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- Point in Time (28/02/2000)
- Original (As enacted)
Version Superseded: 01/04/2000
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Textual Amendments
F1S. 1 repealed (1. 4. 1991) by Courts and Legal Services Act 1990 (c. 41, SIF 76:1), s. 125(7), Sch. 20; S.I. 1991/608, art. 2, Sch.
After the section 44A inserted in the M1Solicitors Act 1974 by the preceding section there shall be inserted—
(1)Where the Council are satisfied that it is necessary to do so for the purpose of investigating any complaint made to the Society—
(a)alleging professional misconduct by a solicitor; or
(b)relating to the quality of any professional services provided by a solicitor,
the Society may give notice to the solicitor or his firm requiring the production or delivery to any person appointed by the Society, at a time and place to be fixed by the Society, of all documents in the possession of the solicitor or his firm in connection with the matters to which the complaint relates (whether or not they relate also to other matters).
(2)Sub-paragraphs (2) to (12) of paragraph 9 of Schedule 1, together with paragraphs 12 to 16 of that Schedule, shall apply in relation to the powers conferred by subsection (1) as they apply in relation to the powers conferred by sub-paragraph (1) of paragraph 9, and accordingly in those provisions—
(a)any reference to a person appointed, or to a requirement, under that sub-paragraph shall be construed as including a reference to a person appointed, or to a requirement, under subsection (1); and
(b)any reference to any such documents as are mentioned in that sub-paragraph shall be construed as including a reference to any such documents as are mentioned in subsection (1).”.
Marginal Citations
Textual Amendments
F2S. 3 wholly repealed (the repeal being in force on 1. 1. 1991 as regards s. 3(1) and 1. 4. 1991 as regards s. 3(2)) by Courts and Legal Services Act 1990 (c. 41, SIF 76:1), s.125(7), Sch.20.; S.I. 1990/2484 ,1991/608, art. 2, Sch.
(1)Section 12 of the M2Solicitors Act 1974 (discretion of Law Society with respect to issue of practising certificates in special cases) shall be amended as follows.
(2)In subsection (1)—
(a)in paragraph (e), for “affecting” there shall be substituted “relating to”; and
(b)after that paragraph there shall be inserted—
“(ee)when, having been required by section 34(1) to deliver an accountant’s report to the Society, he has not delivered that report within the period allowed by section 34(2); or”.
(3)In subsection (2)—
(a)after “(e),” there shall be inserted “(ee),”; and
(b)after “subsection (1)” there shall be inserted “then, except in the case of any circumstances of whose existence the Society is unaware at the time the certificate is issued,”.
(4)After subsection (4) there shall be inserted—
“(4A)Without prejudice to the generality of subsection (4)(b)—
(a)conditions may be imposed under that provision for requiring the applicant to take any specified steps that will, in the opinion of the Society, be conducive to his carrying on an efficient practice as a solicitor; and
(b)conditions may be so imposed (whether for the purpose mentioned in paragraph (a) or otherwise) notwithstanding that they may result in expenditure being incurred by the applicant.”.
Marginal Citations
After section 13 of the M3Solicitors Act 1974 there shall be inserted—
(1)Subject to the provisions of this section, the Society may in the case of any solicitor direct that his practising certificate for the time being in force (his “current certificate”) shall have effect subject to such conditions as the Society may think fit.
(2)The power to give a direction under this section in the case of any solicitor shall be exercisable by the Society at any time during the period for which his current certificate is in force if—
(a)in the event of an application for a practising certificate being made by him at that time, section 12 would have effect in relation to him by reason of any such circumstances as are mentioned in paragraph (d), (e), (ee), (k) or (l) of subsection (1) of that section; or
(b)a receiving order in bankruptcy is in force against him; or
(c)he has entered into a composition with his creditors or a deed of arrangement for the benefit of his creditors.
(3)Subject to subsection (4), the conditions specified in a direction under this section shall have effect as from the time when the solicitor concerned is notified of the Society’s decision to give the direction.
(4)The Society may, if it thinks fit, provide in a direction under this section that the conditions specified in the direction shall not have effect pending the hearing and determination of any appeal under subsection (6).
(5)Where there is a pending against any judgment or order an appeal by a solicitor which, if successful, would result in subsection (2) no longer being applicable to him, the Society shall not give a direction under this section in his case so long as the appeal is pending, unless in the opinion of the Society the proceedings on that appeal have been unduly protracted by him or are unlikely to be successful.
(6)A solicitor in whose case a direction is given under this section may appeal to the Master of the Rolls against the decision of the Society within one month of being notified of it.
(7)On an appeal under subsection (6), the Master of the Rolls may—
(a)affirm the decision of the Society; or
(b)direct that the appellant’s current certificate shall have effect subject to such conditions as the Master of the Rolls thinks fit; or
(c)by order revoke the direction; or
(d)make such other order as he thinks fit.
(8)Subsection (4A) of section 12 shall apply for the purposes of subsection (1) of this section as it applies for the purposes of subsection (4)(b) of that section.”.
Marginal Citations
(1)Section 22 of the M4Solicitors Act 1974 (restriction on person preparing certain instruments when not qualified to act as a solicitor) shall be amended as follows.
(2)In subsection (1), for “subsection (2)” there shall be substituted “subsections (2) and (2A)”.
(3)After subsection (2) there shall be inserted—
“(2A)Subsection (1) also does not apply to any act done by a person at the direction and under the supervision of another person if—
(a)that other person was at the time his employer, a partner of his employer or a fellow employee; and
(b)the act could have been done by that other person for or in expectation of any fee, gain or reward without committing an offence under this section.”.
(4)In subsection (3)—
(a)after “instrument” there shall be inserted “includes a contract for the sale or other disposition of land (except a contract to grant such a lease as is referred to in section 45(2) of theLaw of Property Act 1925 (short leases)), but”; and
(b)at the end of paragraph (b) there shall be inserted “other than a contract that is included by virtue of the preceding provisions of this subsection;”.
(5)After that subsection there shall be inserted—
“(4)A local weights and measures authority may institute proceedings for an offence under this section.”.
Marginal Citations
For section 23 of the M5Solicitors Act 1974 there shall be substituted—
(1)Subject to subsections (2) and (3), any unqualified person who, directly or indirectly, draws or prepares any papers on which to found or oppose—
(a)a grant of probate, or
(b)a grant of letters of administration,
shall, unless he proves that the act was not done for or in expectation of any fee, gain or reward, be guilty of an offence and liable on summary conviction to a fine not exceeding the first level on the standard scale.
(2)Subsection (1) does not apply to a barrister or duly certificated notary public.
(3)Subsection (1) also does not apply to any act done by a person at the direction and under the supervision of another person if—
(a)that other person was at the time his employer, a partner of his employer or a fellow employee; and
(b)the act could have been done by that other person for or in expectation of any fee, gain or reward without committing an offence under this section.”.
Marginal Citations
The Solicitors Act 1974 shall have effect subject to the further amendments specified in Schedule 1.
(1)The Council may make rules—
(a)making provision as to the management and control by solicitors [F3or solicitors and one or more registered foreign lawyers] of bodies corporate carrying on businesses consisting of the provision of professional services such as are provided by individuals practising as solicitors [F4or by multi-national partnerships];
(b)prescribing the circumstances in which such bodies may be recognised by the Council as being suitable bodies to undertake the provision of any such services;
(c)prescribing the conditions which (subject to any exceptions provided by the rules) must at all times be satisfied by bodies corporate so recognised if they are to remain so recognised; and
(d)regulating the conduct of the affairs of such bodies.
(2)Rules made by the Council may also make provision—
(a)for the manner and form in which applications for recognition under this section are to be made, and for the payment of fees in connection with such applications;
(b)for regulating the names that may be used by recognised bodies;
(c)as to the period for which any recognition granted under this section shall (subject to the provisions of this Part) remain in force;
(d)for the revocation of any such recognition on the grounds that it was granted as a result of any error or fraud;
(e)for the keeping by the Society of a list containing the names and places of business of all bodies corporate which are for the time being recognised under this section, and for the information contained in any such list to be available for inspection;
(f)for rules made under any provision of the 1974 Act to have effect in relation to recognised bodies with such additions, omissions or other modifications as appear to the Council to be necessary or expedient;
(g). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . F5
(h)for the manner of service on recognised bodies of documents authorised or required to be served on such bodies under or by virtue of this Part.
(3)Notwithstanding section 24(2) of the 1974 Act (application of penal provisions to bodies corporate), sections 20, 22(1) and 23(1) of that Act (prohibition on unqualified person acting as solicitor, etc.) shall not apply to a recognised body; and nothing in section 24(1) of that Act shall apply in relation to such a body.
(4)Section 22(1), or (as the case may be) section 23(1), of that Act shall not apply to any act done by an officer or employee of a recognised body if—
(a)it was done by him at the direction and under the supervision of another person who was at the time an officer or employee of the body; and
(b)it could have been done by that other person for or in expectation of any fee, gain or reward without committing an offence under the said section 22 or (as the case may be) under the said section 23.
(5)A certificate signed by an officer of the Society and stating that any body corporate is or is not, or was or was not at any time, a recognised body shall, unless the contrary is proved, be evidence of the facts stated in the certificate; and a certificate purporting to be so signed shall be taken to have been so signed unless the contrary is proved.
(6)Schedule 2 (which makes provision with respect to the application of provisions of the 1974 Act to recognised bodies and with respect to other matters relating to such bodies) shall have effect.
(7)Subject to the provisions of that Schedule, the Lord Chancellor may by order made by statutory instrument subject to annulment in pursuance of a resolution of either House of Parliament provide for any enactment or instrument passed or made before the commencement of this section and having effect in relation to solicitors to have effect in relation to recognised bodies with such additions, omissions or other modifications as appear to the Lord Chancellor to be necessary or expedient.
(8)In this section—
“the 1974 Act” means the M6Solicitors Act 1974;
“the Council” and “the Society” have the meaning given by section 87(1) of the 1974 Act; F6. . .
[F7“multi-national partnership” means a partnership whose members consist of one or more registered foreign lawyers and one or more solicitors;]
“recognised body” means a body corporate for the time being recognised under this section.
[F7“registered foreign lawyer” means a person who is registered under section 89 of the Courts and Legal Services Act 1990]
(9)Any rules made by the Council under this section shall be made with the concurrence of the Master of the Rolls.
Textual Amendments
F3Words in s. 9(1)(a) inserted (14.10.1991) by Courts and Legal Services Act 1990 (c. 41, SIF 37), s. 125(3), Sch. 18 para. 54(2)(a); S.I. 1991/1883, art. 3, Sch.
F4Words at end of s. 9(1)(a) inserted (14.10.1991) by Courts and Legal Services Act 1990 (c. 41, SIF 37), s. 125(3), Sch. 18 para. 54(2)(b); S.I. 1991/1883, art. 3, Sch.
F5S. 9(2)(g) repealed (1.1.2000) by 1999 c. 22, s. 106, Sch. 15 Pt.II (with Sch. 14 para. 7(2), 36(9)); S.I. 1999/3344, art. 2(d), Sch.1
F6Word in s. 9(8) repealed (1.6.1992) by Courts and Legal Services Act 1990 (c. 41, SIF 76:1), s. 125(7), Sch. 20; S.I. 1992/1221, art. 2, Sch.
F7Definitions in s. 9(8) inserted (14.10.1991) by Courts and Legal Services Act 1990 (c. 41, SIF 37), s. 125(3), Sch. 18 para. 54(3); S.I. 1991/1883, art. 3, Sch.
Modifications etc. (not altering text)
C1S. 9 definition of "recognised body" applied (14.10.1991) by Courts and Legal Services Act 1990 (c. 41, SIF 37), s. 89(9); S.I. 1991/1883, art. 3, Sch.
S. 9 extended (22.5.2000) by S.I. 2000/1119, reg. 37(3), Sch. 4 para. 1(3)(b)
Commencement Information
I1S. 9 wholly in force at 1.1.1992 see s. 69(2) and S.I. 1991/2683
Marginal Citations
Valid from 31/03/2009
(1)For the purposes of section 9, a “legal services body” means a body (corporate or unincorporate) in respect of which —
(a)the management and control condition, and
(b)the relevant lawyer condition,
are satisfied.
(2)The management and control condition is satisfied if—
(a)at least 75% of the body's managers are legally qualified,
(b)the proportion of shares in the body held by persons who are legally qualified is at least 75%,
(c)the proportion of voting rights in the body which persons who are legally qualified are entitled to exercise, or control the exercise of, is at least 75%,
(d)all the persons with an interest in the body who are not legally qualified are managers of the body, and
(e)all the managers of the body who are not legally qualified are individuals approved by the Society as suitable to be managers of a recognised body.
(3)The Society may by rules under section 9 provide that, in relation to specified kinds of bodies, subsection (2) applies as if the references to 75% were to such greater percentage as may be specified (and different percentages may be specified for different kinds of bodies).
(4)The relevant lawyer condition is satisfied in relation to a body if at least one manager of the body is—
(a)a solicitor,
(b)a registered European lawyer, or
(c)a qualifying body.
(5)For that purpose a qualifying body is a body in respect of which—
(a)the management and control condition is satisfied
(b)the relevant lawyer condition is satisfied by virtue of subsection (4)(a) or (b), and
(c)the services condition is satisfied.
(6)For the purposes of this section the following are legally qualified—
(a)an authorised person who is an individual;
(b)a registered foreign lawyer (within the meaning of section 89 of the Courts and Legal Services Act 1990 (c. 41));
(c)a person entitled to pursue professional activities under a professional title to which the Directive applies in a state to which the Directive applies (other than the title of barrister or solicitor in England and Wales);
(d)an authorised person which is a body in respect of which—
(i)the services condition is satisfied, and
(ii)the management and control condition would be satisfied if the references in subsection (2) to persons who are legally qualified were to persons who are legally qualified by virtue of paragraphs (a) to (c);
(e)a body which provides professional services such as are provided by individuals who are authorised persons or lawyers of other jurisdictions, and in respect of which the management and control condition would be satisfied if the references in subsection (2) to persons who are legally qualified were to persons who are legally qualified by virtue of paragraphs (a) to (c).
(f)a legal partnership which—
(i)was in existence immediately before the commencement of this paragraph,
(ii)since that time has continued to be a partnership of the kind mentioned in rule 12.01(1)(b), 12.02(1)(b) or 12.04(1)(c)(i) of the pre-commencement conduct rules (framework of practice), and
(iii)has not, since that time, had a body corporate (other than a body within paragraph (g)) as a member;
(g)a body corporate which—
(i)was recognised under section 9 immediately before the commencement of this paragraph, and
(ii)has since that time continued to satisfy the requirements of rule 14.03(1) and 14.04(1) to (3) or the requirements of rule 14.05(1) to (3) of the pre-commencement conduct rules (restrictions on directors, owners etc. of incorporated practices);
(h)a body which—
(i)is an authorised person and satisfies the services condition, or
(ii)provides professional services such as are provided by individuals who are authorised persons or lawyers of other jurisdictions,
and which satisfies the requirements of rules under subsection (6C).
(6A)For the purposes of subsection (6)(f), a partnership is to be treated as the same partnership despite a change in membership, if any person who was a member before the change remains a member.
(6B)For the purposes of subsection (6)(f) and (g), the references in the pre-commencement conduct rules to a recognised body are to be construed as references to a body which was recognised under section 9 immediately before the commencement of subsection (6)(f) and (g).
(6C)The Society must make rules for the purposes of paragraph (h) of subsection (6) prescribing the requirements relating to management and control which must be satisfied by or in relation to a body for it to fall within that paragraph.
(7)For the purposes of this section, the services condition is satisfied in relation to a body if the body provides only services which may be provided by a recognised body (having regard to rules under section 9(1A) and (1C)).
(8)For the purposes of this section—
“authorised person” has the same meaning as in section 9;
“the Directive” means Directive 98/5/EC of the European Parliament and the Council, to facilitate practice of the profession of lawyer on a permanent basis in a Member State other than that in which the qualification was obtained;
“legal partnership” means a partnership in which a solicitor, a registered European lawyer or a recognised body is permitted to practise by virtue of rules made under section 31 of the Solicitors Act 1974 (c. 47), as those rules had effect immediately before the commencement of subsection (6)(f);
“manager”, in relation to a body, has the meaning given by section 9;
“pre-commencement conduct rules” means rules under Part 2 of the Solicitors Act 1974 or section 9 of this Act, known as the Solicitors' Code of Conduct 2007, as those rules had effect immediately before the commencement of subsection (6)(f) and (g);
“recognised body” has the same meaning as in section 9(subject to subsection (6B) above);
“registered European lawyer” has the same meaning as in section 9;
“” has the same meaning as for the purposes of Part 5 of the Legal Services Act 2007 (see sections 72 and 109 of that Act);
“the Society” has the meaning given by section 87(1) of the Solicitors Act 1974;
“specified” means specified in rules made by the Society;
and a person has an interest in a body if the person has an interest in the body for the purposes of section 9.]
Textual Amendments
F8S. 9A inserted (31.3.2009) by Legal Services Act 2007 (c. 29), ss. 177, 211, Sch. 16 para. 82 (with ss. 29, 192, 193); S.I. 2009/503, art. 2(b)(ii) (subject to art. 4) (which amending Sch. 16 para. 82 was amended (27.11.2008) by The Legal Services Act 2007 (Functions of a Designated Regulator) Order 2008 (S.I. 2008/3074), arts. 1, 2)
Modifications etc. (not altering text)
C2S. 9A modified (temp.) (31.3.2009) by Legal Services Act 2007 (c. 29), ss. 209, 211, Sch. 22 para. 15 (with ss. 29, 192, 193); S.I. 2009/503, art. 2(e) (subject to art. 4)
(1)A body corporate shall not describe itself or hold itself out as a body corporate for the time being recognised under section 9 unless it is so recognised.
(2)Any body corporate which contravenes subsection (1) shall be guilty of an offence and liable on summary conviction to a fine not exceeding the fourth level on the standard scale.
(3)Where an offence under this section which has been committed by a body corporate is proved to have been committed with the consent or connivance of, or to be attributable to any neglect on the part of, any director, manager, secretary or other similar officer of the body corporate, or any person purporting to act in any such capacity, he as well as the body corporate shall be guilty of the offence and shall be liable to be proceeded against and punished accordingly.
(4). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . F9
Textual Amendments
F9S. 10(4) repealed (5.11.1993) by 1993 c. 50, s. 1(1), Sch. 1 Pt.XIV.
Commencement Information
I2S. 10 wholly in force at 1.1.1992 see s. 69(2) and S.I. 1991/2683
Modifications etc. (not altering text)
C3Pt. 2: power to amend conferred (1.4.1991 for certain purposes, otherwise 7.12.2004) by Courts and Legal Services Act 1990 (c. 41), ss. 53(8)(a), 124 (with s. 59(1)); S.I. 1991/608, art. 2, Sch; S.I. 2004/2950, art. 2(a)
C4Pt. 2: power to amend conferred (1.4.1991 for certain purposes, otherwise 7.12.2004) by Courts and Legal Services Act 1990 (c. 41), ss. 53(9), 124 (with s. 59(1)); S.I. 1991/608, art. 2, Sch; S.I. 2004/2950, art. 2(a)
(1)The provisions of this Part shall have effect for the purpose of regulating the provision of conveyancing services by persons who hold licences in force under this Part.
(2)In this Part—
“licence” means a licence to practise as a licensed conveyancer;
“licensed conveyancer” means a person who holds a licence in force under this Part;
and references in this Part to practising as a licensed conveyancer are references to providing, as the holder of such a licence, conveyancing services in accordance with the licence.
(3)References in this Part to conveyancing services are references to the preparation of transfers, conveyances, contracts and other documents in connection with, and other services ancillary to, the disposition or acquisition of estates or interests in land; and for the purposes of this subsection—
(a)“disposition”—
(i)does not include a testamentary disposition or any disposition in the case of such a lease as is referred to in section 54(2) of the M7Law of Property Act 1925 (short leases); but
(ii)subject to that, includes in the case of leases both their grant and their assignment; and
(b)“acquisition” has a corresponding meaning.
(4)Section 22(1) of the M8Solicitors Act 1974 (restriction on person preparing certain instruments when not qualified to act as a solicitor) shall not apply to any act done by a licensed conveyancer in the course of the provision of any conveyancing services if he is not precluded from providing those services as a licensed conveyancer by any conditions imposed as mentioned in section 16(3)(a).
(1)For the purposes of this Part there shall be a body to be known as the Council for Licensed Conveyancers.
(2)It shall be the general duty of the Council to ensure that the standards of competence and professional conduct among persons who practise as licensed conveyancers are sufficient to secure adequate protection for consumers, and that the conveyancing services provided by such persons are provided both economically and efficiently.
(3)Schedule 3 shall have effect with respect to the Council.
(1)The Council shall make rules relating to the education and training of those seeking to practise as licensed conveyancers, and those rules shall, in particular, include provisions prescribing—
(a)the examinations to be taken by such persons; and
(b)requirements as to practical training and experience.
(2)Rules made by the Council under this section may—
(a)prescribe minimum standards of general education that must have been attained by persons who seek to practise as licensed conveyancers;
(b)provide for the recognition by the Council of courses of study provided by educational institutions or other bodies as being adequate for the purpose of preparing candidates for any examinations held in pursuance of subsection (1)(a);
(c)prescribe any education or training to be undergone by persons who are licensed conveyancers, and, in connection therewith, provide for the approval by the Council of courses of study provided by educational institutions or other bodies;
(d)include provision for the charging of fees by the Council;
(e)make different provision in relation to different classes of persons.
(3)Rules under subsection (1)(b) may provide—
(a)for the manner in which a person may satisfy the Council that he has complied with any requirement of the rules as to practical experience;
(b)for attendance by a person at a training course approved by the Council for the purposes of the rules to count as practical training for those purposes.
(4)Without prejudice to the generality of subsection (2)(e), rules under this section may provide for persons who—
(a)hold such qualifications as may be specified in the rules; or
(b)have acquired such experience in relation to the provision of conveyancing services as may be so specified; or
(c)satisfy such other conditions as may be so specified, to be exempt from any of the requirements of the rules.
(5)The Council may—
(a)appoint, or approve the appointment of, persons as examiners or moderators in connection with examinations held in pursuance of subsection (1)(a); and
(b)remunerate any person appointed by it under paragraph (a) of this subsection.
(1)An application for a licence under this Part shall be made to the Council in such manner, and shall be accompanied by such fee, as may be prescribed by rules made by the Council under this section.
(2)Any such rules—
(a)may prescribe the forms to be used in connection with applications for licences under this Part;
(b)may provide for applications of any description specified in the rules to be exempt from any of the requirements of the rules.
(1)If, on an application for a licence under this Part made in accordance with section 14, the Council is satisfied—
(a)that the applicant has complied with such rules under section 13 (if any) as are applicable in his case; and
(b)that he has made adequate arrangements for the purpose of complying with any rules made under or for the purposes of section 21(1); and
(c)that he is a fit and proper person to practise as a licensed conveyancer or, in the case of an applicant in relation to whom section 16 has effect, that he is a fit and proper person to practise as such a conveyancer subject to his complying with any particular conditions that may be imposed under that section,
the Council shall issue the applicant either with a licence free of conditions or with a licence subject to such conditions as aforesaid, as the case may require.
(2)If the Council is for any reason not so satisfied it shall refuse the application, and shall notify the applicant of the refusal of the application and of the grounds on which it has been refused.
(3)Where—
(a)an application for a licence has been made in accordance with section 14; and
(b)the Council has within the period of 21 days beginning with the date when the application was received by the Council neither issued a licence in pursuance of the application nor refused the application under subsection (2),
then, for the purposes of this Part, the application shall be deemed to have been so refused by the Council, and the applicant shall be deemed to have been notified of the refusal at the end of the said period.
(4)Subject to the provisions of this Part, the period for which a licence shall be in force under this Part shall be the period of twelve months beginning with the date of its issue.
(5)Where—
(a)an application for a licence is made in accordance with section 14 by a person who, at the date of the application, already holds a licence under this Part; and
(b)no new licence is issued to him in pursuance of the application before the time when his existing licence would, apart from this subsection, expire in accordance with subsection (4),
his existing licence shall not expire at that time but shall continue in force until a new licence is issued to him in pursuance of the application or, if the application is refused by the Council—
(i)until the end of the period within which an appeal may be brought against the refusal under section 29(1)(a); or
(ii)if such an appeal is brought, until the appeal is determined or abandoned.
(6)Where an applicant for a licence under this Part has held such a licence at any time within the period of twelve months ending with the date of his application, any licence granted to him in pursuance of the application shall, unless the Council directs otherwise, be deemed to have been issued on the day following the date when his previous licence expired in accordance with subsection (4) (or would have so expired but for subsection (5)) and accordingly to have been held by him as from that day.
[F10(7)A licence issued under this Part may be endorsed by the Council as—
(a)a full licence, if the Council is satisfied that the person to whom it is issued has complied, or will comply, with the requirements made under this Part with respect to professional indemnity and compensation; or
(b)as a limited licence, if the Council is not so satisfied.
(8)Rules made under section 21 may make provision for the making, or removal, of endorsements while a licence is in force and for the recording of any such endorsement, or of its removal, in the register maintained under section 19.]
Textual Amendments
F10S. 15(7)(8) added (1. 4. 1991 for certain purposes, otherwise 7.12.2004) by Courts and Legal Services Act 1990 (c. 41, SIF 76:1), s. 53, Sch. 8 para. 23 (with s. 59(1)); S.I.1991/608, art. 2, Sch; S.I. 2004/2950, art. 2(a)
Modifications etc. (not altering text)
C5S. 15(3)-(6) applied (with modifications) (1.4.1991 for certain purposes, otherwise 7.12.2004) by Courts and Legal Services Act 1990 (c. 41), ss. 53, 124, Sch. 8 para. 4(3) (with s. 59(1)); S.I. 1991/608, art. 2, Sch; S.I. 2004/2950, art. 2(a)
(1)Subject to subsection (4), this section has effect in any case where a person applies for a licence under this Part—
(a)for the first time;
(b)when each licence previously held by him under this Part has been subject to conditions under this section;
(c)when, on the first day of the period to which the licence would (if granted) relate, a period of twelve months or more will have elapsed since he held a licence in force under this Part;
(d)after the Discipline and Appeals Committee established under section 25 have made any order in his case under section 26;
(e)after he has been invited by the Council to give an explanation in respect of any matter relating to his conduct and has failed to give an explanation in respect of that matter which the Council regards as satisfactory, and has been notified in writing by the Council that he has so failed;
(f)while he is an undischarged bankrupt . . . F11;
(g)after having been adjudged bankrupt [F12and discharged] or after having entered into a composition with his creditors or a deed of arrangement for the benefit of his creditors;
(h)while he is a person as to whom powers have been exercised under section 98 of the M9Mental Health Act 1983 (judge’s powers in cases of emergency);
[F13(i)after having been committed to prison in civil proceedings;
(ia)after having been convicted of an offence involving dishonesty or deception or a serious arrestable offence (as defined by section 116 of the Police and Criminal Evidence Act 1984); or]
(j)after having had given against him any judgment which involves the payment of money, not being a judgment—
(i)limited to the payment of costs; or
(ii)as to whose whole effect upon him he is entitled to indemnity or relief from some other person; or
(iii)evidence of whose satisfaction has been produced to the Council.
(2)In any case where this section has effect the Council may, on issuing a licence to the applicant under section 15, issue it subject to such conditions as the Council thinks fit; and the Council’s decision in any such case to impose any particular conditions under this subsection may be made by reference to such criteria of general application as may have been determined by the Council.
(3)Without prejudice to the generality of subsection (2), conditions may be imposed under that subsection—
(a)for restricting the kinds of conveyancing services that may be provided by the applicant as a licensed conveyancer; or
(b)for requiring the applicant to take any specified steps that will, in the opinion of the Council, be conducive to his carrying on an efficient practice as a licensed conveyancer;
and conditions may be imposed under that subsection (whether for the purpose mentioned in paragraph (b) or otherwise) notwithstanding that they may result in expenditure being incurred by the applicant.
(4)Where a licence free of conditions is issued by the Council under section 15 to an applicant in relation to whom this section has effect by reason of any such circumstances as are mentioned in paragraph (d), (e), (f), (g), (h), (i) or (j) of subsection (1), then, except in the case of any circumstances of whose existence the Council is unaware at the time the licence is issued, this section shall not thereafter have effect in relation to that person by reason of those circumstances.
(5)Where the Council decides to issue an applicant with a licence subject to conditions, it may, if it thinks fit, direct that the conditions shall not have effect—
(a)pending the hearing and determination of any appeal brought by the applicant under section 29(1)(b); or
(b)if this section has effect in relation to the applicant by reason only of any such circumstances as are mentioned in paragraph (f), (i) or (j) of subsection (1) and an appeal has been made to the appropriate court against the order or judgment in question, pending the hearing and determination of that appeal.
Textual Amendments
F11Words repealed by Insolvency Act 1985 (c. 65, SIF 66), s. 235(3), Sch. 10 Pt. III (with saving in Insolvency Act 1986 (c. 45, SIF 66), s. 437, Sch. 11 para. 10)
F12Words substituted by Insolvency Act 1985 (c. 65, SIF 66), s. 235(1), Sch. 8 para. 40 (with saving in Insolvency Act 1986 (c. 45, SIF 66), s. 437, Sch. 11 para. 10)
F13S. 16(1)(i)(ia) substituted (1. 4. 1991 for certain purposes, otherwise 7.12.2004) for s. 16(1)(i) by Courts and Legal Services Act 1990 (c. 41, SIF 76:1), s. 53, Sch. 8 para.24 (with s. 59(1)); S.I.1991/608, art. 2, Sch; S.I. 2004/2950, art. 2(a)
Modifications etc. (not altering text)
C6S. 16(4)(5) extended (with modifications) (1.4.1991 for certain purposes, otherwise 7.12.2004) by Courts and Legal Services Act 1990 (c. 41), ss. 53, 124, Sch. 8 para. 5(7) (with s. 59(1)); S.I. 1991/608, art. 2, Sch; S.I. 2004/2950, art. 2(a)
Marginal Citations
Valid from 31/03/2009
(1)This section applies where a person applies for a licence at a time when section 16 has effect in relation to him by reason of the circumstances mentioned in section 16(1)(ea).
(2)The application must be accompanied by an additional fee of an amount prescribed by rules made by the Council for the purposes of this section.]
Textual Amendments
F14S. 16A inserted (31.3.2009) by Legal Services Act 2007 (c. 29), ss. 182, 211, Sch. 17 para. 6 (with ss. 29, 192, 193); S.I. 2009/503, art. 2(c)(i)
(1)Subject to the provisions of this section the Council may in the case of any licensed conveyancer direct that his licence shall have effect subject to such conditions as the Council thinks fit.
(2)The power to give a direction under this section in the case of any licensed conveyancer shall be exercisable by the Council at any time during the period for which his licence is in force if—
(a)in the event of an application for a licence being made by him at that time, section 16 would have effect in relation to him by reason of any such circumstances as are mentioned in paragraph (d), (e), (i) or (j) of subsection (1) of that section; or
(b). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . F15
(c)he has entered into a composition with his creditors or a deed of arrangement for the benefit of his creditors.
(3)Subject to subsection (4), the conditions specified in a direction under this section shall have effect as from the time when the licensed conveyancer concerned is notified of the Council’s decision to give the direction.
(4)The Council may, if it thinks fit, provide in a direction given under this section in the case of any licensed conveyancer that the conditions specified in the direction shall not have effect—
(a)pending the hearing and determination of any appeal brought by the licensed conveyancer under section 29(1)(c); or
(b)if an appeal has been made by the licensed conveyancer to the appropriate court against any order or judgment which, if successful, would result in subsection (2) no longer being applicable to him, pending the hearing and determination of that appeal.
(5)Subsection (3) of section 16 shall apply for the purposes of subsection (1) of this section as it applies for the purposes of subsection (2) of that section.
Textual Amendments
F15S. 17(2)(b) repealed by Insolvency Act 1985 (c. 65, SIF 66), s. 235(3), Sch. 10 Pt. III (with saving in Insolvency Act 1986 (c. 45, SIF 66), s. 437, Sch. 11 para. 10)
Valid from 31/03/2009
(1)This section applies where a licensed conveyancer's licence has effect subject to conditions.
(2)On an application made by the licensed conveyancer, the Council may in prescribed circumstances direct—
(a)the removal of a condition;
(b)the variation of a condition in the manner described in the application.
(3)“Prescribed” means prescribed by rules made by the Council.
(4)Section 14 (applications for licences) applies in relation to an application under this section as it applies in relation to applications for a licence under this Part.]
Textual Amendments
F16S. 17A inserted (31.3.2009) by Legal Services Act 2007 (c. 29), ss. 182, 211, Sch. 17 para. 8 (with ss. 29, 192, 193); S.I. 2009/503, art. 2(c)(i)
(1)Where an adjudication in bankruptcy is made against a licensed conveyancer, any such adjudication shall operate immediately to suspend the licence held by that person under this Part; and, subject to subsection (2), the suspension of the licence shall continue until the licence expires.
(2)The suspension of a licence by virtue of subsection (1) shall terminate if the adjudication in question is annulled and an office copy of the order annulling the adjudication is served on the Council.
(3)A licence held by a person under this Part shall terminate if that person becomes a patient within the meaning of Part VII of the M10Mental Health Act 1983.
(4)For the purposes of this Part a licence shall be treated as not being in force at any time while it is suspended by virtue of any provision of this Part.
Marginal Citations
(1)The Council shall establish and maintain, in such form as the Council may determine, a register containing the names and places of business of all persons who for the time being hold licences in force under this Part.
(2)The Council shall accordingly cause the appropriate entries and deletions to be made in the register on the issue and termination of licences under this Part; and where any licence held by a person is for the time being suspended by virtue of any provision of this Part the Council shall cause that fact to be noted in the register against that person’s name.
(3)Any change in a licensed conveyancer’s place or places of business shall be notified by him to the Council within the period of fourteen days beginning with the date on which the change takes effect.
(4)The Council shall provide facilities for making the information contained in the entries in the register available for inspection in visible and legible form by any person during office hours and without payment.
(5)A certificate signed by an officer of the Council appointed for the purpose and stating—
(a)that any person does or does not, or did or did not at any time, hold a licence in force under this Part; or
(b)that any licence held by any person is or was at any time either free of conditions or subject to any particular conditions,
shall, unless the contrary is proved, be evidence of the facts stated in the certificate; and a certificate purporting to be so signed shall be taken to have been so signed unless the contrary is proved.
(1)The Council shall, in pursuance of its general duty referred to in section 12(2), make rules for regulating the professional practice, conduct and discipline of licensed conveyancers.
(2)Rules made by the Council under this section may provide for regulating the association of licensed conveyancers with other persons in connection with the provision of conveyancing services to members of the public.
(1)The Council shall make rules for indemnifying licensed conveyancers and former licensed conveyancers against losses arising from claims in respect of any description of civil liability incurred by them, or by employees or associates or former employees or associates of theirs, in connection with their practices as licensed conveyancers.
(2)The Council shall also make rules for the making of grants or other payments for the purpose of relieving or mitigating losses suffered by persons in consequence of—
(a)negligence or fraud or other dishonesty on the part of licensed conveyancers, or of employees or associates of theirs, in connection with their practices (or purported practices) as licensed conveyancers; or
(b)failure on the part of licensed conveyancers to account for money received by them in connection with their practices (or purported practices) as licensed conveyancers.
(3)For the purpose of providing such indemnity and of enabling such grants or other payments to be made, rules under this section—
(a)may authorise or require the Council to establish and maintain a fund or funds;
(b)may authorise or require the Council to take out and maintain insurance with authorised insurers;
(c)may require licensed conveyancers or licensed conveyancers of any specified description to take out and maintain insurance with authorised insurers.
(4)Without prejudice to the generality of the preceding subsections, rules under this section—
(a)may specify the terms and conditions on which indemnity or a grant or other payment is to be available, and any circumstances in which the right to it is to be excluded or modified;
(b)may provide for the management, administration and protection of any fund maintained by virtue of subsection (3)(a) and require licensed conveyancers or licensed conveyancers of any specified description to make payments to any such fund;
(c)may require licensed conveyancers or licensed conveyancers of any specified description to make payments towards the premium payable on any insurance policy maintained by the Council by virtue of subsection (3)(b);
(d)may prescribe the conditions which an insurance policy must satisfy for the purposes of subsection (3)(c);
(e)may authorise the Council to determine the amount of any payments required by the rules, subject to such limits, or in accordance with such provisions, as may be prescribed by the rules;
(f)may specify circumstances in which, where a licensed conveyancer for whom indemnity is provided has failed to comply with the rules, the Council or insurers may take proceedings against him in respect of sums paid by way of indemnity in connection with a matter in relation to which there has been a failure to comply with the rules;
(g)may specify circumstances in which, where a grant or other payment is made in consequence of the act or omission of a licensed conveyancer, the Council or insurers may take proceedings against him in respect of the sum so paid;
(h)may specify circumstances in which licensed conveyancers are exempt from any of the requirements of the rules;
(i)may empower the Council to take such steps as it considers necessary or expedient to ascertain whether or not the rules are being complied with; and
(j)may contain incidental, procedural or supplementary provisions.
[F17(5)In subsection (3) “authorised insurer” means a person who—
(a)is permitted under the Insurance Companies Act 1982 to carry on insurance business of class 13 in Schedule 2 to that Act or, being an insurance company the head office of which is in a member State, is permitted under the law of a member State other than the United Kingdom to carry on insurance business of a corresponding class; or
(b)is permitted under the Insurance Companies Act 1982 to carry on insurance business of classes 1, 2, 14, 15, 16 and 17 in that Schedule or, being an insurance company the head office of which is in a member State, is permitted under the law of a member State other than the United Kingdom to carry on insurance business of corresponding classes.]
Textual Amendments
F17S. 21(5) substituted (19.11.1992) by S.I. 1992/2890, reg. 12(4).
(1)The Council shall make rules requiring licensed conveyancers to keep such accounts in relation to their practices as may be prescribed by the rules.
(2)The Council shall also make rules requiring licensed conveyancers—
(a)to open and keep at authorised institutions accounts for clients’ money;
(b)to hold and pay out money so received in such manner as may be prescribed by the rules; and
(c)without prejudice to the generality of subsection (1), to keep accounts containing particulars and information as to money received or held or paid by them for or on account of their clients;
and rules under this subsection shall specify the institutions which are authorised for the purposes of rules under paragraph (a).
(3)Rules under subsection (1) or (2) of this section may empower the Council—
(a)to require licensed conveyancers to deliver to the Council at such intervals as may be prescribed by the rules reports given by qualified accountants and containing such information as may be so prescribed—
(i)for the purpose of giving a true and fair view of the state of their businesses; or
(ii)for the purpose of enabling the Council to ascertain whether or not the rules have been complied with;
(b)to take such other steps as it considers necessary or expedient for the latter purpose;
and any such rules may specify circumstances in which persons are exempt from any of the requirements of the rules.
(4)Subject to subsection (5), an accountant shall be qualified to give any such report as is referred to in subsection (3)(a) [F18only if he is eligible for appointment as a company auditor under section 25 of the Companies Act 1989.]
(5)An accountant shall not be qualified to give any such report in relation to a licensed conveyancer if he is an employee or partner of, or an employee of a partner of, the licensed conveyancer.
Textual Amendments
F18Words in s. 22(4) substituted (1.10.1991) by S.I. 1991/1997, regs. 1, 2, Sch. para. 55(2) (with reg. 4)
(1)Rules made under subsection (2) of section 22 shall make provision for requiring a licensed conveyancer who has received money from a client to account, in such cases as may be prescribed by the rules, to the person who is or becomes entitled to the money for the interest which was, or could have been, earned by putting the money in a separate deposit account at an institution authorised for the purposes of rules under paragraph (a) of that subsection.
(2)The cases in which a licensed conveyancer may be required to account for interest by rules made by virtue of subsection (1) may be defined by reference to, among other things, the amount of the sum held or received by him or the period for which it is likely to be retained, or both; and any such rules may include provision for enabling a client (without prejudice to any other remedy) to require that any question arising under the rules in relation to the client’s money be referred to and determined by the Council.
(3)Except as provided by any rules so made and subject to subsection (4), a licensed conveyancer who maintains an account in pursuance of section 22(2)(a) in which he keeps money received or held for or on account of his clients generally shall not be liable to account to any person for interest received by him on money in that account.
(4)Nothing in this section or in any rules under section 22(2) shall affect any arrangement in writing between a licensed conveyancer and his client as to the application of the client’s money or the payment of interest on it.
(1)The Council shall establish a committee, to be known as the Investigating Committee, for the preliminary investigation of cases in which—
(a)it is alleged that a licensed conveyancer—
(i)has (whether while a licensed conveyancer or not) been convicted by any court in the United Kingdom of a criminal offence which renders him unfit to practise as a licensed conveyancer; or
(ii)has, while holding a licence in force under this Part, failed to comply with any condition to which that licence was subject; or
(iii)has failed to comply with any rules made by the Council under this Part; or
(b)a complaint is made to the Council by or on behalf of a member of the public about a licensed conveyancer,
with a view to determining whether such cases ought to be referred by the Committee to the Discipline and Appeals Committee established under the following section for hearing and determination by that Committee under section 26.
(2)For the purposes of subsection (1)(b) a complaint about a person who at the time when the conduct to which the complaint relates took place was an employee or associate of a licensed conveyancer shall be treated as a complaint about the licensed conveyancer.
(3)Any reference in subsection (1) or (2) to a licensed conveyancer in relation to any such allegation or complaint as is mentioned in paragraph (a)(ii) or (iii) or paragraph (b) of subsection (1) includes a reference to a person who was a licensed conveyancer at the time when the conduct to which the allegation or complaint relates took place.
(4)The Council shall make rules as to the constitution of the Investigating Committee and any such rules may provide for the appointment to the Committee of persons (whether licensed conveyancers or not) who are not members of the Council.
(5)where it appears to the Investigating Committee—
(a)that any such allegation or complaint as is mentioned in subsection (1) ought to be referred to the Discipline and Appeals Committee for hearing and determination by that Committee under section 26; and
(b)that it is necessary for the protection of consumers to do so,
the Investigating Committee may, if they think fit, direct that any licence held by the licensed conveyancer in question shall be suspended until the allegation or complaint is determined by the Discipline and Appeals Committee or until the expiration of such period as may be prescribed by rules made by the Council, whichever is the earlier.
Valid from 31/03/2009
(1)Where, on hearing an allegation by virtue of section 24(1A)(a), the Investigating Committee are satisfied that a licensed conveyancer—
(a)has, while holding a licence in force under this Part, failed to comply with any condition to which that licence was subject, or
(b)has failed to comply with any rules made by the Council under this Part,
the Committee may, if they think fit, make an order directing the payment by the licensed conveyancer of a penalty to be forfeited to Her Majesty.
(2)In relation to proceedings before the Investigating Committee by virtue of section 24(1A)(a), the Committee may make such order as they consider fit as to the payment of costs by—
(a)the Council,
(b)the licensed conveyancer against whom the proceedings were brought, or
(c)if the person on whose allegation the proceedings were brought was heard (in person, or through a representative) by the Committee in the course of the proceedings, that person.
(3)In subsection (2), for the purposes of paragraph (a) or (b) of that subsection, the reference to costs includes costs incurred in connection with a preliminary investigation of the allegation under section 24(1A).
(4)The amount of any penalty required to be paid under subsection (1) may not exceed such amount as may be prescribed by rules made by the Council for the purposes of this subsection.
(5)Paragraphs 1, 2(1) and (3) and 4 of Schedule 4 have effect in relation to—
(a)proceedings for the hearing and determination of an allegation by the Investigating Committee, as they have effect in relation to proceedings before the Discipline and Appeals Committee under section 26, and
(b)orders of the Investigating Committee, as they have effect in relation to orders of the Discipline and Appeals Committee.
(6)A person against whom an order is made by the Investigating Committee by virtue of subsection (1) may appeal to the Discipline and Appeals Committee, and on any such appeal the Discipline and Appeals Committee may make such order as they think fit.
(7)Where an order is made by the Investigating Committee by virtue of subsection (2), a person listed in paragraphs (a) to (c) of that subsection may appeal to the Discipline and Appeals Committee, and on any such appeal the Discipline and Appeals Committee may make such order as they think fit.
(8)Where an order is made by the Discipline and Appeals Committee under subsection (6) or (7)—
(a)a party to the appeal, or
(b)if not within paragraph (a), the Council,
may appeal against the order to the High Court.
(9)On an appeal under subsection (8) the High Court may make such order as it thinks fit.
(10)The decision of the High Court on an appeal under subsection (8) shall be final.]
Textual Amendments
F19S. 24A inserted (31.3.2009) by Legal Services Act 2007 (c. 29), ss. 182, 211, Sch. 17 para. 13 (with ss. 29, 192, 193); S.I. 2009/503, art. 2(c)(i)
(1)The Council shall establish a committee, to be known as the Discipline and Appeals Committee, for the hearing and determination of—
(a)cases referred to them by the Investigating Committee under section 24; and
(b)applications and appeals made or brought under sections 27 to 29.
(2)The Council shall make rules as to the constitution of the Discipline and Appeals Committee, the times and places of the meetings of the Committee, the quorum and the mode of summoning the members of the Committee.
(3)Rules under this section—
(a)shall secure that a person who acted in relation to any case as a member of the Investigating Committee does not act in relation to that case as a member of the Discipline and Appeals Committee;
(b)may provide for the appointment to the Discipline and Appeals Committee of persons (whether licensed conveyancers or not) who are not members of the Council.
(1)Where on the hearing of any allegation the Discipline and Appeals Committee are satisfied that a licensed conveyancer—
(a)has been convicted as mentioned in section 24(1)(a)(i) of an offence which renders him unfit to practise as a licensed conveyancer;
(b)has, while holding a licence in force under this Part, failed to comply with any condition to which that licence was subject; or
(c)has failed to comply with any rules made by the Council under this Part,
the Committee may, if they think fit, make one or more of the orders referred to in subsection (2).
(2)Those orders are—
(a)an order revoking any licence held by the licensed conveyancer;
(b)an order directing that the licensed conveyancer shall be disqualified (either permanently or during a specified period) from holding a licence under this Part;
(c)an order suspending any licence held by the licensed conveyancer;
(d)an order that any such licence shall have effect subject to such conditions as may be specified in the order;
(e)an order directing the payment by the licensed conveyancer of a penalty not exceeding £3,000, to be forfeited to Her Majesty;
(f)an order that the licensed conveyancer be reprimanded by the Council;
(g)an order requiring the licensed conveyancer to pay the costs incurred in bringing against him the proceedings before the Committee or a contribution towards those costs, being a contribution of such amount as the Committee consider reasonable.
(3). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . F20
(4)References in this section to a licensed conveyancer include, in relation to an allegation or complaint which has been referred to the Committee in pursuance of section 24 (3), references to any such person as is mentioned in that provision.
(5)If it appears to the Lord Chancellor that there has been a change in the value of money since the relevant date, he may by order made by statutory instrument subject to annulment in pursuance of a resolution of either House of Parliament substitute for the sum for the time being specified in subsection (2)(e) such other sum as appears to him to be justified by the change.
(6)In subsection (5) “the relevant date” means—
(a)in relation to the first order under that subsection, the commencement of this section;
(b)in relation to each subsequent order, the last occasion when the sum specified in subsection (2)(e) was altered.
(7)A person against whom an order is made by the Committee by virtue of subsection (1) may appeal to the High Court, and on any such appeal the High Court may make such order as it thinks fit.
(8)The decision of the High Court on an appeal under subsection (7) shall be final.
Textual Amendments
F20S. 26(3) repealed (1. 4. 1991) by Courts and Legal Services Act 1990 (c. 41, SIF 76:1), s. 125(6)(7), Sch. 20 (with Sch. 19 para. 15(1)(b)); S.I. 1991/608, art. 2, Sch.
(1)Where the Discipline and Appeals Committee have made any such order as is referred to in section 26(2)(b), the person to whom the order relates shall not, while his disqualification continues in force, be issued with a licence under this Part unless the Committee, on an application made to them in that behalf, direct otherwise.
(2)An application under subsection (1) shall not be made by a person to the Committee—
(a)within ten months of the date of the Committee’s order; or
(b)within ten months of a previous such application by that person.
(1)Where the Discipline and Appeals Committee are satisfied that a licence was issued to a person as a result of any error, or as a result of fraud on the part of that person, the Committee may, if they think fit, by order revoke the licence.
(2)A person may be issued with a licence under this Part notwithstanding that a licence previously held by him has been revoked under this section; but if it was so revoked on the ground of fraud he shall not be issued with a licence except on an application made in that behalf to the Committee.
(3)On any such application the Committee may, if they think fit, direct that the applicant shall be disqualified from holding a licence under this Part until the expiration of such period as may be specified in the direction.
(4)Section 27 shall apply in relation to a direction under subsection (3) as it applies in relation to any such order as is referred to in section 26(2)(b).
(1)Where, in the case of any person, the Council—
(a)refuses an application for a licence made by that person;
(b)decides to issue that person with a licence subject to conditions under section 16; or
(c)decides to give a direction in relation to that person under section 17,
that person may appeal to the Discipline and Appeals Committee against that refusal or decision within one month of being notified of it.
(2)On an appeal under this section the Discipline and Appeals Committee may—
(a)in the case of an appeal under subsection (1)(a) or (b), by order direct the Council to issue the appellant with—
(i)a licence free from conditions; or
(ii)a licence subject to such conditions as may be specified by the Committee in the direction;
(b)in the case of an appeal under subsection (1)(c), by order—
(i)revoke the direction of the Council under section 17; or
(ii)direct that the appellant’s licence shall have effect subject to such conditions as may be specified by the Committee in the direction;
(c)in any case, except an appeal in respect of a deemed refusal under section 15(3), affirm the refusal or decision of the Council appealed against;
(d)in the said excepted case, by order direct the Council not to issue a licence to the appellant.
(3)On an appeal under this section the Committee may make such order as to the payment of costs by the Council or by the appellant as they think fit.
Schedule 4 (which contains provisions supplementary to sections 26 to 29) shall have effect.
(1)The powers conferred by Part II of Schedule 5 shall be exercisable in the circumstances specified in Part I of that Schedule.
(2)Where the Investigating Committee are satisfied that it is necessary to do so for the purpose of investigating any such allegation or complaint as is mentioned in paragraph (a)(ii) or (iii) or paragraph (b) of section 24(1), the Committee may give notice to the licensed conveyancer to whom the allegation or complaint relates, or to his firm, requiring the production or delivery to any person appointed by the Committee, at a time and place to be fixed by the Committee, of all documents in the possession of the licensed conveyancer or his firm in connection with the matters to which the allegation or complaint relates (whether or not they relate also to other matters).
(3)Sub-paragraphs (2) to (12) of paragraph 9 of Schedule 5, together with paragraphs 11 and 12 of that Schedule, shall apply in relation to the powers conferred on the Investigating Committee by subsection (2) as they apply in relation to the powers conferred on the Council by sub-paragraph (1) of paragraph 9, and accordingly in those provisions—
(a)any reference to the Council shall be construed as including a reference to the Committee;
(b)any reference to a person appointed, or to a requirement, under that sub-paragraph shall be construed as including a reference to a person appointed, or to a requirement, under subsection (2); and
(c)any reference to any such documents as are mentioned in that sub-paragraph shall be construed as including a reference to any such documents as are mentioned in subsection (2).
(4)The reference in subsection (2) to a licensed conveyancer includes a reference to a person who was a licensed conveyancer at the time when the conduct to which the allegation or complaint relates took place; and references to the licensed conveyancer in the provisions applied by subsection (3) shall be construed accordingly.
(1)The Council may make rules—
(a)making provision as to the management and control by licensed conveyancers (or by licensed conveyancers together with persons who are not licensed conveyancers) of bodies corporate carrying on businesses consisting of the provision of conveyancing services;
(b)prescribing the circumstances in which such bodies may be recognised by the Council as being suitable bodies to undertake the provision of such services;
(c)prescribing the conditions which (subject to any exceptions provided by the rules) must at all times be satisfied by bodies so recognised if they are to remain so recognised; and
(d)regulating the conduct of the affairs of such bodies.
(2)In this Part “recognised body” means a body corporate for the time being recognised under this section.
(3)Rules made by the Council may also make provision—
(a)for the manner and form in which applications for recognition under this section are to be made, and for the payment of fees in connection with such applications;
(b)for regulating the names that may be used by recognised bodies;
(c)as to the period for which any recognition granted under this section shall (subject to the provisions of this Part) remain in force;
(d)for the imposition by the Council, when granting recognition of a body corporate under this section, of restrictions on the kinds of conveyancing services that it may undertake to provide as a recognised body, and for enabling such restrictions to be imposed by reference to criteria of general application;
(e)for the keeping by the Council of a list containing the names and principal places of business of all bodies corporate which are for the time being recognised under this section, and for the information contained in any such list to be available for inspection;
(f)for rules made under any other provision of this Part to have effect in relation to recognised bodies with such additions, omissions or other modifications as appear to the Council to be necessary or expedient;
(g)for empowering the Council to take such steps as it considers necessary or expedient to ascertain whether or not any rules applicable to recognised bodies by virtue of this section are being complied with;
(h)for the manner of service on recognised bodies of documents authorised or required to be served on such bodies under this Part.
(4)Notwithstanding section 24(2) of the M11Solicitors Act 1974 (application of penal provisions to bodies corporate), section 22(1) of that Act shall not apply to a body corporate by reason of any act done by an officer or employee of the body if—
(a)at the time it was done the body was a recognised body; and
(b)it was done in the course of the provision of conveyancing services which the body was not precluded from undertaking to provide as a recognised body by any restrictions imposed in pursuance of subsection (3)(d) of this section.
(5)Section 22(1) of that Act shall also not apply to any officer or employee of a body corporate by reason of any act done by him if—
(a)the conditions specified in paragraphs (a) and (b) of the preceding subsection are satisfied in relation to that act; and
(b)it was done by him at the direction and under the supervision of another person who was at the time an officer or employee of the body; and
(c)it could have been done by that other person for or in expectation of any fee, gain or reward without committing an offence under the said section 22.
(6)A certificate signed by an officer of the Council and stating—
(a)that any body corporate is or is not, or was or was not at any time, a recognised body; or
(b)that no restrictions were imposed in pursuance of subsection (3)(d) on the grant of a body corporate’s recognition under this section or that any particular restrictions were so imposed,
shall, unless the contrary is proved, be evidence of the facts stated in the certificate; and a certificate purporting to be so signed shall be taken to have been so signed unless the contrary is proved.
(7)Schedule 6 shall have effect with respect to recognised bodies.
Modifications etc. (not altering text)
C7S. 32 amended (1.4.1991 for certain purposes, otherwise 7.12.2004) by Courts and Legal Services Act 1990 (c. 41), ss. 53, 124, Sch. 8 para. 11 (with s. 59(1)); S.I. 1991/608, art. 2, Sch; S.I. 2004/2950, art. 2(a)
Marginal Citations
Valid from 31/03/2009
(1)For the purposes of section 32 a “conveyancing services body” means a body (corporate or unincorporate) in respect of which—
(a)the management and control condition, and
(b)the services condition,
are satisfied.
(2)The management and control condition is satisfied in the case of a partnership if at least one of the partners is a licensed conveyancer.
(3)The management and control condition is satisfied in the case of an unincorporated body (other than a partnership), or a body corporate which is managed by its members, if at least one of those members is a licensed conveyancer.
(4)The management and control condition is satisfied in the case of any other body corporate if at least one director of the body is a licensed conveyancer.
(5)The services condition is satisfied in respect of a body if the body is carrying on a business consisting of the provision of—
(a)conveyancing services, or
(b)conveyancing services and other relevant legal services.
(6)For the purposes of this section—
“authorised person” means an authorised person in relation to an activity which is a reserved legal activity (within the meaning of the Legal Services Act 2007);
“relevant legal services”, in relation to a body, means—
conveyancing services, and
where authorised persons are managers or employees of, or have an interest in, the body, services such as are provided by individuals practising as such authorised persons (whether or not those services involve the carrying on of reserved legal activities within the meaning of the Legal Services Act 2007);
and a person has an interest in a body if the person has an interest in the body within the meaning of Part 5 of the Legal Services Act 2007 (see sections 72 and 109 of that Act).]
Textual Amendments
F21S. 32A inserted (31.3.2009) by Legal Services Act 2007 (c. 29), ss. 182, 211, Sch. 17 para. 21 (with ss. 29, 192, 193); S.I. 2009/503, art. 2(c)(i)
Modifications etc. (not altering text)
C8S. 32A modified (temp.) (31.3.2009) by Legal Services Act 2007 (c. 29), ss. 209, 211, Sch. 22 para. 15 (with ss. 29, 192, 193); S.I. 2009/503, art. 2(e) (subject to art. 4)
(1)Any communication made—
(a)to or by a licensed conveyancer in the course of his acting as such for a client; or
(b)to or by a recognised body in the course of its acting as such for a client,
shall in any legal proceedings be privileged from disclosure in like manner as if the licensed conveyancer or body had at all material times been acting as the client’s solicitor.
Valid from 01/01/2010
The Council may make rules prescribing its arrangements for authorising licensed conveyancers, for the purposes of the Legal Services Act 2007, to carry on activities which consist of the administration of oaths.]
Textual Amendments
F22S. 33A inserted (1.1.2010) by Legal Services Act 2007 (c. 29), ss. 182, 211, Sch. 17 para. 23 (with ss. 29, 192, 193); S.I. 2009/3250, art. 2(f)(iii) (with art. 9)
(1)In the following provisions, namely—
(a)sections 69 and 75(1) of the M12Law of Property Act 1925; and
(b)sections 14(1) and 144(1)(iii) and (xiv) of the M13Land Registration Act 1925,
any reference to a solicitor shall be construed as including a reference to a licensed conveyancer and any reference to a person’s solicitor shall be construed as including a reference to a licensed conveyancer acting for that person.
(2)In the following provisions, namely—
(a)sections 10(2), 48 and 182 of the Law of Property Act 1925;
(b)sections 113 and 144(1)(xxiv) of the Land Registration Act 1925;
(c)section 12 of the M14Land Charges Act 1972;
(d)section 13 of the M15Local Land Charges Act 1975;
(e)section 11(8) of the M16Estate Agents Act 1979; F23. . .
(f). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . F23
any reference to a solicitor shall be construed as including a reference to a licensed conveyancer or to a recognised body, and any reference to a person’s solicitor shall be construed as including a reference to a licensed conveyancer or recognised body acting for that person.
(3)The Estate Agents Act 1979 shall not, by virtue of section 1 of that Act, apply to things done in the course of the provision of conveyancing services by a licensed conveyancer or a recognised body.
Textual Amendments
F23S. 34(2)(f) and the word immediately preceeding it repealed (1.10.1997) by 1996 c. 27, s. 66(3), Sch.10 (with Sch. 9 para. 5); S.I. 1996/1892, art. 3(1)(iv)
Marginal Citations
(1)An individual shall not describe himself or hold himself out as a licensed conveyancer unless he holds a licence in force under this Part.
(2)A body corporate shall not describe itself or hold itself out as a recognised body unless it is for the time being recognised under section 32.
(3)Any person who contravenes subsection (1) or (2) shall be guilty of an offence and liable on summary conviction to a fine not exceeding the fourth level on the standard scale.
Where an offence under this Part which has been committed by a body corporate is proved to have been committed with the consent or connivance of, or to be attributable to any neglect on the part of, any director, manager, secretary or other similar officer of the body corporate, or any person purporting to act in any such capacity, he as well as the body corporate shall be guilty of the offence and shall be liable to be proceeded against and punished accordingly.
Any notice or other document authorised or required to be given or served under this Part may be sent by post; and for the purpose of the application to this section of section 7 of the M17Interpretation Act 1978 (service by post) the proper address of a licensed conveyancer shall be the address of any place specified in the register as his place of business or one of his places of business.
Marginal Citations
(1)Any rules made by the Council under this Part shall be made with the concurrence of the Lord Chancellor.
(2)Any such rules may make different provision for different circumstances.
(3)Without prejudice to the generality of subsection (2), any rules prescribing a fee may provide for that fee to be reduced, or to be waived by the Council, in such circumstances as may be specified in the rules.
(1)In this Part—
“associate” means, in the case of a licensed conveyancer practising in partnership with other persons, any partner of his not holding a licence in force under this Part or any employee of such a partner;
“client” means—
(a)in relation to a licensed conveyancer, any person by whom or on whose behalf instructions regarding the provision of conveyancing services are given to the licensed conveyancer or his firm;
(b)in relation to a recognised body, any person by whom or on whose behalf such instructions are given to the body;
and “client account” means an account in whose title the word “client” is required by rules under section 22(2);
“conveyancing services” shall be construed in accordance with section 11(3);
“the Council” means the Council for Licensed Conveyancers;
“fees” includes charges, disbursements, expenses and remuneration;
“functions” includes powers and duties;
“licence” and “licensed conveyancer” have the meaning given by section 11(2);
“officer”, in relation to a recognised body, includes a director, manager or secretary;
“recognised body” means a body corporate for the time being recognised under section 32;
F24 . . .
F25. . .
(2)Any reference in this Part to a licensed conveyancer practising as a sole practitioner is a reference to a licensed conveyancer practising either as the sole principal in the practice or in partnership with other persons of whom none are licensed conveyancers.
Textual Amendments
F24Definition in s. 39(1) omitted (1.10.1991) by virtue of S.I. 1991/1997, regs. 1, 2, Sch. para. 55(3) (with reg. 4)
F25S. 39(1): definition repealed (5.11.1993) by 1993 c. 50, s. 1(1), Sch. 1 Pt.XIV.
(1)For the purposes of this Part of this Act a legal aid complaint is a complaint relating to the conduct of a barrister or solicitor in connection with [F26the provision for any person of services under the Legal Aid Act 1988 including, in the case of a solicitor, provision for any person of such services in the capacity of agent for that person’s solicitor.]
(2)In this Part—
“legally assisted person” means a person to whom aid is ordered to be given under section 28 of the M18Legal Aid Act 1974;
“the Senate” means the Senate of the Inns of Court and the Bar; and
“Senate Disciplinary Tribunal” means any committee of the Senate which in accordance with the regulations of the Senate is to be known as a Disciplinary Tribunal.
(3)In the Legal Aid Act 1974, sections 12(3) to (5) and 38(2) to (6) (which are superseded by this Part) shall cease to have effect.
Textual Amendments
F26Words substituted by Legal Aid Act 1988 (c. 34, SIF 77:1), s. 45(1), Sch. 5 para. 17
Marginal Citations
(1)The disciplinary provisions applicable to barristers shall apply to legal aid complaints relating to the conduct of barristers as they apply to other complaints about their conduct.
(2)Subject to any exclusion or restriction made by those provisions, any disciplinary tribunal which hears a legal aid complaint relating to the conduct of a barrister may, if it thinks fit and whether or not it makes any other order, order that any fees—
(a)otherwise payable in connection with his services under or in accordance with the Legal Aid Act 1988, or
(b)otherwise chargeable in connection with his services in respect of advice or assistance made available under Part III of that Act,
shall be reduced or cancelled.
(3)Accordingly, in so far as any of sections 9, 11, 15(6) and (7) and 25(2) of the Legal Aid Act 1988 (which relate to remuneration for legal aid work) has effect in relation to any fees reduced or cancelled by an order under subsection (2) above, it shall so have effect subject to the provisions of that order.
(4)An appeal shall lie in the case of an order under subsection (2) above in the same manner as an appeal would lie in the case of any other order of such a tribunal.
(5)The reference in subsection (2) above to a disciplinary tribunal is a reference to a tribunal acting under the disciplinary provisions applicable to barristers and it includes a reference to a member exercising any functions of the tribunal delegated to him.]
Textual Amendments
F27Ss. 41, 42 substituted by Legal Aid Act 1988 (c. 34, SIF 70:1), s. 33
(1)Subject to any exclusion or restriction made by the disciplinary provisions applicable to barristers, where a disciplinary tribunal hears a charge of professional misconduct or breach of professional standards against a barrister, it may order that he shall be excluded from legal aid work, either temporarily or for a specified period, if it determines that there is good reason for the exclusion arising out of—
(a)his conduct in connection with any such services as are mentioned in section 40(1), or
(b)his professional conduct generally.
(2)Subsection (4) of section 41 shall apply to an order under subsection (1) as it applies to an order under subsection (2) of that section.
(3)The disciplinary provisions applicable to barristers shall include provision enabling a barrister who has been excluded from legal aid work under this section to apply for an order terminating his exclusion from such work.
(4)In this section—
(a)the reference to a disciplinary tribunal shall be construed in accordance with section 41(5); and
(b)references to a person being excluded from legal aid work are references to his being excluded from those who may be selected or assigned under section 32 of the Legal Aid Act 1988.]
Textual Amendments
F28Ss. 41, 42 substituted by Legal Aid Act 1988 (c. 34, SIF 70:1), s. 33
(1)The Solicitors Disciplinary Tribunal shall have jurisdiction to hear and determine any legal aid complaint relating to the conduct of a solicitor and made to the Tribunal under this section by or on behalf of the Law Society.
(2)In the following provisions of the M19Solicitors Act 1974, namely—
(a)subsections (7) to (11) of section 46 (procedure of Tribunal); and
(b)section 47(2) (powers of Tribunal),
any reference to a complaint or to a complaint made to the Tribunal under that Act shall be construed as including a reference to a legal aid complaint or to a legal aid complaint made to the Tribunal under this section.
(3)On the hearing of a legal aid complaint against a solicitor the Tribunal may, if it thinks fit and whether or not it makes any other order on the hearing, order that any costs—
[F29(a)otherwise payable under or in accordance with the Legal Aid Act 1988, or
(b)otherwise chargeable in respect of advice or assistance made available under Part III of that Act;]
in connection with services provided by the solicitor shall be reduced or cancelled.
(4)Accordingly, in so far as [F30any of sections 9, 11, 15(6) and (7) and 25(2) of, or any provision made under, the Legal Aid Act 1988]has effect in relation to any costs reduced or cancelled by an order under subsection (3), it shall so have effect subject to the provisions of that order.
(5)Without prejudice to the generality of subsection (1)(b) of section 49 of the M20Solicitors Act 1974, an appeal shall lie to the High Court under that section against an order of the Tribunal under subsection (3), but such an appeal shall lie only at the instance of the solicitor with respect to whom the legal aid complaint was made.
(6)In this section “costs” includes fees, charges, disbursements, expenses and remuneration.
Textual Amendments
F29S. 43(3)(a)(b) substituted for paragraphs (a), (b) and (c) by Legal Aid Act 1988 (c. 34, SIF 77:1), s. 45(1), Sch. 5 para. 18(a)
F30Words substituted by Legal Aid Act 1988 (c. 34, SIF 77:1), s. 45(1), Sch. 5 para. 18(b)
Marginal Citations
(1)Section 47 of the Solicitors Act 1974 (jurisdiction and powers of the Solicitors Disciplinary Tribunal) shall be amended as follows.
(2)In subsection (2), after paragraph (b) there shall be inserted—
“(bb)in the circumstances referred to in subsection (2A), the exclusion of that solicitor from legal aid work (either permanently or for a specified period);”.
(3)After that subsection there shall be inserted—
“(2A)An order of the Tribunal may make provision for the exclusion of a solicitor from legal aid work as mentioned in subsection (2)(bb) where the Tribunal determines that there is good reason for doing so arising out of—
[F31(a)his conduct, including conduct in the capacity of agent for another solicitor, in connection with the provision for any person of services under the Legal Aid Act 1988; or
(b)his professional conduct generally.]
(2B)Where the Tribunal makes any such order as is referred to in subsection (2A) in the case of a solicitor who is a member of a firm of solicitors, the Tribunal may, if it thinks fit, order that any other person who is for the time being a member of the firm shall be excluded (either permanently or for a specified period) from legal aid work.
(2C)The Tribunal shall not make an order under subsection (2B) excluding any person from legal aid work unless an opportunity is given to him to show cause why the order should not be made.
(2D)Any person excluded from legal aid work by an order under this section may make an application to the Tribunal for an order terminating his exclusion from such work.”.
(4)After subsection (5) there shall be inserted—
“(6)In this section references to a person being excluded from legal aid work are references to his being excluded from [F32those who may be selected or assigned for the purpose of providing for any person services under the Legal Aid Act 1988.”]
Textual Amendments
F31Words substituted by Legal Aid Act 1988 (c. 34, SIF 77:1), s. 45(1), Sch. 5 para. 19(a)
F32Words substituted by Legal Aid Act 1988 (c. 34, SIF 77:1), s. 45(1), Sch. 5 para. 19(b)
(1)This section applies to actions in the High Court relating to the estates of deceased persons or to trusts and falling within any description specified in rules of court.
(2)Rules of court may make provision for enabling any judgment given in an action to which this section applies to be made binding on persons who—
(a)are or may be affected by the judgment and would not otherwise be bound by it; but
(b)have in accordance with the rules been given notice of the action and of such matters connected with it as the rules may require.
(3)Different provision may be made under this section in relation to actions of different descriptions.
(1)Where—
(a)any question of construction has arisen out of the terms of a will or a trust; and
(b)an opinion in writing given by a [F35person who has a 10 year High Court qualification, within the meaning of section 71 of the Courts and Legal Services Act 1990,] has been obtained on that question by the personal representatives or trustees under the will or trust,
the High Court may, on the application of the personal representatives or trustees and without hearing argument, make an order authorising those persons to take such steps in reliance on the said opinion as are specified in the order.
(2)The High Court shall not make an order under subsection (1) if it appears to the court that a dispute exists which would make it inappropriate for the court to make the order without hearing argument.
Textual Amendments
F35Words substituted by Courts and Legal Services Act 1990 (c. 41, SIF 37), s. 71(2), Sch. 10 para. 63
(1)Where on a compromise of a probate action in the High Court—
(a)the court is invited to pronounce for the validity of one or more wills, or against the validity of one or more wills, or for the validity of one or more wills and against the validity of one or more other wills; and
(b)the court is satisfied that consent to the making of the pronouncement or, as the case may be, each of the pronouncements in question has been given by or on behalf of every relevant beneficiary,
the court may without more pronounce accordingly.
(2)In this section—
“probate action” means an action for the grant of probate of the will, or letters of administration of the estate, of a deceased person or for the revocation of such a grant or for a decree pronouncing for or against the validity of an alleged will, not being an action which is non-contentious or common form probate business; and
“relevant beneficiary”, in relation to a pronouncement relating to any will or wills of a deceased person, means—
(a)a person who under any such will is beneficially interested in the deceased’s estate; and
(b)where the effect of the pronouncement would be to cause the estate to devolve as on an intestacy (or partial intestacy), or to prevent it from so devolving, a person who under the law relating to intestacy is beneficially interested in the estate.
(1)Where an application relating to the estate of a deceased person is made to the High Court under this subsection by or on behalf of a personal representative of the deceased or a beneficiary of the estate, the court may in its discretion—
(a)appoint a person (in this section called a substituted personal representative) to act as personal representative of the deceased in place of the existing personal representative or representatives of the deceased or any of them; or
(b)if there are two or more existing personal representatives of the deceased, terminate the appointment of one or more, but not all, of those persons.
(2)Where the court appoints a person to act as a substituted personal representative of a deceased person, then—
(a)if that person is appointed to act with an executor or executors the appointment shall (except for the purpose of including him in any chain of representation) constitute him executor of the deceased as from the date of the appointment; and
(b)in any other case the appointment shall constitute that person administrator of the deceased’s estate as from the date of the appointment.
(3)The court may authorise a person appointed as a substituted personal representative to charge remuneration for his services as such, on such terms (whether or not involving the submission of bills of charges for taxation by the court) as the court may think fit.
(4)Where an application relating to the estate of a deceased person is made to the court under subsection (1), the court may if it thinks fit, proceed as if the application were, or included, an application for the appointment under the M21Judicial Trustees Act 1896 of a judicial trustee in relation to that estate.
(5)In this section “beneficiary”, in relation to the estate of a deceased person, means a person who under the will of the deceased or under the law relating to intestacy is beneficially interested in the estate.
(6)In section 1 of the Judicial Trustees Act 1896, after subsection (6) there shall be added—
“(7)Where an application relating to the estate of a deceased person is made to the court under this section, the court may, if it thinks fit, proceed as if the application were, or included, an application under section 50 of the Administration of Justice Act 1985 (power of High Court to appoint substitute for, or to remove, personal representative).”.
Marginal Citations
——
(1)For section 32 of the M22County Courts Act 1984 there shall be substituted—
(1)Where—
(a)an application for the grant or revocation of probate or administration has been made through the principal registry of the Family Division or a district probate registry under section 105 of the Supreme Court Act 1981; and
(b)it is shown to the satisfaction of a county court that the value at the date of the death of the deceased of his net estate does not exceed the county court limit,
the county court shall have the jurisdiction of the High Court in respect of any contentious matter arising in connection with the grant or revocation.
(2)In subsection (1) “net estate”, in relation to a deceased person, means the estate of that person exclusive of any property he was possessed of or entitled to as a trustee and not beneficially, and after making allowances for funeral expenses and for debts and liabilities.”.
(2)In section 106 of the M23Supreme Court Act 1981 (grants by district propbate registrars), subsections (2) to (4) shall be omitted.
(1)Section 40A of the M24Supreme Court Act 1981 and section 109 of the M25County Courts Act 1984 (administrative and clerical expenses of garnishees) shall each be amended as follows.
(2)For subsection (1) there shall be substituted—
“(1)Where an order nisi made in the exercise of the jurisdiction mentioned in subsection (2) of the preceding section is served on any deposit-taking institution, the institution may, subject to the provisions of this section, deduct from the relevant debt or debts an amount not exceeding the prescribed sum towards the administrative and clerical expenses of the institution in complying with the order; and the right of an institution to make a deduction under this subsection shall be exercisable as from the time the order nisi is served on it.
(1A)In subsection (1) “the relevant debt or debts”, in relation to an order nisi served on any such institution as is mentioned in that subsection, means the amount, as at the time the order is served on the institution, of the debt or debts of which the whole or a part is expressed to be attached by the order.
(1B)A deduction may be made under subsection (1) in a case where the amount referred to in subsection (1A) is insufficient to cover both the amount of the deduction and the amount of the judgment debt and costs in respect of which the attachment was made, notwithstanding that the benefit of the attachment to the creditor is reduced as a result of the deduction.”.
(3)In subsection (2), for “The prescribed sum may not” there shall be substituted “An amount may not in pursuance of subsection (1)”.
(4)In subsection (4), the word “and” shall be omitted, and after paragraph (b) there shall be inserted—
“(c)may provide for this section not to apply to deposit-taking institutions of any prescribed description.”.
(1)Where—
(a)the judge, or (as the case may be) any of the judges, presiding at any proceedings to which this section applies becomes temporarily or permanently incapacitated from presiding at the proceedings, or dies, at any time prior to the conclusion of the proceedings; and
(b)any party represented at the proceedings incurs any additional costs in consequence of the judge’s incapacity or death,
the Lord Chancellor may, if he thinks fit, reimburse that party in respect of any such additional costs, or in respect of such part thereof as he may determine; but the amount of any such reimbursement shall not exceed such sum as the Lord Chancellor may by order prescribe for the purposes of this section.
(2)Subject to subsection (3), this section applies to—
(a)proceedings in the civil division of the Court of Appeal;
(b)civil proceedings in the High Court; and
(c)proceedings in a county court;
and, in the case of any interlocutory proceedings falling within paragraphs (a) to (c), applies separately to any such proceedings and to any other proceedings in the cause or matter in question.
(3). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . F36
(4)For the purposes of this section the amount of any additional costs incurred by any person as mentioned in subsection (1)(b) shall be such amount as may be agreed between the Lord Chancellor and that person or, in default of agreement, as may be ascertained by taxation.
(5)Where any proceedings to which this section applies—
(a)are due to be begun before a judge at a particular time; but
(b)are not begun at that time by reason of the judge becoming temporarily or permanently incapacitated from presiding at the proceedings or by reason of his death,
subsection (1) shall have effect in relation to the incapacity or death of the judge as it has effect in relation to any such incapacity or death of a presiding judge as is mentioned in paragraph (a) of that subsection, but as if any reference to any party represented at the proceedings were a reference to any party who would have been so represented but for the judge’s incapacity or death.
(6)In this section F37. . . “judge” in relation to any proceedings, includes—
(a)a master, registrar or other person acting in a judicial capacity in the proceedings; or
(b)a person assisting at the proceedings as an assessor or as an adviser appointed by virtue of section 70(3) of the M26Supreme Court Act 1981;
and, in relation to any such person as is mentioned in paragraph (b), any reference to presiding at any proceedings shall be construed as including a reference to assisting at the proceedings.
(7)Any order made by the Lord Chancellor under this section shall be made with the concurrence of the Treasury, and shall be so made by statutory instrument subject to annulment in pursuance of a resolution of either House of Parliament.
(8)Any sums required by the Lord Chancellor for making payments under this section shall be paid out of money provided by Parliament.
Textual Amendments
F36S. 53(3) repealed (27.9.1999) by 1999 c. 22, ss. 106, 108(3)(f), Sch. 15 Pt.III (with Sch. 14 paras. 7(2), 36(9))
F37Words in s. 53(6) repealed (27.9.1999) by 1999 c. 22, ss. 106, 108(3)(f), Sch. 15 Pt.III (with Sch. 14 paras. 7(2), 36(9))
Marginal Citations
(1)Section 73 of the County Courts Act 1984 (register of judgments and orders) shall be amended as provided in subsections (2) to (4) of this section.
(2)For subsection (1) there shall be substituted—
“(1)A register of every judgment entered in a county court for a sum of money of not less than the relevant amount shall be kept in such manner and in such place as may be prescribed.
In this subsection “the relevant amount” means £10 or such other amount as may be prescribed.”.
(3)For subsection (3) there shall be substituted—
“(3)Regulations under this section may—
(a)prescribe circumstances in which judgments are to be exempt from registration or in which the registration of any judgment is to be cancelled;
(b)provide for any specified class of judgments to be exempt from registration.”.
(4)For subsection (5) there shall be substituted—
“(5)The Lord Chancellor may, with the concurrence of the Treasury, fix the fees to be paid in respect of—
(a)the making of any information contained in an entry in the register available for inspection in visible and legible form;
(b)the carrying out of any official search of the register;
(c)the supply of a certified copy of any information contained in an entry in the register.”.
(5)After section 73 of the M27County Courts Act 1984 there shall be inserted—
(1)If—
(a)there is in force an agreement between the Lord Chancellor and a body corporate relating to the keeping by that body corporate of the register under section 73 (“the register”); and
(b)provision is made by regulations under that section for the register to be kept in accordance with such an agreement,
the register shall be kept by that body corporate.
(2)Where the register is kept by a body corporate in pursuance of subsection (1)—
(a)the Lord Chancellor may recover from that body any expenses incurred by the Lord Chancellor in connection with the supply of information to that body for the purposes of the register;
(b)subsection (5) of section 73 shall have effect as if the words “maximum amounts in relation to” were inserted after the word “fix”; and
(c)subsection (6) of that section shall not apply.
(3)Where subsection (1) of this section ceases to apply to a body corporate as a result of the termination (for any reason) of the agreement in question, the Lord Chancellor may require the information for the time being contained in the entries in the register to be transferred to such person as he may direct.”.
Marginal Citations
(1)Section 138 of the County Courts Act 1984 (provisions as to forfeiture for non-payment of rent) shall be amended as provided in subsections (2) to (4) of this section.
(2)In subsection (5), the words “Subject to subsection (6),” shall be omitted.
(3)In subsection (7)—
(a)for “enforced” there shall be substituted “enforceable”; and
(b)after “the lessee shall” there shall be inserted “, subject to subsections (8) and (9A),”.
(4)After subsection (9) there shall be inserted—
“(9A)Where the lessor recovers possession of the land at any time after the making of the order under subsection (3) (whether as a result of the enforcement of the order or otherwise) the lessee may, at any time within six months from the date on which the lessor recovers possession, apply to the court for relief; and on any such application the court may, if it thinks fit, grant to the lessee such relief, subject to such terms and conditions, as it thinks fit.
(9B)Where the lessee is granted relief on an application under subsection (9A) he shall hold the land according to the lease without any new lease.
(9C)An application under subsection (9A) may be made by a person with an interest under a lease of the land derived (whether immediately or otherwise) from the lessee’s interest therein in like manner as if he were the lessee; and on any such application the court may make an order which (subject to such terms and conditions as the court thinks fit) vests the land in such a person, as lessee of the lessor, for the remainder of the term of the lease under which he has any such interest as aforesaid, or for any lesser term.
In this subsection any reference to the land includes a reference to a part of the land.”.
(5)In section 139 of the M28County Courts Act 1984 (service of summons and re-entry), after subsection (2) there shall be inserted—
“(3)Subsections (9B) and (9C) of section 138 shall have effect in relation to an application under subsection (2) of this section as they have effect in relation to an application under subsection (9A) of that section.”.
Marginal Citations
In this Part—
“action” means any civil proceedings commenced by writ or in any other manner prescribed by rules of court;
“judgment” includes an order;
“will” includes a nuncupative will and any testamentary document of which probate may be granted.
Textual Amendments
F38S. 57 repealed (4.9.1996, 1.4.1999, 28.2.2000 for specified purposes and 6.1.2010 for N.I. in so far as not already in force) by 1996 c. 31, ss. 19(2), 16, Sch. 2 (with s. 20(2)); S.I. 1999/817, art. 2(b); S.I. 2000/222, art. 3(b); S.I. 2009/2858, art. 3(d)
Textual Amendments
F39S. 58 repealed (31.1.1997) by 1996 c. 23, s. 107(2), Sch.4; S.I. 1996/3146, art.3(with art. 4, Sch. 2)
(1)The Schedule to the M29Pensions Appeal Tribunals Act 1943 shall be amended as follows.
(2)In paragraph 6 (which provides for appeals by persons not resident in Scotland or Northern Ireland to be heard by one of the Tribunals appointed for England and Wales), after “and” there shall be inserted “, subject to any provision made by virtue of paragraph 6A of this Schedule,”.
(3)After paragraph 6 there shall be inserted—
“6ARules made under this Schedule may make provision for enabling an appeal brought by a person who, at the time when the notice of appeal was given, did not reside in any part of the United Kingdom to be heard by one of the Tribunals appointed for Scotland or, as the case may be, for Northern Ireland where, on an application in that behalf by the appellant made in such manner as may be prescribed by the rules to such authority as may be so prescribed, that authority is satisfied—
(a)that the appellant has a closer connection with Scotland or, as the case may be, with Northern Ireland than with England and Wales; or
(b)that there is some other good reason for the appeal to be heard in Scotland or, as the case may be, Northern Ireland.”.
Marginal Citations
Textual Amendments
In Schedule 2 to the M30Children and Young Persons Act 1963 (which by virtue of section 17(1) of that Act has effect as Schedule 2 to the M31Children and Young Persons Act 1933), in Part II (constitution of [F41youth courts] in Inner London and the City), after paragraph 15 there shall be inserted—
“15A(1)Where, in the case of any sitting of a [F41youth court], a person nominated under paragraph 15(b) of this Schedule—
(a)is available to act as chairman; but
(b)considers that it would be appropriate for another member of the court to act as chairman,
he may nominate that member to act as chairman at that sitting.
(2)A member of a [F41youth court] nominated to act as chairman under sub-paragraph (1) shall only so act while the person making the nomination continues to sit as a member of the court.”.
Textual Amendments
F41Words in s. 61 substituted (1.10.1992) by Criminal Justice Act 1991 (c. 53, SIF 39:1), s. 100, Sch. 11 para. 40(1)(2)(p); S.I. 1992/333, art. 2(2), Sch.2
Marginal Citations
(1)In section 70(2)(a) of the M32Judicature (Northern Ireland) Act 1978 the words “and is in practice as such” (which disqualify non-practising barristers and solicitors for appointment as statutory officers under section 70(2) of that Act) shall be omitted.
(2)In section 103(3) of that Act (appointment and removal from office of justices of the peace) for the words from “on behalf” to “Chancellor” there shall be substituted the words “by the Lord Chancellor by instrument on behalf and in the name of Her Majesty”.
Marginal Citations
Textual Amendments
(1)Notwithstanding any enactment or rule of law by virtue of which documents prepared for the purpose of pending or contemplated civil proceedings, or in connection with the obtaining or giving of legal advice, are in certain circumstances privileged from disclosure, provision may be made by rules of court for requiring, in the case of civil proceedings of any description specified in the rules—
(a)a party who has been afforded a medical examination of another party to disclose to that other party the result of the examination;
(b)a party who proposes to adduce at the trial expert evidence with respect to medical matters, or matters of any other class specified in the rules, to disclose that evidence to every other party to the proceedings;
and any such disclosure shall be made by the furnishing of any such document or documents as may be specified in the rules, and shall be so made by such time as may be determined by or in accordance with the rules.
(2)Provision may be made by rules of court as to the conditions subject to which expert evidence may be given in civil proceedings.
(3)Without prejudice to the generality of subsection (2), rules of court made in pursuance of that subsection may make provision for prohibiting a party from adducing, except with the leave of the court, any expert evidence the contents of which were required to be, but have not been, disclosed by him in accordance with rules under subsection (1)(b).
(4)Any rules of court made in pursuance of this section may make different provision for different classes of cases and for other different circumstances.
(5)In this section “rules of court” means—
(a)rules of court made under section 55 of the M33Judicature (Northern Ireland) Act 1978; or
(b)county court rules made under Article 47 of the M34County Courts (Northern Ireland) Order 1980;
and nothing in this section shall prejudice the generality of either of those provisions.
(6)Section 71 of the M35Administration of Justice Act 1982 (which is superseded by this section) shall cease to have effect.
Textual Amendments
F43S. 65 repealed (1.1.2000) by 1999 c. 22, s. 106, Sch. 15 Pt.II (with Sch. 14 paras. 7(2), 36(9)); S.I. 1999/3344, art. 2(d), Sch.1
Textual Amendments
(1)The enactments specified in Schedule 7 shall have effect subject to the amendments there specified, being amendments consequential on the provisions of this Act.
(2)The enactments specified in Schedule 8 are hereby repealed to the extent specified in the third column of that Schedule.
(1)With the exception of the provisions referred to in subsection (2), this Act does not extend to Scotland or Northern Ireland.
(2)Those provisions are—
(a)sections 59 and 60;
(b)sections 62 to 64, section 67(2) and Schedule 8 so far as they relate to the M36Justices Protection (Ireland) Act 1849, the M37Judicature (Northern Ireland) Act 1978 and the M38Administration of Justice Act 1982, and paragraph 16 of Schedule 9.
(c)section 66;
(d)this section; and
(e)section 69.
(3)Of those provisions—
(a)subsections (1) to (5) of section 60 extend to the Isle of Man as well as to Scotland and Northern Ireland;
(b)the provisions referred to in subsection (2)(b) extend to Northern Ireland only; and
(c)section 66 does not extend to Northern Ireland.
(4)An Order in Council under paragraph 1(1)(b) of Schedule 1 to the M39Northern Ireland Act 1974 (legislation for Northern Ireland in the interim period) which states that it is made only for purposes corresponding to those of section 45 or 52 of this Act—
(a)shall not be subject to paragraph 1(4) and (5) of that Schedule (affirmative resolution of both Houses of Parliament); but
(b)shall be subject to annulment in pursuance of a resolution of either House.
(1)This Act may be cited as the Administration of Justice Act 1985.
(2)Subject to subsections (3) and (4), this Act shall come into force on such day as the Lord Chancellor may by order made by statutory instrument appoint; and an order under this subsection may appoint different days for different provisions and for different purposes.
(3)The following provisions of this Act shall come into force on the day this Act is passed—
(a)section 63;
(b)Part I of Schedule 8 and section 67(2) so far as relating thereto;
(c)section 68;
(d)this section and Schedule 9.
(4)The following provisions of this Act shall come into force at the end of the period of two months beginning with the day on which this Act is passed—
(a)sections 45, 49, 52, 54, 56 to 62 and 64 and 65;
(b)paragraph 8 of Schedule 7 and section 67(1) so far as relating thereto;
(c)Part II of Schedule 8 and section 67(2) so far as relating thereto.
(5)The transitional provisions and savings contained in Schedule 9 shall have effect; but nothing in that Schedule shall be taken as prejudicing the operation of sections 16 and 17 of the M40Interpretation Act 1978 (which relate to repeals).
Subordinate Legislation Made
P1Power of appointment conferred by s. 69(2) partly exercised: S.I. 1986/364, 1503, 2260; 1988/1341; 1989/287;1991/2683
Marginal Citations
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