- Latest available (Revised)
- Point in Time (05/09/2023)
- Original (As enacted)
Version Superseded: 01/10/2023
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In the Building Act 1984, after Part 2 insert—
In this Act the “regulatory authority” means—
(a)in relation to England, the regulator;
(b)in relation to Wales, the Welsh Ministers.
In this Act “registered building inspector” means an individual registered as a building inspector in accordance with this Part.
(1)The regulatory authority must establish and maintain a register of building inspectors.
(2)The register may provide for different classes of building inspectors (for example, according to qualifications or experience).
(3)The regulatory authority must register an individual as a building inspector, or a building inspector of a particular class, if—
(a)the individual makes an application for registration in accordance with section 58D, and
(b)the authority is satisfied that the individual meets such criteria as the authority may from time to time determine.
(4)Registration may—
(a)have effect in relation to all work or in relation to work of a particular description;
(b)be subject to conditions.
(5)Registration must be for a prescribed period.
(6)The register must record, in relation to each registered building inspector—
(a)the individual’s name and business address;
(b)if the individual is employed by a building control authority or a registered building control approver, the name and business address of that person;
(c)whether the individual’s registration has effect in relation to all work or work of a particular description;
(d)if the individual’s registration has effect in relation to work of a particular description, that description of work;
(e)any conditions to which the individual’s registration is subject;
(f)the period for which the individual is registered;
(g)if the individual’s registration has been varied by an order under section 58I(2)(b), that fact and the effect of the variation;
(h)if the individual’s registration has been suspended by an order under section 58I(2)(c) or 58J(2), that fact and the period of the suspension;
(i)any matters that are prescribed.
(7)The regulatory authority must make the register available for inspection by the public in whatever way the authority thinks appropriate.
(1)An application for registration as a building inspector must—
(a)be made in such form and manner, and
(b)be accompanied by such information and supporting evidence,
as the regulatory authority may from time to time determine.
(2)The regulatory authority may make different provision about those matters for different cases.
(3)When considering an application for registration, the regulatory authority may require the applicant to provide it with such further information or supporting evidence as the authority may require.
(4)The applicant may appeal to the appropriate court or tribunal against any decision made by the regulatory authority on the application.
(1)A registered building inspector may apply for the variation or cancellation of their registration.
(2)Section 58D applies to such an application as it applies to an application for registration.
(1)The regulatory authority must prepare and publish a code of conduct for registered building inspectors.
(2)The code must set out standards of professional conduct and practice expected of registered building inspectors.
(3)The code may make different provision for different cases (for example, for different descriptions of work).
(4)The regulatory authority may revise the code of conduct at any time (and must publish any revised code).
(1)The regulatory authority may by notice in writing require a registered building inspector to provide the authority with any documents or information the authority reasonably requires for the purposes its functions under sections 58B to 58M.
(2)The notice must specify—
(a)the documents or information required,
(b)the date by which they must be provided, and
(c)the form in which they must be provided.
(1)If it appears to the regulatory authority (on receipt of a complaint or otherwise) that a registered building inspector may be guilty of professional misconduct, the authority may investigate the matter.
(2)In this Part “professional misconduct”, in relation to a registered building inspector, means conduct that—
(a)falls short of the standards of conduct and practice expected of registered building inspectors, or
(b)is likely to bring the profession of registered building inspectors into disrepute.
(3)The regulatory authority must prepare and publish a statement of the procedure it will follow when investigating a registered building inspector under this section (which must include an opportunity for the inspector to make representations).
(4)The regulatory authority may revise the statement at any time (and must publish any revised statement).
(1)If following an investigation under section 58H the regulatory authority determines that an individual who is a registered building inspector is guilty of professional misconduct, the authority may make one or more disciplinary orders.
(2)A disciplinary order is an order—
(a)requiring the individual to pay a financial penalty of an amount specified in the order,
(b)varying the individual’s registration in a way specified in the order,
(c)suspending the individual’s registration for a period specified in the order, or
(d)cancelling the individual’s registration from a date specified in the order.
(3)Varying the individual’s registration means varying any of the matters listed in section 58C(4) (limitations and conditions).
(4)Where the regulatory authority makes a disciplinary order it must give a copy of the order to the individual concerned as soon as reasonably practicable.
(5)The individual may appeal to the appropriate court or tribunal against a disciplinary order under this section.
(6)A disciplinary order under subsection (2)(a) or (b) has no effect until—
(a)the end of the period within which an appeal may be brought, or
(b)if an appeal is brought before the end of that period, the determination of the appeal.
(7)Where the regulatory authority is the regulator, it must pay into the Consolidated Fund the amount of any financial penalty paid to it pursuant to a disciplinary order under subsection (2)(a).
(1)This section applies where the regulatory authority considers that—
(a)an individual who is a registered building inspector may be guilty of professional misconduct, and
(b)the suspected misconduct is so serious that, if the authority determines that the individual is guilty, it is likely to make an order under section 58I(2)(d) cancelling the individual’s registration.
(2)The regulatory authority may by order suspend the individual’s registration for a period specified in the order (which must not exceed 3 months).
(3)The regulatory authority may revoke the order before the end of that period.
(4)Where the regulatory authority makes (or revokes) an order under this section it must give a copy of the order (or notice of the revocation) to the individual concerned as soon as reasonably practicable.
(5)The individual may appeal to the appropriate court or tribunal against an order under this section.
An individual whose registration is suspended under section 58I(2)(c) or 58J(2) is not a registered building inspector for the purposes of section 46A or 54B (restricted activities and functions) (but is a registered building inspector for the purposes of this Part).
(1)A registered building inspector commits an offence if, without reasonable excuse, they carry out a restricted activity on behalf of a building control authority or a registered building control approver—
(a)in relation to work which is outside the scope of their registration, or
(b)while their registration is suspended.
(2)“Restricted activity”—
(a)in relation to a building control authority, has the meaning given by section 46A;
(b)in relation to a registered building control approver, has the meaning given by section 54B.
(3)A registered building inspector commits an offence if, without reasonable excuse—
(a)they give advice to a building control authority or registered building control approver—
(i)in relation to work which is outside the scope of their registration, or
(ii)while their registration is suspended, and
(b)they know, or ought to know, that the authority or approver is obtaining that advice for the purposes of section 46A or 54B (restricted functions).
(4)A registered building inspector commits an offence if, with intent to deceive, they do anything which implies that work which is outside the scope of their registration is within the scope of their registration.
(5)A registered building inspector whose registration is suspended commits an offence if, with intent to deceive, they do anything which implies that their registration is not suspended.
(6)For the purposes of this section, work is outside the scope of a registered building inspector’s registration if the inspector’s registration does not have effect in relation to work of that description.
(7)An offence under this section is punishable on summary conviction by a fine.
(1)A person who is not a registered building inspector commits an offence if, with intent to deceive, the person—
(a)impersonates a registered building inspector, or
(b)does anything (including using any name, title or description) which implies that the person is a registered building inspector.
(2)An offence under this section is punishable on summary conviction by a fine.
In this Act “registered building control approver” means a person registered as a building control approver in accordance with this Part.
(1)The regulatory authority must establish and maintain a register of building control approvers.
(2)The regulatory authority must register a person as a building control approver if—
(a)the person makes an application for registration in accordance with section 58P, and
(b)the authority is satisfied that the person meets such criteria as the authority may from time to time determine.
(3)Registration may—
(a)have effect in relation to all work or in relation to work of a particular description;
(b)be subject to conditions.
(4)Registration must be for a prescribed period.
(5)The register must record, in relation to each registered building control approver—
(a)the person’s name and business address;
(b)whether the person’s registration has effect in relation to all work or work of a particular description;
(c)if the person’s registration has effect in relation to work of a particular description, that description of work;
(d)any conditions to which the person’s registration is subject;
(e)the period for which the person is registered;
(f)if the person’s registration has been varied by an order under section 58U(2)(b), that fact and the effect of the variation;
(g)if the person’s registration has been suspended by an order under section 58U(2)(c) or 58V(2), that fact and the period of the suspension;
(h)any matters that are prescribed.
(6)The regulatory authority must make the register available for inspection by the public in whatever way the authority thinks appropriate.
(1)An application for registration as a building control approver must—
(a)be made in such form and manner, and
(b)be accompanied by such information and supporting evidence,
as the regulatory authority may from time to time determine.
(2)The regulatory authority may make different provision about those matters for different cases.
(3)When considering an application for registration, the regulatory authority may require the applicant to provide it with such further information or supporting evidence as the authority may require.
(4)The applicant may appeal to the appropriate court or tribunal against any decision made by the regulatory authority on the application.
(1)A registered building control approver may apply for the variation or cancellation of their registration.
(2)Section 58P applies to such an application as it applies to an application for registration.
(1)The regulatory authority must prepare and publish professional conduct rules applying to registered building control approvers (in addition to operational standards rules applying to them under section 58Z).
(2)Professional conduct rules may in particular make provision about insurance and financial propriety.
(3)The rules may make different provision for different cases (for example, for different descriptions of work).
(4)The regulatory authority may revise the professional conduct rules at any time (and must publish any revised rules).
(1)The regulatory authority may by notice in writing require a registered building control approver to provide the authority with any documents or information the authority reasonably requires for the purposes of its functions under sections 58N to 58X.
(2)The notice must specify—
(a)the documents or information required,
(b)the date by which they must be provided, and
(c)the form in which they must be provided.
(1)If it appears to the regulatory authority (on receipt of a complaint or otherwise) that a registered building control approver may have contravened the professional conduct rules, the authority may investigate the matter.
(2)The regulatory authority must prepare and publish a statement of the procedure it will follow when investigating a registered building control approver under this section (which must include an opportunity for the person to make representations).
(3)The regulatory authority may revise the statement at any time (and must publish any revised statement).
(1)If following an investigation under section 58T the regulatory authority determines that a person who is a registered building control approver has contravened the professional conduct rules, the authority may make one or more disciplinary orders.
(2)A disciplinary order is an order—
(a)requiring the person to pay a financial penalty of an amount specified in the order,
(b)varying the person’s registration in a way specified in the order,
(c)suspending the person’s registration for a period specified in the order, or
(d)cancelling the person’s registration from a date specified in the order.
(3)Varying the person’s registration means varying any of the matters listed in section 58O(3) (limitations and conditions).
(4)Where the regulatory authority makes a disciplinary order it must as soon as reasonably practicable—
(a)give a copy of the order to the person concerned, and
(b)in prescribed cases, give a copy of the order—
(i)to each local authority in England, where the regulatory authority is the regulator, or
(ii)to each local authority in Wales, where the regulatory authority is the Welsh Ministers.
(5)The person may appeal to the appropriate court or tribunal against a disciplinary order under this section.
(6)A disciplinary order under subsection (2)(a) or (b) has no effect until—
(a)the end of the period within which an appeal may be brought, or
(b)if an appeal is brought before the end of that period, the determination of the appeal.
(7)Where the regulatory authority is the regulator, it must pay into the Consolidated Fund the amount of any financial penalty paid to it pursuant to a disciplinary order under subsection (2)(a).
(8)A person whose registration is suspended by an order under subsection (2)(c) is a registered building control approver for the purposes of this Part.
(9)See section 58Z6(2) for further provision about cancellation of a person’s registration as a building control approver.
(1)This section applies where the regulatory authority considers that—
(a)a person who is a registered building control approver may have contravened the professional conduct rules, and
(b)the suspected contravention is so serious that, if the authority determines that the contravention has occurred, it is likely to make an order under section 58U(2)(d) cancelling the person’s registration.
(2)The regulatory authority may by order suspend the person’s registration for a period specified in the order (which must not exceed 3 months).
(3)The regulatory authority may revoke the order before the end of that period.
(4)Where the regulatory authority makes (or revokes) an order under this section it must as soon as reasonably practicable—
(a)give a copy of the order (or notice of the revocation) to the person concerned, and
(b)in prescribed cases, give a copy of the order (or notice of the revocation)—
(i)to each local authority in England, where the regulatory authority is the regulator, or
(ii)to each local authority in Wales, where the regulatory authority is the Welsh Ministers.
(5)The person may appeal to the appropriate court or tribunal against an order under this section.
(6)A person whose registration is suspended by an order under this section is a registered building control approver for the purposes of this Part.
(1)A registered building control approver commits an offence if, without reasonable excuse, they exercise a function under this Act, or regulations made under this Act—
(a)in relation to work outside the scope of their registration, or
(b)while their registration is suspended.
(2)A registered building control approver commits an offence if, with intent to deceive, they do anything which implies that work which is outside the scope of their registration is within the scope of their registration.
(3)A registered building control approver whose registration is suspended commits an offence if, with intent to deceive, they do anything which implies that their registration is not suspended.
(4)For the purposes of this section, work is outside the scope of a registered building control approver’s registration if their registration does not have effect in relation to work of that description.
(5)An offence under this section is punishable on summary conviction by a fine.
(1)A person who is not a registered building control approver commits an offence if, with intent to deceive, the person—
(a)impersonates a registered building control approver, or
(b)does anything (including using any name, title or description) which implies that the person is a registered building control approver.
(2)An offence under this section is punishable on summary conviction by a fine.
(1)The regulatory authority may delegate its registration functions to another person, to such extent and subject to such conditions as it considers appropriate.
(2)The regulatory authority’s registration functions are its functions under sections 58B to 58X (and include the charging of any registration fees or recovery of any registration charges).
(3)“Registration fees” and “registration charges” mean fees and charges in connection with the regulatory authority’s functions under sections 58B to 58X that are—
(a)prescribed by regulations under section 105B, or
(b)determined by the regulatory authority in accordance with regulations under that section.
(4)The regulatory authority may vary or revoke a delegation.
(5)Where the regulatory authority is the regulator, it—
(a)may make, vary or revoke a delegation only with the consent of the Secretary of State;
(b)must vary or revoke a delegation if directed to do so by the Secretary of State.
(6)Section 58Z9 of this Act (sharing of information between regulatory authorities) and Schedule 3 to the Building Safety Act 2022 (information sharing between regulator and other authorities) apply as if references to the regulator included references to a person to whom the regulator has delegated functions under this section.
(7)The following provisions of this Act apply as if references to the Welsh Ministers included references to a person to whom the Welsh Ministers have delegated functions under this section—
(a)section 58Z9 (sharing of information between regulatory authorities);
(b)section 91B (cooperation and sharing of information between Welsh Ministers and other authorities);
(c)section 131A (application to the Crown).
(1)The regulatory authority may make rules (“operational standards rules”) applying to local authorities and registered building control approvers in relation to their exercise of building control functions.
(2)Operational standards rules may in particular make provision about standards to be met, and practices, procedures or methods to be adopted, in exercising building control functions.
(3)In this Part “building control functions”, in relation to a local authority or registered building control approver, means the functions of the authority or approver under this Act and regulations made under it.
(4)The operational standards rules may make different provision for different cases (for example, for different descriptions of work).
(5)The regulatory authority may revise the operational standards rules at any time.
(6)The regulatory authority must publish the operational standards rules (and any revised rules).
(1)The regulatory authority may direct local authorities and registered building control approvers to provide it, at specified times or intervals, with specified reports, returns and other information relating to the exercise of their building control functions.
(2)“Specified” means specified in the direction.
(3)A direction under this section—
(a)must be in writing;
(b)may be general or specific;
(c)may be varied or revoked.
(4)A registered building control approver who, without reasonable excuse, fails to comply with a direction under this section commits an offence.
(5)An offence under subsection (4) is punishable on summary conviction by a fine.
(1)This section applies where the Welsh Ministers are the regulatory authority.
(2)The Welsh Ministers may by notice in writing require a local authority or registered building control approver to provide the Welsh Ministers with any documents or information relating to the exercise of their building control functions that the Welsh Ministers reasonably require.
(3)The notice must specify—
(a)the documents or information required,
(b)the date by which they must be provided, and
(c)the form in which they must be provided.
(4)A registered building control approver who, without reasonable excuse, fails to comply with a notice under this section commits an offence.
(5)An offence under subsection (4) is punishable on summary conviction by a fine.
(1)If it appears to the regulatory authority (on receipt of a complaint or otherwise) that a local authority or registered building control approver may have contravened the operational standards rules, the regulatory authority may investigate the matter.
(2)The regulatory authority must prepare and publish a statement of the procedure it will follow when investigating an authority or approver under this section (which must include an opportunity for the authority or approver to make representations).
(3)The regulatory authority may revise the statement at any time (and must publish any revised statement).
(1)The regulatory authority may give an improvement notice to a local authority or a registered building control approver if it appears to the regulatory authority (following an investigation under section 58Z3 or otherwise) that the local authority or registered building control approver has contravened operational standards rules.
(2)An improvement notice is a notice requiring the local authority or registered building control approver to remedy the contravention by doing, or by refraining from doing, anything specified in the order.
(3)An improvement notice may have effect—
(a)until it is revoked, or
(b)for a period specified in the notice.
(4)Where the regulatory authority gives an improvement notice, it must also give the local authority or registered building control approver a statement of the reasons for giving the notice.
(5)Where the regulatory authority gives an improvement notice to a registered building control approver, in prescribed cases it must as soon as reasonably practicable provide copies of the notice and the statement—
(a)to each local authority in England, where the regulatory authority is the regulator, or
(b)to each local authority in Wales, where the regulatory authority is the Welsh Ministers.
(6)Where the regulatory authority giving an improvement notice is the regulator, it must as soon as reasonably practicable provide copies of the notice and the statement of reasons to the Secretary of State.
(7)The local authority or registered building control approver to whom the improvement notice is given may appeal to the appropriate court or tribunal against the notice.
(1)The regulatory authority may give a serious contravention notice to a local authority or a registered building control approver if it appears to the regulatory authority (following an investigation under section 58Z3 or otherwise) that the condition in subsection (2) or (3) is met.
(2)The condition in this subsection is that—
(a)the local authority or registered building control approver has contravened operational standards rules, and
(b)as a result of the contravention the safety of persons in or about buildings has been, or may have been, put at risk.
(3)This condition in this subsection is that the local authority or registered building control approver—
(a)has been given an improvement notice under section 58Z4, and
(b)has failed to remedy the contravention of operational standards rules in respect of which the notice was given.
(4)A serious contravention notice is a notice requiring the local authority or registered building control approver to remedy the contravention in question by doing, or by refraining from doing, anything specified in the order.
(5)A serious contravention notice may have effect—
(a)until it is revoked, or
(b)for a period specified in the notice.
(6)Where the regulatory authority gives a serious contravention notice, it must also give the local authority or registered building control approver a statement of the reasons for giving the notice.
(7)Where the regulatory authority gives a serious contravention notice to a registered building control approver, in prescribed cases it must as soon as reasonably practicable provide copies of the notice and the statement—
(a)to each local authority in England, where the regulatory authority is the regulator, or
(b)to each local authority in Wales, where the regulatory authority is the Welsh Ministers.
(8)Where the regulatory authority giving a serious contravention notice is the regulator, it must as soon as reasonably practicable provide copies of the notice and the statement of reasons to the Secretary of State.
(9)The local authority or registered building control approver to whom the serious contravention notice is given may appeal to the appropriate court or tribunal against the notice.
(10)A person who, without reasonable excuse, contravenes a serious contravention notice commits an offence and is liable on summary conviction to a fine.
(1)This section applies where—
(a)the regulatory authority has given a registered building control approver one or more serious contravention notices under section 58Z5, and
(b)it appears to the regulatory authority that the way in which the approver exercises their building control functions—
(i)falls short of the standards expected, and
(ii)puts, or may put, the safety of persons in or about buildings at risk,
and is likely to continue to do so.
(2)The regulatory authority may cancel the approver’s registration.
(3)But before cancelling a registered building control approver’s registration under subsection (2) the regulatory authority must—
(a)give the approver notice that it is considering its registration under that subsection, and explain its reasons, and
(b)invite the approver to make representations within a period specified in the notice (which must not be less than 14 days).
(4)Where the regulatory authority cancels a registered building control approver’s registration under subsection (2) it must as soon as reasonably practicable—
(a)notify the approver that it has done so,
(b)give the approver a statement of its reasons, and
(c)notify—
(i)each local authority in England, where the regulatory authority is the regulator, or
(ii)each local authority in Wales, where the regulatory authority is the Welsh Ministers.
(5)A registered building control approver may appeal to the appropriate court or tribunal against the cancellation of its registration under subsection (2).
(1)This section applies where—
(a)the regulatory authority is the regulator,
(b)the regulatory authority has given a local authority one or more serious contravention notices under section 58Z5, and
(c)it appears to the regulatory authority that the way in which the local authority exercises their building control functions—
(i)falls short of the standards expected, and
(ii)puts, or may put, the safety of persons in or about buildings at risk,
and is likely to continue to do so.
(2)The regulatory authority may recommend to the Secretary of State that the Secretary of State make an order under section 116(4) (transfer of functions to the Secretary of State or another local authority).
(3)But before making a recommendation under subsection (2) the regulatory authority must—
(a)give the local authority notice that it is considering making a recommendation under that subsection, and explain its reasons, and
(b)invite the authority to make representations within a period specified in the notice (which must not be less than 14 days).
(4)Where the regulatory authority makes a recommendation under subsection (2) it must as soon as reasonably practicable—
(a)notify the local authority that it has done so, and
(b)give the local authority a statement of its reasons.
(5)A local authority may appeal to the tribunal against a recommendation under subsection (2).
(1)The regulatory authority may carry out an inspection of a local authority, or a registered building control approver, in relation to their exercise of building control functions.
(2)The purposes for which an inspection may be carried out include—
(a)ascertaining the efficiency and effectiveness of the local authority or registered building control approver in exercising their building control functions;
(b)verifying any information provided by the local authority or registered building control approver to the regulatory authority, in connection with their building control functions.
(1)The regulator may disclose information held in connection with a function under this Part to the Welsh Ministers for the purposes of—
(a)a function of the regulator under this Part, or
(b)a function of the Welsh Ministers under this Part.
(2)The Welsh Ministers may disclose information held in connection with a function under this Part to the regulator for the purposes of—
(a)a function of the Welsh Ministers under this Part, or
(b)a function of the regulator under this Part.
(3)Except as provided by subsection (4), the disclosure of information under this section does not breach—
(a)any obligation of confidence owed by the person making the disclosure, or
(b)any other restriction on the disclosure of information (however imposed).
(4)This section does not authorise a disclosure of information if the disclosure would contravene the data protection legislation (but in determining whether a disclosure would do so, take into account the powers conferred by this section).
An appeal lies to the Crown Court against a decision of a magistrates’ court under this Part.”
Commencement Information
I1S. 42 not in force at Royal Assent, see s. 170(4)(a)(iii)(b)(iv)
I2S. 42 in force at 6.4.2023 for specified purposes except in relation to W. by S.I. 2023/362, reg. 3(1)(s)
I3S. 42 in force at 5.9.2023 for specified purposes for W. by S.I. 2023/914, reg. 2(b)(viii) (with reg. 7)
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