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The Financial Services and Markets Act 2000 (Regulated Activities) Order 2001

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89N.    [F1Claims management activity conducted by legal professionalsE+W+S

(1) There is excluded from articles 89G to 89M any activity which is carried on in England and Wales by—

(a)a legal practitioner;

(b)a firm, organisation or body corporate that carries on the claims management activity through a legal practitioner; or

(c)an individual who carries on the claims management activity at the direction of, and under the supervision of, a legal practitioner who is—

(i)that individual’s employer or fellow employee; or

(ii)a director of a company, or a member of a limited liability partnership, that provides the service and is that individual’s employer.

(2) For the purposes of paragraph (1) “legal practitioner” means—

(a)a solicitor or barrister of any part of England and Wales or Northern Ireland;

(b)a Fellow of the Chartered Institute of Legal Executives;

(c)a European lawyer, as defined in the European Communities (Services of Lawyers) Order 1978 or the European Communities (Lawyer’s Practice) Regulations 2000;

(d)a registered foreign lawyer, as defined in section 89(9) of the Courts and Legal Services Act 1990;

(e)any other member of a legal profession, of a jurisdiction other than England and Wales, that is recognised by the Law Society of England and Wales or the General Council of the Bar as a regulated legal profession.

(3) There is excluded from articles 89G to 89M any activity which is carried on in Scotland by—

(a)a legal practitioner;

(b)a firm, organisation or body corporate that carries on the claims management activity through or under the supervision of a legal practitioner where that firm, organisation or body corporate is—

(i)a firm of solicitors;

(ii)an incorporated practice; or

(iii)a licensed legal services provider and the activity is a legal service as defined within section 3 of the Legal Services (Scotland) Act 2010.

(4) For the purposes of paragraph (3) “legal practitioner” means—

(a)a person who is qualified to practise as a solicitor under section 4 of the Solicitors (Scotland) Act 1980;

(b)an advocate who is a member of the Faculty of Advocates;

(c)a European lawyer as defined in the European Communities (Services of Lawyers) Order 1978 or the European Communities (Lawyer’s Practice) (Scotland) Regulations 2000; or

(d)a registered foreign lawyer within the meaning of section 65 of the Solicitors (Scotland) Act 1980.

(5) But an activity mentioned in paragraph (1) or (3) is only excluded from articles 89G to 89M if the legal practitioner concerned carries on the claims management activity in the ordinary course of legal practice pursuant to the professional rules to which that legal practitioner is subject.

(6) The exclusions in this article are to be read as if they were expressed as exemptions for the purposes of the following provisions of the Financial Guidance and Claims Act 2018—

(a)section 32(5)(b) (PPI claims: interim restriction on charges imposed by legal practitioners after transfer of regulation to the FCA); and

(b)section 33(11) (legal services regulators’ rules: charges for claims management services).]

Textual Amendments

F1Pt. 3B inserted (E.W.S.) (29.11.2018 for specified purposes, 1.4.2019 in so far as not already in force) by The Financial Services and Markets Act 2000 (Claims Management Activity) Order 2018 (S.I. 2018/1253), art. 1(2)(3), 7

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