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There are currently no known outstanding effects for the The Insolvency Amendment (EU 2015/848) Regulations 2017, Paragraph 52.
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52. After rule 21.8 insert the following—
[Note: “local creditor” is defined in Article 2(11) of the EU Regulation.]
21.9.—(1) This rule applies where an office-holder in main proceedings proposes to give an undertaking under Article 36 of the EU Regulation in respect of assets located in another member State.
(2) The following requirements apply in respect of the proposed undertaking.
(3) In addition to the requirements as to form and content set out in Article 36 the undertaking must contain—
(a)the heading “Proposed Undertaking under Article 36 of the EU Insolvency Regulation (2015/848)”;
(b)identification details for the main proceedings;
(c)identification and contact details for the office-holder; and
(d)a description of the effect of the undertaking if approved.
(4) The proposed undertaking must be delivered to all the local creditors in the member State concerned of whose address the office-holder is aware.
(5) Where the undertaking is rejected the office-holder must inform all the creditors of the company of the rejection of the undertaking as soon as reasonably practicable.
(6) Where the undertaking is approved the office-holder must as soon as reasonably practicable—
(a)send a copy of the undertaking to all the creditors with a notice informing them of the approval of the undertaking and of its effect (so far as they have not already been given this information under paragraph (3)(d));
(b)in the case of a bankruptcy file the undertaking on the court file or the bankruptcy file as the case may be;
(c)where the insolvency proceedings relate to a registered company deliver a copy of the undertaking to the registrar of companies.
(7) The office-holder may advertise details of the undertaking in the other member State in such manner as the office-holder thinks fit.
21.10.—(1) This rule applies where a member State liquidator proposes an undertaking under Article 36 and the secondary proceedings which the undertaking is intended to avoid would be insolvency proceedings to which these Rules apply.
(2) The decision by the local creditors whether to approve the undertaking must be made by a decision procedure subject to the rules which apply to the approval of a CVA (with any necessary modifications) and subject as follows.
(3) In Part 15 the rules in Chapters 1 to 9 and 11 apply to the decision procedure (with any necessary modifications) except for the following—
15.7, 15.12, 15.14, 15.16-15.19, 15.24, 15.29 to 15.30.
(4) Where the main proceedings relate to a registered company the member State liquidator must deliver a copy of the approved undertaking to the registrar of companies.
(5) Where the main proceedings relate to an individual the member State liquidator must gazette a notice of the undertaking containing—
(a)the fact that the undertaking was approved;
(b)the date the undertaking was approved; and
(c)a description of the effect of the undertaking.
21.11. Where an office-holder or a member State liquidator makes an application in accordance with paragraph (1)(b) of Article 60 of the EU Regulation the application must state with reasons why the applicant thinks the matters set out in points (i) to (iv) of that paragraph apply.
21.12.—(1) An application to open group coordination proceedings must be headed “Application under Article 61 of Regulation (EU) 2015/848 to open group coordination proceedings” and must, in addition to the requirements in Article 61 contain—
(a)identification and contact details for the office-holder making the application;
(b)identification details for the insolvency proceedings by virtue of which the office-holder is making the application;
(c)identification details for the insolvency proceedings in respect of each company which is a member of the group;
(d)contact details for the office-holders and member state liquidators appointed in those proceedings;
(e)identification details for any insolvency proceedings in respect of a member of the group which are not to be subject to the coordination because of an objection to being included; and
(f)if relevant, a copy of any such agreement as is mentioned in Article 66 of the EU Regulation.
(2) “office-holder” in this rule includes a person holding office in insolvency proceedings in relation to the company in Scotland or Northern Ireland, and a member State liquidator.
[Note: an order opening group coordination proceedings must also contain the matters set out in Article 68(1)(a) to (c).]
21.13.—(1) An order opening group coordination proceedings must also contain—
(a)identification details for the insolvency proceedings by virtue of which the office-holder is making the application;
(b)identification and contact details for the office-holder making the application;
(c)identification details for the insolvency proceedings which are subject to the coordination;
(d)identification details for any insolvency proceedings for a member of the group which are not subject to the coordination because of an objection to being included.
(2) The office-holder who made the application must deliver a copy of the order to the coordinator and to any person who is, in respect of proceedings subject to the coordination—
(a)an office-holder,
(b)a person holding office in insolvency proceedings in relation to the company in Scotland or Northern Ireland, and
(c)a member State liquidator.
21.14. An office-holder in respect of insolvency proceedings subject to coordination must deliver a copy of the group coordination order to the registrar of companies.
21.15.—(1) This rule applies where, under the second paragraph of Article 70(2) of the EU Regulation, an office-holder is required to give reasons for not following the coordinator’s recommendations or the group coordination plan.
(2) Those reasons must be given as soon as reasonably practicable by a notice to all the creditors.
(3) Those reasons may be given in the next progress report where doing so satisfies the requirement to give the reasons as soon as reasonably practicable.
21.16.—(1) This rule applies where—
(a)a company subject to insolvency proceedings has an establishment in England and Wales; and
(b)a member State liquidator is required or authorised under Article 28 of the EU Regulation to publish a notice.
(2) The notice must be published in the Gazette.
21.17. A statement by a member State liquidator under any of sections 201, 202, 205 or paragraph 84 of Schedule B1 informing the registrar of companies that the insolvency proceedings in another member State are closed or that the member State liquidator consents to the dissolution must contain—
(a)identification details for the company; and
(b)identification details for the member State liquidator.”.
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