not to refer the matter to the Scrutiny Committee or (where regulations under paragraph 5(1) so provide) the Statutory Committee.
F19Sch. 3 para. 4(1)(ca) inserted (1.6.2016) by The Health Care and Associated Professions (Knowledge of English) Order 2015 (S.I. 2015/806), arts. 1(3), 10(2); S.I. 2015/1451, art. 6(a)
5.—(1) Where—
(a)an allegation is made to the Society against a registered person that their fitness to practise is impaired; or
(b)the Society has information that calls into question a registered person’s fitness to practise, even though no allegation to that effect has been made to the Society,
the registrar must, except in such cases and subject to such considerations as the Council may provide in regulations, refer the matter (referred to in this paragraph as “the allegation”) to the Scrutiny Committee.
(2) Regulations under sub-paragraph (1) may provide for—
(a)an allegation not to be referred where it is of a type that the Council has stated in threshold criteria, which it has published and which it may amend from time to time, should not be referred; and
(b)an allegation to be referred, in certain cases specified in regulations, directly by the registrar to the Statutory Committee.
(3) Where the registrar—
(a)refers an allegation directly to the Statutory Committee under regulations made by virtue of sub-paragraph (2)(b);and
(b)is of the opinion that the Statutory Committee should consider making an interim order under paragraph 8,
the registrar must notify the Statutory Committee accordingly.
(4) Where the registrar refers an allegation to the Statutory Committee under regulations made by virtue of sub-paragraph (2)(b), the registrar must inform the registered person who is the subject of the allegation and the person, if any, who made the allegation of that decision.
(5) Once a decision has been taken to refer the allegation to the Scrutiny Committee or (where regulations so provide) the Statutory Committee, the registrar must, as soon as is reasonably practicable—
(a)require from the registered person who is the subject of the allegation details of any person—
(i)by whom the registered person is employed or engaged to provide services in, or in relation to, any area of pharmacy, or
(ii)with whom the registered person has arrangements to provide such services;
(b)notify the Department of the investigation of the registered person’s fitness to practise;
(c)notify the Secretary of State, the Scottish Ministers and the Welsh Ministers of the investigation of the registered person’s fitness to practise where the registered person is also entered in the register established and maintained under Article 19 of the Pharmacy Order 2010; and
(d)notify any person of whom the registrar is aware—
(i)by whom the registered person is employed or engaged to provide services in, or in relation to, any area of pharmacy, or
(ii)with whom the registered person has arrangements to provide such services,
of the investigation of the registered person’s fitness to practise.
(6) Where a registered person fails to comply with a requirement imposed under sub-paragraph (5)(a) within 14 days of the requirement being imposed, or within such longer period as the registrar may in the circumstances of the particular case allow—
(a)the failure may be treated as misconduct for the purposes of paragraph 4(1)(a) and the registrar may refer the matter to the committee that is considering the allegation in respect of the registered person; and
(b)the registrar may seek an order of the county court requiring the requested details to be supplied.
6.—(1) Where an allegation or a matter (referred to in this paragraph as “the allegation”) is referred to the Scrutiny Committee by the registrar under paragraph 5(1) or (6)(a) the Scrutiny Committee must decide whether the allegation ought to be considered by the Statutory Committee.
(2) If the Scrutiny Committee decides that the allegation need not be considered by the Statutory Committee then unless the person who is the subject of the allegation (referred to in this paragraph as “the person concerned”) has requested a referral under sub-paragraph (3)—
(a)the Scrutiny Committee may give—
(i)a warning to the person concerned in connection with any matter arising out of or related to the allegation and give a direction that details of the warning be recorded in the person’s entry in the register;
(ii)advice to the person concerned in connection with any matter arising out of, or related to, the allegation, and
(iii)advice to any other person or other body involved in its investigation of the allegation on any issue arising out of, or related to, the allegation; and
(b)the registrar must inform the person concerned and the person who made the allegation, if any, of the Scrutiny Committee’s decision and any action it is taking under head (a).
(3) If the Scrutiny Committee determines that the allegation ought to be considered by the Statutory Committee or the person concerned has requested a referral under this sub-paragraph—
(a)the Scrutiny Committee must refer the allegation to the Statutory Committee;
(b)where the Scrutiny Committee considers that the Statutory Committee should consider making an interim order under paragraph 8, it must notify the Statutory Committee accordingly; and
(c)the registrar must inform the person concerned and the person who made the allegation, if any, of the Scrutiny Committee’s decision to refer the allegation to the Statutory Committee.
(4) If, having considered the allegation, the Scrutiny Committee considers that the Department should consider exercising any of its powers to bring criminal proceedings under any statutory provision, it must notify the Department accordingly.
7.—(1) Where an allegation or matter (referred to in this paragraph as “the allegation”) is referred to the Statutory Committee by the registrar—
(a)under regulations made by virtue of paragraph 5(2)(b);
(b)under paragraph 5(6)(a); or
(c)by the Scrutiny Committee under paragraph 6,
the Statutory Committee must determine whether or not the fitness to practise of the person in respect of whom the allegation is made (referred to in this paragraph as “the person concerned”) is impaired.
(2) Subject to sub-paragraph (6), if the Statutory Committee determines that the fitness to practise of the person concerned is impaired, it may give—
(a)a warning to the person concerned in connection with any matter arising out of, or related to, the allegation and give a direction that details of the warning be recorded in the person’s entry in the register;
(b)advice to any other person or other body involved in the investigation of the allegation on any issue arising out of, or related to, the allegation;
(c)a direction to strike the name of the person concerned off the register;
(d)a direction that the entry in the register of the person concerned be suspended, for such period not exceeding 12 months as may be specified in the direction; or
(e)a direction that the entry in the register of the person concerned be conditional upon that person complying, during such period not exceeding 3 years as may be specified in the direction, with such requirements specified in the direction as the Statutory Committee thinks fit to impose for the protection of the public or otherwise in the public interest or in the interests of the person concerned.
(3) Subject to sub-paragraph (6), where the Statutory Committee has given a direction under this paragraph, other than a direction to strike the name of the person concerned off the register, it may, if it thinks fit, following a review—
(a)where the entry in the register of the person concerned is suspended, give a direction that—
(i)the name of the person concerned be struck off the register,
(ii)the suspension of the entry be extended for such further period not exceeding 12 months as may be specified in the direction, starting from the time when the period of suspension would otherwise expire,
(iii)the entry be suspended indefinitely, if the suspension has already been in force throughout a period of at least 2 years,
(iv)in the case of an indefinite suspension, terminate the suspension, provided that the review takes place in the circumstances provided for in sub-paragraph (4), or
(v)on expiry or termination of the period of suspension (including a period of suspension that was expressed to be indefinite), the entry be conditional upon that person complying, during such period not exceeding 3 years as may be specified in the direction, with such requirements specified in the direction as the Statutory Committee thinks fit to impose for the protection of the public or otherwise in the public interest or in the interests of the person concerned;
(b)where the entry in the register of the person concerned is conditional upon that person complying with requirements specified in a direction given under this paragraph, give a direction that—
(i)the period specified in the direction for complying with the requirements be extended for such further period not exceeding 3 years as may be specified in the direction, starting from the time when the earlier period would otherwise expire,
(ii)the requirements be added to, removed or otherwise varied in such manner as may be specified in the direction,
(iii)the entry instead be suspended (for example, where that person has failed, whether wholly or partly, to comply with the requirements), for such period not exceeding 12 months as may be specified in the direction, or
(iv)the name of the person concerned be struck off the register, if that person has failed, either wholly or partly, to comply with the requirements.
(4) If the Statutory Committee gives a direction under sub-paragraph (3)(a)(iii), the Statutory Committee must review the direction if—
(a)the person concerned asks it to do so; and
(b)at least 2 years have elapsed—
(i)since the direction took effect, or
(ii)if the direction has already been reviewed by the Statutory Committee, since the conclusion of the last review by the Statutory Committee.
(5) If the Statutory Committee determines that the fitness to practise of the person concerned is not impaired—
(a)the Statutory Committee may give—
(i)a warning to the person concerned in connection with any matter that the Statutory Committee considers necessary or desirable taking into account the Statutory Committee’s findings and give a direction that details of the warning be recorded in the person’s entry in the register,
(ii)advice to the person concerned in connection with any such matter, and
(iii)advice to any other person or other body involved in the investigation of the allegation on any issue arising out of, or related to, the allegation;
(b)the registrar must inform the person concerned and the person who made the allegation, if any, of the Statutory Committee’s decision and any action it is taking under head (a); and
(c)the Statutory Committee must, if the person concerned so requests, publish in such manner as it sees fit a statement summarising its determination, or may publish such a statement if that person consents.
(6) If the Statutory Committee determines under this paragraph that a person’s fitness to practise is impaired solely by reason of adverse physical or mental health, it may not give a direction under sub-paragraph (2)(c), (3)(a)(i) or (b)(iv) that the name of the person concerned be struck off the register.
(7) If the Statutory Committee gives a warning or a direction under this paragraph, the registrar must on its behalf send to the person concerned a statement in writing giving the person notice of the reasons for the warning or the direction and of any right of appeal under paragraph 10.
(8) If, having considered the allegation, the Statutory Committee considers that the Department should consider exercising any of its powers to bring criminal proceedings under any statutory provision, it must notify the Department accordingly.
(9) If the entry in the register of the person concerned is suspended, the person must be treated as not being entered in the register, even though the register still contains the person’s name, except for the purposes of Articles 4A and 10 and this Schedule (and regulations under or that relate to those provisions).
(10) Accordingly, a person whose entry in the register is suspended is not to be treated for the purposes of any statutory provision other than this Order as being entered in the register.
(11) Nothing in this paragraph shall affect the provisions of Articles 9(5),10(1)(b), 11(2) and 17 with respect to the striking off the register of names and entries in the cases to which those provisions respectively relate.
8.—(1) Where the Statutory Committee is satisfied that it is necessary for the protection of members of the public or is otherwise in the public interest or is in the interests of the registered person for an entry in the register relating to that registered person to be suspended or to be made subject to conditions, the Statutory Committee may make an order—
(a)that the entry in question be suspended for such period not exceeding 18 months as may be specified in the order (an “interim suspension order”); or
(b)that the entry in question be conditional upon the registered person complying, during such period not exceeding 18 months as may be specified in the order, with such requirements specified in the order as the Statutory Committee thinks fit to impose (an “order for interim conditional entry”).
(2) Subject to sub-paragraph (7), where the Statutory Committee has made an order under sub-paragraph (1), the Statutory Committee—
(a)must review it within the period of 6 months beginning with and including the date on which the order was made, and must after that, for so long as the order continues in operation, further review it—
(i)before the end of the period of 6 months beginning with and including the date of the decision of the immediately preceding review, or
(ii)if, after the end of the period of 3 months beginning with and including the date of the decision of the immediately preceding review, the person concerned requests an earlier review, as soon as practicable after that request; and
(b)may review it where new evidence relevant to the order has become available after it was made.
(3) Where an interim suspension order or an order for interim conditional entry has been made in relation to any person under any provision of this paragraph (including this sub-paragraph) the Statutory Committee may—
(a)revoke the order;
(b)add to, remove or otherwise vary any condition imposed by the order; or
(c)if satisfied that to do so is necessary for the protection of members of the public or is otherwise in the public interest—
(i)replace an order for interim conditional entry with an interim suspension order having effect for the remainder of the term of the previous order, or
(ii)replace an interim suspension order with an order for interim conditional entry having effect for the remainder of the term of the previous order.
(4) If an order is made, revoked or varied under any provision of this paragraph, the registrar must without delay send to the person in respect of whose entry in the register it relates a statement in writing giving the person notice of the order, the revocation or, as the case may be, the variation.
(5) The Society may apply to the High Court for an order made by the Statutory Committee under sub-paragraph (1) or (3) to be extended or, if it has been extended, further extended, and on such application the High Court may extend, or further extend, for up to 12 months the period for which the order has effect.
(6) Any reference in this paragraph to an interim suspension order, or to an order for interim conditional entry, includes a reference to such an order as extended under sub-paragraph (5).
(7) For the purposes of sub-paragraph (2), the first review after the High Court’s extension of an order made by the Statutory Committee, or after a replacement order made by the Statutory Committee under sub-paragraph (3)(c), must take place—
(a)if the order (or the order which has been replaced) has not been reviewed at all under sub-paragraph (2), within the period of 6 months beginning with the date on which the High Court ordered the extension or on which the replacement order under sub-paragraph (3)(c) was made; and
(b)if the order (or the order which has been replaced) has been reviewed under sub-paragraph (2), within the period of 3 months beginning with and including that date.
(8) A registered person who is aggrieved by the decision of the Statutory Committee to make or vary an order under this paragraph may appeal against that decision to the High Court, and the court may—
(a)in the case of an interim suspension order, terminate the suspension;
(b)in the case of an order for interim conditional entry, revoke the order or remove or vary any condition imposed by the order; and
(c)in either case, substitute for the period specified in the order (or in the order extending it) some other period which could have been specified in the order when it was made (or in the order extending it),
but unless the court otherwise directs, the order remains in force pending the outcome of the appeal.
(9) The decision of the High Court on any appeal under sub-paragraph (8) is final.
(10) If an order is made in relation to any person under this paragraph and that order remains in effect immediately before the determination in respect of the allegation against that person under paragraph 7(1), the Statutory Committee must revoke the order once it has been determined whether or not the person’s fitness to practise is impaired.
9.—(1) Subject to sub-paragraph (2)—
(a)a person (hereinafter referred to as the applicant) whose name has been struck off the register, in accordance with a direction under paragraph 7(2)(c) or (3)(a)(i) or (b)(iv) may apply to the registrar under this paragraph for the restoration of their name to the register; and
(b)the registrar must refer that application to the Statutory Committee.
(2) An application may not be made under sub-paragraph (1)—
(a)before the expiration of 5 years from and including the date of removal; or
(b)within 12 months of the date of an earlier application under sub-paragraph (1) relating to the same entry.
(3) The Council may make such provision in regulations in connection with applications for restoration by virtue of sub-paragraph (1) as it considers appropriate and may, in particular, make provision with regard to—
(a)the form and manner in which applications for restoration are to be made (and the regulations may provide that applicants must apply using application forms that are in such form as the Council may determine from time to time);
(b)the information to be provided by the applicant, including—
(i)the name under which the applicant intends to practise, and
(ii)the applicant’s home address;
(c)whether any, and if so what, additional education, training or continuing professional development is required before restoration (and the regulations may make provision for these issues to be determined in individual cases by the registrar);
(d)fitness to practise matters; and
(e)refusal of applications (including where the applicant has not paid the prescribed fee).
(4) An application under this paragraph may not be granted unless the applicant provides such evidence of fitness to practise as the Statutory Committee directs.
(5) Where the Statutory Committee refuses an application for restoration, the registrar must send to the applicant a statement in writing giving the applicant notice of the decision and of the reason for it.
(6) If the Statutory Committee grants an application, it may give a direction that the restoration of the applicant’s nameto the register be conditional upon the applicant complying, during such period not exceeding 3 years as may be specified in the direction, with such requirements specified in the direction as the Statutory Committee thinks fit to impose for the protection of the public or otherwise in the public interest or in the interests of the applicant.
(7) Where the Statutory Committee gives a direction under sub-paragraph (6), that direction must, for the purposes of paragraph 7(3), be treated as a direction under paragraph 7.
(8) If—
(a)the Statutory Committee refuses an application under this paragraph (“the current application”);
(b)it has refused a previous application under this paragraph made by the same person; and
(c)since the time when the previous application was refused, the applicant’s name has not been entered in the register,
the Statutory Committee may direct that the applicant may make no further application under this paragraph.
(9) If the Statutory Committee gives a direction under sub-paragraph (6) or (8), the registrar must on its behalf send to the applicant a statement in writing giving the applicant notice of the decision and the reasons for it and, in the case of a direction under sub-paragraph (8), of the right of appeal under paragraph 10.
10.—(1) The following decisions are appealable fitness to practise decisions for the purposes of this Order—
(a)a decision of the Statutory Committee under paragraph 7 to give a direction to strike the name of a registered person off the register;
(b)a decision of the Statutory Committee under paragraph 7 to give a direction for suspension or for conditional entry (including a direction extending a period of earlier suspension or of conditional entry or making a period of suspension indefinite);
(c)a decision of the Statutory Committee under paragraph 7 to give a direction to vary the conditions imposed by a direction for conditional entry;
(d)a decision of the Statutory Committee to give a direction under paragraph 9(8) that a person may make no further applications under that paragraph in respect of restoration of their name to the register.
(2) A person in respect of whom an appealable fitness to practise decision has been made may appeal against that decision to the High Court.
(3) Notice of any appeal under this paragraph must be filed at the High Court and served on the Society, in accordance with rules of court, within 28 days beginning with and including the date on which the written notice of the reasons for the decision was sent, or within such longer period as the High Court may, in accordance with rules of court, allow.
(4) Having considered the appeal, the High Court may—
(a)dismiss the appeal;
(b)allow the appeal, and quash the direction in respect of which the appeal is made;
(c)substitute for the direction in respect of which the appeal is made any other direction that the Statutory Committee could have given; or
(d)remit or refer the case to the registrar or the Statutory Committee for disposal of the matter in accordance with the High Court’s directions,
and may make such order as to costs as the High Court thinks fit.
11.—(1) Where an appealable fitness to practise decision is taken in respect of a direction, that direction does not take effect—
(a)until the period for bringing an appeal in respect of the direction has expired; or
(b)where an appeal is brought within the period for bringing an appeal, until the date on which the appeal is fully disposed of, is abandoned or fails by reason of its non-prosecution.
(2) Where, by virtue of sub-paragraph (3) of paragraph 10, the time for bringing an appeal in respect of the direction has been extended by the High Court in accordance with rules of court—
(a)sub-paragraph (1) applies to the direction as if the references to the period for bringing an appeal were references to that period as so extended; and
(b)if the High Court allows an appeal to be brought after the expiration of the period for bringing an appeal specified in sub-paragraph (3) of paragraph 10, the direction is deemed not to have taken effect on the expiration of that period.
(3) Where, within the period for bringing an appeal (which includes that period as extended by virtue of paragraph 10(3)), an appeal is brought against an appealable fitness to practise decision in respect of a direction (“the later direction”) that extends, varies or replaces an earlier direction, the earlier direction continues to have effect until the date on which the appeal is finally disposed of, is abandoned or fails by reason of its non-prosecution.
(4) Where, as a result of an extension of an earlier direction pursuant to sub-paragraph (3), a later direction takes effect on a date after it was due to take effect, the period for which the later direction was originally expressed to have effect (howsoever expressed) is treated as commencing—
(a)on the date on which it was originally due to take effect; or
(b)if this would mean that the later direction would in practice expire before it commences, on the date on which the appeal is finally disposed of, is abandoned or fails by reason of its non-prosecution.
(5) For the purposes of sub-paragraphs (3) and (4), an appeal is finally disposed of once all rights in relation to the appeal have been exhausted.
12.—(1) Sub-paragraph (2) applies where, under paragraph 7, the Statutory Committee gives—
(a)a direction to strike the name of a registered person off the register; or
(b)a direction for suspension.
(2) If the Statutory Committee is satisfied that to do so is necessary for the protection of members of the public or is otherwise in the public interest or in the interests of the registered person, it may order that the entry of the registered person who is the subject of the direction be suspended forthwith, pending the coming into force of the direction.
(3) Sub-paragraph (4) applies where the Statutory Committee gives a direction for conditional entry under paragraph 7.
(4) If the Statutory Committee is satisfied that to do so is necessary for the protection of members of the public or is otherwise in the public interest or in the interests of the registered person, it may order that the entry of the registered person who is the subject of the direction be conditional upon that person complying, pending the coming into force of the direction, with such requirements specified in the order as the Statutory Committee thinks fit to impose.
(5) Where the Statutory Committee makes an order under sub-paragraph (2) or (4), the registrar must send to the registered person who is the subject of the order a statement in writing giving that registered person notice of the contents of the order and the right of appeal under sub-paragraph (6).
(6) A registered person who is aggrieved by a decision of the Statutory Committee to make an order under this paragraph may appeal against that decision to the High Court who may—
(a)dismiss the appeal;
(b)in the case of an order under sub-paragraph (2), terminate the suspension; and
(c)in the case of an order under sub-paragraph (4), revoke the order or remove or vary any condition imposed by the order,
and the decision of the High Court on any application under this paragraph is final.
13. Where a direction given or an order made by the Statutory Committee under this Schedule has taken effect, or an order has been made by the High Court under this Schedule on an appeal against any such direction or order the registrar shall make such alterations in the register, and in the register of premises required to be kept under section 75 of the Medicines Act, as are necessary to give effect to the direction or order.
14.—(1) The Council may make such provision in regulations as it considers appropriate in connection with applications by registered persons for voluntary removal of their names from the register and may, in particular, make provision with regard to—
(a)the form and manner in which applications are to be made (and the regulations may provide that applicants must apply using application forms that are in such form as the Council may determine from time to time);
(b)the information to be provided by the applicant;
(c)fitness to practise matters;
(d)refusal of applications (in such circumstances as may be prescribed in the regulations including where there are outstanding fitness to practise proceedings in respect of the applicant);
(2) Where the registrar refuses an application for voluntary removal from the register, the registrar must send to the applicant a statement in writing giving the applicant notice of the refusal and of the reasons for it.
15.—(1) Subject to the following provisions the Council must make such provision as it considers appropriate in regulations in connection with the procedure to be followed and rules of evidence to be observed by—
(a)the Scrutiny Committee; and
(b)the Statutory Committee (whether exercising functions under this Order or the Medicines Act) .
(2) The regulations under sub-paragraph (1) in respect of the Statutory Committee must, and in respect of the Scrutiny Committee may, include provision—
(a)for securing that, where a hearing is to be held, notice of when and where the hearing is to be held is given, at such time and in such manner as may be specified in the regulations, to any person to whom the proceedings relate;
(b)for securing that the person concerned (which for the purposes of this paragraph, where appropriate, includes an individual who, or body corporate which, is subject to disqualification proceedings under Part 4 of the Medicines Act) and the Council are, if they so require, entitled to be heard by the Statutory Committee—
(i)at any hearing, or
(ii)in fitness to practise proceedings or on any other occasion when the Statutory Committee is considering making an interim suspension order or an order for interim conditional entry;
(c)for allowing the person concerned and the Council to be represented at any hearing, or in fitness to practise proceedings or on any other occasion when the Statutory Committee is considering making an interim suspension order or an order for interim conditional entry, by a barrister or solicitor;
(d)for proceedings before the Statutory Committee to be held in public, except and to the extent that regulations provide otherwise; and
(e)in respect of reviewing directions under paragraph 7—
(i)which are due to expire,
(ii)in circumstances where the Statutory Committee is considering varying the requirements specified in the direction, or
(iii)in the case of a direction for suspension or for conditional entry—
(aa)at the request of the registrar or the person concerned, or
(bb)upon new evidence becoming available.
(3) The regulations under sub-paragraph (1) may include provision—
(a)in respect of preliminary consideration of a case before the Scrutiny Committee or the Statutory Committee (including considering representations from the person concerned and the Society during its preliminary consideration);
(b)following preliminary consideration of a case—
(i)in the case of an appeal before the Statutory Committee, allowing the Statutory Committee, in specified circumstances, to allow the appeal or take a decision which has the effect of allowing the appeal,
(ii)in fitness to practise proceedings, allowing the Statutory Committee, in specified circumstances, to make a finding that the fitness to practise of the person concerned is not impaired, and
(iii)in a disqualification case, allowing the Statutory Committee, in specified circumstances, to dismiss the case;
(c)in respect of consensual disposal of a fitness to practise case following preliminary consideration of it, including provision—
(i)enabling the Scrutiny Committee or the Statutory Committee, in specified circumstances, to agree with the person concerned that the person concerned will comply with such undertakings as the Scrutiny Committee or the Statutory Committee considers appropriate, and
(ii)with respect to the procedure to be followed when any such undertakings are breached (the regulations may provide that the breach may be treated as misconduct for the purposes of paragraph 4(1)(a) and for the matter to be dealt with as a misconduct allegation that is before the Scrutiny Committee or the Statutory Committee);
(d)in respect of consensual disposal of a disqualification case following preliminary consideration of it, including provision—
(i)enabling the Statutory Committee, in specified circumstances, to agree with the individual or body corporate that the individual or body corporate will comply with such undertakings as the Statutory Committee considers appropriate, and
(ii)with respect to the procedure to be followed where any such undertakings are breached;
(e)in respect of case management meetings (and the regulations may provide that the preliminary consideration of a case is to take place at a case management meeting) and directions, including provision with respect to the procedure to be followed where case management directions are breached;
(f)in respect of cancelling, postponing or adjourning hearings and staying proceedings in appropriate circumstances;
(g)enabling the Statutory Committee to draw such inference as seems appropriate to it in the particular circumstances of the case if the person concerned fails—
(i)during fitness to practise proceedings, to submit to any examination or assessment required or directed to be carried out in accordance with the regulations made under this paragraph, or
(ii)to co-operate with the Statutory Committee;
(i)enabling the Scrutiny Committee or the Statutory Committee during the course of proceedings, to make such inquiries as it considers appropriate;
[F20(ia)enabling the Scrutiny Committee or the Statutory Committee during the course of proceedings, to direct the person concerned to undertake an examination or other assessment of the person’s knowledge of English;]
(j)enabling the Statutory Committee, following consideration of a disqualification case, instead of issuing a direction under section 80 of the Medicines Act (disqualification, and removal from the register)—
(i)to agree with the individual or body corporate that the individual or body corporate will comply with such undertakings as the Statutory Committee considers appropriate (and the regulations may include provision with respect to the procedure to be followed where any such undertakings are breached), and
(ii)to dispose of the matter by giving advice or a warning; and
(k)for the award of, and in respect of the assessment of costs and may require the Statutory Committee or the Scrutiny Committee to have regard to a person’s ability to pay when considering the making of an award against the person under the regulations.
(4) An award of costs may, by leave of the High Court, be enforced in the same manner as an order of the High Court to the same effect.
(5) The regulations under paragraph (1) may make provision—
(a)as to the form which is to be used for any document (and may provide that documents specified in the regulations are to be in such form as the Council may determine from time to time); and
(b)for documents or certificates to be sent or received as an electronic communication.
F20Sch. 3 para. 15(3)(ia) inserted (1.6.2016) by The Health Care and Associated Professions (Knowledge of English) Order 2015 (S.I. 2015/806), arts. 1(3), 10(3); S.I. 2015/1451, art. 6(a)
16.—(1) For the purposes of proceedings under this Order —
(a)the Statutory Committee may administer oaths; and
(b)the Statutory Committee or any party to proceedings before it may apply for the issue of a witness summons directing a person to attend the proceedings in order to give evidence or to produce a document.
(2) No person may be compelled under any such summons to give any evidence or to produce any document which that person could not be compelled to give or produce on the trial of an action.
(3) Where—
(a)several sittings of the Statutory Committee are required to enable the committee to dispose of the case; or
(b)on an appeal to the High Court under paragraph 10, the case is remitted to the Statutory Committee to dispose of the case in accordance with directions given by the High Court,
the validity of the proceedings on the case before the Statutory Committee may not be called into question by reason only that members of the Statutory Committee who were present at a former meeting were not present at a later meeting of the Statutory Committee or that members present at a later meeting were not present at a former meeting of the Statutory Committee.
17.—(1) The Council may appoint suitably qualified and experienced barristers or solicitors to be legal advisers.
(2) Legal advisers appointed under this paragraph may not be a member of the Council, the Statutory Committee or the Scrutiny Committee.
(3) Legal advisers appointed under this paragraph may be appointed either generally or for any proceedings or particular class of proceedings and are to hold and vacate office in accordance with the terms of the instrument under which they are appointed.
(4) The Council may make regulations as to the functions of legal advisers appointed under this paragraph.
18.—(1) The Council may appoint medical practitioners to be clinical advisers.
(2) The Council may appoint persons to act as specialist advisers on issues on which, in the Council’s opinion, specialist knowledge is required.
(3) Persons appointed to be—
(a)clinical advisers must have specialist expertise in a particular field or fields; and
(b)specialist advisers must have particular expertise in the speciality for which they are appointed.
(4) If clinical advisers are appointed under sub-paragraph (1) their appointment is for the purpose of giving advice to—
(a)the Scrutiny Committee or the Statutory Committee on health related issues under consideration by either committee in the course of proceedings before it; and
(b)the Council on health related issues.
(5) If specialist advisers are appointed under sub-paragraph (2), their appointment is for the purpose of giving advice to the Statutory Committee or the Scrutiny Committee on issues falling within their speciality which are under consideration by that Committee in the course of proceedings before it.
(6) Advisers appointed under this paragraph may not be a member of the Council, a committee of the Council or the Statutory Committee.
(7) Advisers appointed under this paragraph may be appointed—
(a)generally; or
(b)for the purpose of any proceedings or particular class of proceedings,
and are to hold and vacate office in accordance with the terms of the instrument under which they are appointed.
(8) The Council may make regulations as to the functions of advisers appointed under this paragraph.
(9) In this paragraph “medical practitioner” means a fully registered person within the meaning of the Medical Act 1983 who holds a licence to practise under that Act.]
Article 26(a).
1. The Council may direct the registrar to register any name which was removed in pursuance of section 10(1)( b) of the Act of 1925 from the register of pharmaceutical chemists or the register of druggists.N.I.
2. If any person whose name has been removed in pursuance of section 8(4) of the Act of 1945 from the register of pharmaceutical chemists, the register of druggists or the register of students for non-payment of any fee, pays to the Society, before the expiration of such period (if any) as the Council allows, the fee and any additional sum prescribed in pursuance of Article 15(3), the registrar shall, subject to the provisions of any direction of the Statutory Committee which is in force in relation to the name, register the name of that person; and, if the Council so directs, the registration shall have effect from the date on which the name was removed from the said register.N.I.
3. Where any person whose name has been removed as mentioned in paragraph 2, or a person employed by him in the carrying on of his business, has (whether before or after the removal of the name) been convicted of any such criminal offence, or been guilty of such misconduct, as, in the opinion of the Statutory Committee, renders the convicted or guilty person unfit to have his name on the register, the Committee may, after inquiring into the matter, direct that the name removed as aforesaid shall not be registered, or shall not be registered until the Committee otherwise direct; and, where the Committee direct that a name shall not be registered until the Committee otherwise direct, they may further direct that an application to the Committee in respect of the registration of the name shall not be entertained until the expiration of such period as is specified in the direction or the fulfilment of such conditions as are so specified.N.I.
4. Where the name of any person was absent from the register of pharmaceutical chemists or the register of druggists immediately before the commencement of this Order in pursuance of a direction given under section 13(1) of the Act of 1945 for the removal of the name from that register, the Statutory Committee may, either of their own motion or on the application of that person, being an application made consistently with any direction of the Statutory Committee applicable to him, direct the registrar to register the name of that person, either without any fee or on payment to the Society of such fee as is prescribed in pursuance of Article 20(2); but, where a judge of the High Court has dismissed an appeal against the direction given under the said section 13(1), a direction under this paragraph shall not take effect unless approved by the Lord Chief Justice.N.I.
5. The provisions of Articles 21 and 22 and of paragraph 1(2) of Schedule 3 shall apply in relation to a direction of the Statutory Committee under paragraph 3, and the provisions of Article 22 shall apply in relation to—N.I.
(a)a direction such as is mentioned in paragraph 4, as they apply in relation to a direction under this Order; and
(b)a refusal of an application such as is mentioned in paragraph 4, as they apply in relation to the refusal of an application under Article 20(2).
6. Nothing in this Order shall affect any articles of apprenticeship entered into by any student of the Society before the 1st August 1967, and, in relation to any apprenticeship which is the subject of such articles, any provision of the Pharmacy and Poisons Acts (Northern Ireland) 1925 to 1955, and any regulation made under such a provision, which was applicable thereto immediately before the 1st August 1967 shall be deemed to continue in force and to have effect as if the Pharmacy Act (Northern Ireland) 1967 [1967 c.12] had not been passed and this Order had not been enacted.N.I.
7. Nothing in this Order shall affect the term of office of a member of the Council who holds office at the commencement of Article 4(2).N.I.
Schedule 5—Amendments
Schedule 6—Repeals
Latest Available (revised):The latest available updated version of the legislation incorporating changes made by subsequent legislation and applied by our editorial team. Changes we have not yet applied to the text, can be found in the ‘Changes to Legislation’ area.
Original (As Enacted or Made): The original version of the legislation as it stood when it was enacted or made. No changes have been applied to the text.
Point in Time: This becomes available after navigating to view revised legislation as it stood at a certain point in time via Advanced Features > Show Timeline of Changes or via a point in time advanced search.
Geographical Extent: Indicates the geographical area that this provision applies to. For further information see ‘Frequently Asked Questions’.
Show Timeline of Changes: See how this legislation has or could change over time. Turning this feature on will show extra navigation options to go to these specific points in time. Return to the latest available version by using the controls above in the What Version box.
Access essential accompanying documents and information for this legislation item from this tab. Dependent on the legislation item being viewed this may include:
This timeline shows the different points in time where a change occurred. The dates will coincide with the earliest date on which the change (e.g an insertion, a repeal or a substitution) that was applied came into force. The first date in the timeline will usually be the earliest date when the provision came into force. In some cases the first date is 01/02/1991 (or for Northern Ireland legislation 01/01/2006). This date is our basedate. No versions before this date are available. For further information see the Editorial Practice Guide and Glossary under Help.
Use this menu to access essential accompanying documents and information for this legislation item. Dependent on the legislation item being viewed this may include:
Click 'View More' or select 'More Resources' tab for additional information including: