PART 1General
Citation and commencement
1.—(1) These Regulations may be cited as the Syria (Sanctions) (EU Exit) Regulations 2019.
(2) The following provisions come into force on the day after the day on which the Regulations are laid before Parliament—
(a)this regulation;
(b)regulation 2 (interpretation);
(c)regulation 4 (purposes);
(d)regulation 5 (power to designate persons)
(e)regulation 6 (designation criteria);
(f)regulation 7 (interpretation of regulation 6);
(g)regulation 8 (notification and publicity where designation power used);
(h)Schedule 1 (rules for interpretation of regulation 7(2)).
(3) All other provisions come into force on exit day().
Interpretation
2. In these Regulations—
“the Act” means the Sanctions and Anti-Money Laundering Act 2018;
“aircraft licence” means a licence under regulation 63;
“arrangement” includes any agreement, understanding, scheme, transaction or series of transactions, whether or not legally enforceable (but see paragraph 12 of Schedule 1 for the meaning of that term in that Schedule);
“brokering service” means any service to secure, or otherwise in relation to, an arrangement, including but not limited to—
(a)
the selection or introduction of persons as parties or potential parties to the arrangement,
(b)
the negotiation of the arrangement,
(c)
the facilitation of anything that enables the arrangement to be entered into, and
(d)
the provision of any assistance that in any way promotes or facilitates the arrangement;
“CEMA” means the Customs and Excise Management Act 1979();
“chemical weapons” has the same meaning as it has in article 2 of the Chemical Weapons Convention;
“the Chemical Weapons Convention” means the Convention on the Prohibition of the Development, Production, Stockpiling and Use of Chemical Weapons and on their Destruction signed at Paris on 13th January 1993();
“the Commissioners” means the Commissioners for Her Majesty’s Revenue and Customs;
“conduct” includes acts and omissions;
“consular post” has the same meaning as it has in the Vienna Convention on Consular Relations done at Vienna on 24 April 1963(), and any reference to the functions of a consular post is to be read in accordance with that Convention;
“diplomatic mission” and any reference to the functions of a diplomatic mission is to be read in accordance with the Vienna Convention on Diplomatic Relations done at Vienna on 18 April 1961();
“document” includes information recorded in any form and, in relation to information recorded otherwise than in legible form, references to its production include producing a copy of the information in legible form;
“the Dual-Use Regulation” means Council Regulation (EC) No 428/2009 of 5 May 2009 setting up a Community regime for the control of exports, transfer, brokering and transit of dual-use items;
“the EU Syria Regulation” means Council Regulation (EU) No 36/2012 of 18 January 2012, concerning restrictive measures in view of the situation in Syria and repealing Regulation (EU) No 442/2011(), as it has effect in EU law immediately before exit day;
“humanitarian assistance activity” includes the work of international and non-governmental organisations carrying out relief activities in Syria for the benefit of the civilian population there;
“the Syrian regime” means the regime in Syria on or after 9 May 2011 led by Bashar Al-Assad and includes its public bodies, corporations or agencies, or any person() acting on its behalf or at its direction;
“trade licence” means a licence under regulation 62;
“Treasury licence” means a licence under regulation 61(1);
“United Kingdom person” has the same meaning as in section 21 of the Act.
Application of prohibitions and requirements outside the United Kingdom
3.—(1) A United Kingdom person may contravene a relevant prohibition by conduct wholly or partly outside the United Kingdom.
(2) Any person may contravene a relevant prohibition or a prohibition imposed by a condition of an aircraft licence, by conduct in the territorial sea.
(3) In this regulation a “relevant prohibition” means any prohibition imposed by—
(a)regulation 9(2) (confidential information),
(b)Part 3 (Finance),
(c)Part 5 (Trade),
(d)regulation 52(6) (non-disclosure), or
(e)a condition of a Treasury licence or a trade licence.
(4) A United Kingdom person may comply, or fail to comply, with a relevant requirement by conduct wholly or partly outside the United Kingdom.
(5) Any person may comply, or fail to comply, with a relevant requirement or a requirement imposed by a condition of an aircraft licence, by conduct in the territorial sea.
(6) In this regulation, a “relevant requirement” means any requirement imposed—
(a)by Chapter 2 of Part 3 (Investment, financial services and financial markets),
(b)by or under regulation 57(5) (notification requirements in respect of exceptions relating to petroleum products) or Part 8 (Information and records), or by reason of a request made under a power conferred by Part 8, or
(c)by a condition of a Treasury licence or a trade licence.
(7) Nothing in this regulation is to be taken to prevent a relevant prohibition or a relevant requirement from applying to conduct (by any person) in the United Kingdom.
Purposes
4. The purposes of the regulations contained in this instrument that are made under section 1 of the Act are to encourage the Syrian regime to—
(a)refrain from actions, policies or activities which repress the civilian population in Syria, and
(b)participate in negotiations in good faith to reach a negotiated political settlement to bring about a peaceful solution to the conflict in Syria.
PART 2Designation of persons
Power to designate persons
5.—(1) The Secretary of State may designate persons by name for the purposes of any of the following—
(a)regulations 11 to 15 (asset-freeze etc);
(b)regulation 24 (immigration).
(2) The Secretary of State may designate different persons for the purposes of the provisions mentioned in each of the sub-paragraphs of paragraph (1).
Designation criteria
6.—(1) The Secretary of State may not designate a person under regulation 5 unless the Secretary of State—
(a)has reasonable grounds to suspect that that person is an involved person, and
(b)considers that the designation of that person is appropriate, having regard to—
(i)the purposes stated in regulation 4, and
(ii)the likely significant effects of the designation on that person (as they appear to the Secretary of State to be on the basis of the information that the Secretary of State has).
(2) In this regulation an “involved person” means a person who—
(a)is or has been involved in—
(i)repressing the civilian population in Syria;
(ii)supporting or benefitting from the Syrian regime,
(b)is owned or controlled directly or indirectly (within the meaning of regulation 7) by a person who is or has been so involved,
(c)is acting on behalf of or at the direction of a person who is or has been so involved, or
(d)is a member of, or associated with, a person who is or has been so involved.
(3) Any reference in this regulation to being involved in one or more of the activities mentioned in paragraph (2)(a) includes being so involved in whatever way and wherever any actions constituting the involvement take place, and in particular includes—
(a)a prominent person operating or controlling a business in Syria;
(b)working for, or being affiliated to, the Syrian regime as—
(i)a Minister,
(ii)a member of the Syrian Armed Forces of the rank of colonel or the equivalent or higher,
(iii)a member of the Syrian security and intelligence services, or
(iv)a member of a militia;
(c)carrying on prohibited activities related to chemical weapons in Syria;
(d)being responsible for, engaging in or promoting an activity set out in paragraph (2)(a)(i);
(e)providing financial services(), or making available funds or economic resources(), that could contribute to an activity set out in paragraph (2)(a);
(f)being involved in the supply to Syria of restricted goods or restricted technology, or in providing financial services relating to such supply;
(g)being involved in the supply to Syria of goods or technology which could contribute to an activity set out in paragraph (2)(a), or in providing financial services relating to such supply;
(h)assisting the contravention or circumvention of any relevant provision.
(4) In this regulation “relevant provision” means—
(a)any provision of Part 3, 5 or 6;
(b)any provision of the law of a country other than the United Kingdom made for purposes corresponding to a purpose of any provision of Part 3, 5 or 6.
(5) Nothing in any sub-paragraph of paragraph (3) is to be taken to limit the meaning of any of the other sub-paragraphs of that paragraph.
(6) In this regulation, “restricted goods” and “restricted technology” mean any goods or any technology subject to a prohibition under Part 5 (Trade).
Interpretation of regulation 6
7.—(1) For the purposes of regulation 6, a person who is not an individual (“C”) is “owned or controlled directly or indirectly” by another person (“P”) if either of the following two conditions is met (or both are met).
(2) The first condition is that P—
(a)holds directly or indirectly more than 50% of the shares in C,
(b)holds directly or indirectly more than 50% of the voting rights in C, or
(c)holds the right directly or indirectly to appoint or remove a majority of the board of directors of C.
(3) Schedule 1 contains provision applying for the purpose of interpreting paragraph (2).
(4) The second condition is that it is reasonable, having regard to all the circumstances, to expect that P would (if P chose to) be able, in most cases or in significant respects, by whatever means and, whether directly or indirectly, to achieve the result that affairs of C are conducted in accordance with P’s wishes.
(5) For the purposes of regulation 6(2)(d), the reference to a person who is “associated” with another person includes, in particular, a person who is a family member of Bashar al-Assad or Rami Makhlouf.
(6) The following definitions apply for the purposes of this regulation and regulation 6—
“family member” has the same meaning as it has in paragraph 2(4) in Part 2 of Schedule 6 (Treasury licences: purposes);
“militia” means a foreign, national or local armed group that is not part of the Syrian Armed Forces or the Syrian security and intelligence services;
“prohibited activities related to chemical weapons” means—
(a)
developing, producing, acquiring, stockpiling or retaining chemical weapons,
(b)
transferring, directly or indirectly, chemical weapons to any person,
(c)
using chemical weapons,
(d)
engaging in any military preparations to use chemical weapons, and
(e)
providing assistance to, encouraging or inducing any person to engage in any activity falling within sub-paragraphs (a) to (d).
Notification and publicity where designation power used
8.—(1) Paragraph (2) applies where the Secretary of State—
(a)has made a designation under regulation 5, or
(b)has by virtue of section 22 of the Act varied or revoked a designation made under that regulation.
(2) The Secretary of State—
(a)must without delay take such steps as are reasonably practicable to inform the designated person of the designation, variation or revocation, and
(b)must take steps to publicise the designation, variation or revocation.
(3) The information given under paragraph (2)(a) where a designation is made must include a statement of reasons.
(4) In this regulation a “statement of reasons”, in relation to a designation, means a brief statement of the matters that the Secretary of State knows, or has reasonable grounds to suspect, in relation to the designated person which have led the Secretary of State to make the designation.
(5) Matters that would otherwise be required by paragraph (4) to be included in a statement of reasons may be excluded from it where the Secretary of State considers that they should be excluded—
(a)in the interests of national security or international relations,
(b)for reasons connected with the prevention or detection of serious crime in the United Kingdom or elsewhere, or
(c)in the interests of justice.
(6) The steps taken under paragraph (2)(b) must—
(a)unless one or more of the restricted publicity conditions is met, be steps to publicise generally—
(i)the designation, variation or revocation, and
(ii)in the case of a designation, the statement of reasons;
(b)if one or more of those conditions is met, be steps to inform only such persons as the Secretary of State considers appropriate of the designation, variation or revocation and (in the case of a designation) of the contents of the statement of reasons.
(7) The “restricted publicity conditions” are as follows—
(a)the designation is of a person believed by the Secretary of State to be an individual under the age of 18;
(b)the Secretary of State considers that disclosure of the designation, variation or revocation should be restricted—
(i)in the interests of national security or international relations,
(ii)for reasons connected with the prevention or detection of serious crime in the United Kingdom or elsewhere, or
(iii)in the interests of justice.
(8) Paragraph (9) applies if—
(a)when a designation is made, one or more of the restricted publicity conditions is met, but
(b)at any time when the designation has effect, it becomes the case that none of the restricted publicity conditions is met.
(9) The Secretary of State must—
(a)take such steps as are reasonably practicable to inform the designated person that none of the restricted publicity conditions is now met, and
(b)take steps to publicise generally the designation and the statement of reasons relating to it.
Confidential information in certain cases where designation power used
9.—(1) Where the Secretary of State in accordance with regulation 8(6)(b) informs only certain persons of a designation, variation or revocation and (in the case of a designation) of the contents of the statement of reasons, the Secretary of State may specify that any of that information is to be treated as confidential.
(2) A person (“P”) who—
(a)is provided with information that is to be treated as confidential in accordance with paragraph (1), or
(b)otherwise obtains such information,
must not, subject to paragraph (3), disclose it if P knows, or has reasonable cause to suspect, that the information is to be treated as confidential.
(3) The prohibition in paragraph (2) does not apply to any disclosure made by P with lawful authority.
(4) For this purpose information is disclosed with lawful authority only if and to the extent that—
(a)the disclosure is by, or is authorised by, the Secretary of State,
(b)the disclosure is by or with the consent of the person who is or was the subject of the designation,
(c)the disclosure is necessary to give effect to a requirement imposed under or by virtue of these Regulations or any other enactment, or
(d)the disclosure is required, under rules of court, tribunal rules or a court or tribunal order, for the purposes of legal proceedings of any description.
(5) This regulation does not prevent the disclosure of information that is already, or has previously been, available to the public from other sources.
(6) A person who contravenes the prohibition in paragraph (2) commits an offence.
(7) The High Court (in Scotland, the Court of Session) may, on the application of—
(a)the person who is the subject of the information, or
(b)the Secretary of State,
grant an injunction (in Scotland, an interdict) to prevent a breach of the prohibition in paragraph (2).
(8) In paragraph (4)(c), “enactment” has the meaning given by section 54(6) of the Act.
PART 3Finance
CHAPTER 1Asset-freeze etc
Meaning of “designated person” in Chapter 1 of Part 3
10. In this Chapter, a “designated person” means a person who is designated under regulation 5 for the purposes of regulations 11 to 15.
Asset-freeze in relation to designated persons
11.—(1) A person (“P”) must not deal with funds or economic resources owned, held or controlled by a designated person if P knows, or has reasonable cause to suspect, that P is dealing with such funds or economic resources.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) A person who contravenes the prohibition in paragraph (1) commits an offence.
(4) For the purposes of paragraph (1) a person “deals with” funds if the person—
(a)uses, alters, moves, transfers or allows access to the funds,
(b)deals with the funds in any other way that would result in any change in volume, amount, location, ownership, possession, character or destination, or
(c)makes any other change, including portfolio management, that would enable use of the funds.
(5) For the purposes of paragraph (1) a person “deals with” economic resources if the person—
(a)exchanges the economic resources for funds, goods or services, or
(b)uses the economic resources in exchange for funds, goods or services (whether by pledging them as security or otherwise).
(6) The reference in paragraph (1) to funds or economic resources that are “owned, held or controlled” by a person includes, in particular, a reference to—
(a)funds or economic resources in which the person has any legal or equitable interest, regardless of whether the interest is held jointly with any other person and regardless of whether any other person holds an interest in the funds or economic resources;
(b)any tangible property (other than real property), or bearer security, that is comprised in funds or economic resources and is in the possession of the person.
(7) For the purposes of paragraph (1) funds or economic resources are to be treated as owned, held or controlled by a designated person if they are owned, held or controlled by a person who is owned or controlled directly or indirectly (within the meaning of regulation 7) by the designated person.
(8) For the avoidance of doubt, the reference in paragraph (1) to a designated person includes P if P is a designated person.
Making funds available to designated persons
12.—(1) A person (“P”) must not make funds available directly or indirectly to a designated person if P knows, or has reasonable cause to suspect, that P is making the funds so available.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) A person who contravenes the prohibition in paragraph (1) commits an offence.
(4) The reference in paragraph (1) to making funds available indirectly to a designated person includes, in particular, a reference to making them available to a person who is owned or controlled directly or indirectly (within the meaning of regulation 7) by the designated person.
Making funds available for benefit of designated persons
13.—(1) A person (“P”) must not make funds available to any person for the benefit of a designated person if P knows, or has reasonable cause to suspect, that P is making the funds so available.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) A person who contravenes the prohibition in paragraph (1) commits an offence.
(4) For the purposes of this regulation—
(a)funds are made available for the benefit of a designated person only if that person thereby obtains, or is able to obtain, a significant financial benefit, and
(b)“financial benefit” includes the discharge (or partial discharge) of a financial obligation for which the designated person is wholly or partly responsible.
Making economic resources available to designated persons
14.—(1) A person (“P”) must not make economic resources available directly or indirectly to a designated person if P knows, or has reasonable cause to suspect—
(a)that P is making the economic resources so available, and
(b)that the designated person would be likely to exchange the economic resources for, or use them in exchange for, funds, goods or services.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) A person who contravenes the prohibition in paragraph (1) commits an offence.
(4) The reference in paragraph (1) to making economic resources available indirectly to a designated person includes, in particular, a reference to making them available to a person who is owned or controlled directly or indirectly (within the meaning of regulation 7) by the designated person.
Making economic resources available for benefit of designated persons
15.—(1) A person (“P”) must not make economic resources available to any person for the benefit of a designated person if P knows, or has reasonable cause to suspect, that P is making the economic resources so available.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) A person who contravenes the prohibition in paragraph (1) commits an offence.
(4) For the purposes of paragraph (1)—
(a)economic resources are made available for the benefit of a designated person only if that person thereby obtains, or is able to obtain, a significant financial benefit, and
(b)“financial benefit” includes the discharge (or partial discharge) of a financial obligation for which the designated person is wholly or partly responsible.
CHAPTER 2Investment, financial services and financial markets
UK credit or financial institutions: accounts and correspondent banking relationships etc
16.—(1) A UK credit or financial institution must not—
(a)open a bank account with,
(b)establish a correspondent banking relationship with, or
(c)establish a joint venture with,
a person falling within paragraph (2), if the UK credit or financial institution knows or has reasonable cause to suspect that the bank account, correspondent banking relationship or joint venture is with a person falling within paragraph (2).
(2) The following persons fall within this paragraph—
(a)a credit or financial institution domiciled in Syria;
(b)a branch or subsidiary, wherever located, of a credit or financial institution domiciled in Syria;
(c)a credit or financial institution that is not domiciled in Syria but is owned or controlled directly or indirectly (within the meaning of regulation 7) by a person domiciled in Syria.
(3) A UK credit or financial institution must not—
(a)open a representative office of that institution in Syria, or
(b)establish a branch or subsidiary of that institution in Syria.
(4) Paragraphs (1)(a) and (3) are subject to Part 7 (Exceptions and licences).
(5) Sub-paragraphs (b) and (c) of paragraph (1) are subject to regulation 60 (exception for acts done for purposes of national security or prevention of serious crime).
(6) A person who contravenes a prohibition in paragraph (1) or (3) commits an offence.
Opening of, or taking up of business by, a representative office, branch or subsidiary of Syrian credit or financial institution
17.—(1) A person (“P”) must not—
(a)open a representative office or establish a branch or subsidiary in the United Kingdom of a person falling within regulation 16(2);
(b)enter into an arrangement for, or on behalf of, a person falling within regulation 16(2) which relates to the opening of a representative office or the establishment of a branch or subsidiary in the United Kingdom, if P knows or has reasonable cause to suspect that the arrangement is for, or on behalf of, such a person;
(c)authorise the taking up and pursuit of business by a representative office, branch or subsidiary of a person falling within regulation 16(2), if the representative office, branch or subsidiary was not operational before 19 January 2012.
(2) Paragraph (1) is subject to regulation 60 (exception for acts done for purposes of national security or prevention of serious crime).
(3) A person who contravenes a prohibition in paragraph (1) commits an offence.
Acquisition or extension of ownership interest by Syrian credit or financial institution
18.—(1) A person falling within regulation 16(2) must not directly or indirectly acquire or extend a participation, or acquire any ownership interest, in a UK credit or financial institution.
(2) Paragraph (1) is subject to regulation 60 (exception for acts done for purposes of national security or prevention of serious crime).
(3) A person who contravenes the prohibition in paragraph (1) commits an offence.
Sale or purchase of bonds
19.—(1) A person (“P”) must not directly or indirectly—
(a)sell to a person falling within paragraph (4), or
(b)purchase from such a person,
Syrian bonds or bonds guaranteed by the Syrian regime and issued after 19 January 2012 if P knows, or has reasonable cause to suspect, that the sale or purchase of such bonds is directly or indirectly to or from such a person.
(2) A person (“P”) must not provide brokering services to a person falling within paragraph (4) in respect of Syrian bonds or bonds guaranteed by the Syrian regime and issued after 19 January 2012, if P knows, or has reasonable cause to suspect, that the person falls within paragraph (4).
(3) A person (“P”) must not provide—
(a)brokering services,
(b)advertising services, or
(c)any other service,
if P knows, or has reasonable cause to suspect, that the provision of the service assists a person falling within paragraph (4) to issue Syrian bonds or bonds guaranteed by the Syrian regime.
(4) The following persons fall within this paragraph—
(a)the Syrian regime;
(b)a person falling within regulation 16(2) (Syrian credit or financial institutions);
(c)a person acting on behalf of or at the direction of a person falling within sub-paragraph (a) or (b);
(d)a person, other than an individual, which is owned or controlled directly or indirectly (within the meaning of regulation 7) by a person falling within sub-paragraph (a), (b) or (c).
(5) Paragraphs (1) to (3) are subject to regulation 60 (exception for acts done for purposes of national security or prevention of serious crime).
(6) A person who contravenes a prohibition in paragraph (1) to (3) commits an offence.
(7) For the purposes of this regulation, “Syrian bonds” means bonds issued by the Syrian regime.
Insurance and reinsurance services
20.—(1) A person (“P”) must not provide insurance or reinsurance services to the Syrian regime if P knows, or has reasonable cause to suspect, that P is providing such services to the Syrian regime.
(2) Paragraph (1) is subject to regulations 56 and 60 (exceptions).
(3) A person who contravenes the prohibition in paragraph (1) commits an offence.
(4) Nothing in this regulation prohibits compliance with an insurance or reinsurance agreement concluded before 19 January 2012.
(5) For the purposes of this regulation—
(a)“insurance and reinsurance services” include the provision of services relating to the extension or renewal of an insurance or reinsurance agreement, except where there is an obligation, which arose before 19 January 2012, of the insurer or re-insurer to accept the extension or renewal;
(b)“the Syrian regime” has the same meaning that it has in regulation 2, except that “a person acting on its behalf or under its direction” does not include any person who is acting under a direction which is given in relation to a ship or aircraft for the purposes of docking, loading or unloading the ship or aircraft or for any purpose in connection with the safe transit of the ship or aircraft in the territorial sea adjacent to Syria or in the airspace above it.
Investments in relation to crude oil and electricity production
21.—(1) A person (“P”) must not directly or indirectly grant a loan or credit to a relevant entity (“E”), where P knows or has reasonable cause to suspect that E is a relevant entity.
(2) A person (“P”) must not directly or indirectly acquire or extend a participation, or acquire any ownership interest, in a relevant entity (“E”), where P knows or has reasonable cause to suspect that E is a relevant entity.
(3) A person (“P”) must not directly or indirectly create a joint venture with a relevant entity (“E”), where P knows or has reasonable cause to suspect that E is a relevant entity.
(4) But paragraphs (1) to (3) are not contravened by anything done in compliance with a contract or agreement which—
(a)relates to the exploration, production or refining of crude oil and which was concluded before 23 September 2011, or
(b)relates to the construction or installation of a new power plant for electricity production and which was concluded before 19 January 2012.
(5) Paragraphs (1) to (3) are subject to Part 7 (Exceptions and licences).
(6) A person who contravenes a prohibition in paragraphs (1) to (3) commits an offence.
(7) For the purposes of paragraphs (1) to (3), “a relevant entity” is any person connected with Syria (within the meaning of regulation 27(5)), who is engaged in—
(a)the exploration, production or refining of crude oil, or
(b)the construction or installation of a new power plant for electricity production.
(8) In this regulation—
“crude oil” has the same meaning given to it in paragraph 3 in Part 2 of Schedule 2;
“exploration of crude oil” includes the exploration for, prospecting for and the management of crude oil reserves, as well as the provision of geological services in relation to such reserves;
“petroleum products” has the same meaning given to it in paragraph 4 in Part 2 of Schedule 2;
“refining of crude oil” means the processing, conditioning or preparation of oil for the production of petroleum products or any intermediate streams.
CHAPTER 3Interpretation and further provision
Circumventing etc prohibitions
22.—(1) A person must not intentionally participate in activities knowing that the object or effect of them is, whether directly or indirectly—
(a)to circumvent any of the prohibitions in regulations 11 to 21, or
(b)to enable or facilitate the contravention of any such prohibition.
(2) A person who contravenes a prohibition in paragraph (1) commits an offence.
Interpretation of Part 3
23.—(1) In this Part—
“branch” means—
(a)
in relation to a UK credit or financial institution, a place of business which forms a legally dependent part of that institution and which carries out all or some of the transactions inherent in the business of that institution, or
(b)
in relation to a credit or financial institution domiciled in Syria, a place of business which forms a legally dependent part of that institution and which carries out all or some of the transactions inherent in the business of that institution;
“credit or financial institution domiciled in Syria” means a person, other than an individual, who—
(a)
in the case of an undertaking domiciled in Syria, by way of business—
(i)
operates a currency exchange office,
(ii)
transmits money (or any representation of monetary value) by any means, or
(iii)
cashes cheques that are made payable to customers, and
(b)
in the case of any other person domiciled in Syria, would satisfy the threshold conditions for permission under Part 4A of the Financial Services and Markets Act 2000() if it had its registered office (or if it does not have one, its head office) in the United Kingdom;
“subsidiary” has the meaning given by section 1159 of the Companies Act 2006();
“UK credit or financial institution” means—
(a)
a person that has permission under Part 4A of the Financial Services and Markets Act 2000 (permission to carry on regulated activity), or
(b)
an undertaking which by way of business—
(i)
operates a currency exchange office,
(ii)
transmits money (or any representation of monetary value) by any means, or
(iii)
cashes cheques that are made payable to customers.
(2) In paragraph (1), the definitions of—
(a)“credit or financial institution domiciled in Syria”, and
(b)“UK credit or financial institution”,
are to be read with section 22 of the Financial Services and Markets Act 2000(), any relevant order under that section() and Schedule 2 to that Act().
PART 4Immigration
Immigration
24. A person who is designated under regulation 5 for the purposes of this regulation is an excluded person for the purposes of section 8B of the Immigration Act 1971().
PART 5Trade
CHAPTER 1Interpretation
Definitions relating to goods and technology prohibited under Part 5
25.—(1) For the purposes of this Part—
“arms and related materiel” means—
(b)
any thing which is, or would be, classified under chapter 93 of the Goods Classification Table, other than military goods;
“aviation fuel and aviation fuel additives” has the meaning given to it in paragraph 2 in Part 2 of Schedule 2;
“bank notes or coinage” means newly printed or unissued Syrian-denominated bank notes and minted coinage;
“crude oil and petroleum products” has the meaning given to it in paragraphs 3 and 4 in Part 2 of Schedule 2;
“gold, precious metals or diamonds” has the meaning given to it in paragraph 6 in Patr 2 of Schedule 2;
“the Goods Classification Table” has the same meaning as it has in paragraph 1(3) in Part 1 of Schedule 2;
“goods relating to chemical and biological weapons” means—
(a)
any thing specified in Schedule 3, other than technology relating to chemical and biological weapons (but see paragraph (3)), and
(b)
any tangible storage medium on which technology relating to chemical and biological weapons is recorded or from which it can be derived;
“goods relating to crude oil and natural gas” means anything specified in Annex Ⅵ of the EU Syria Regulation, other than—
(a)
technology relating to crude oil and natural gas, and
“goods relating to electricity production” has the meaning given to it in paragraph 5 in Part 2 of Schedule 2;
“interception and monitoring goods” means any item mentioned in sub-paragraph (a) or (b), provided that it may be used for interception and monitoring services—
(a)
a relevant Schedule 4 item;
(b)
any tangible storage medium on which interception and monitoring technology is recorded or from which it can be derived;
“interception and monitoring technology” means any thing—
(a)
which is described as software in paragraph 2 of Schedule 4 provided that it may be used for interception and monitoring services, and
(b)
which is described as software or other technology in paragraph 3 of Schedule 4,
(but see paragraph (5));
“internal repression goods” means—
(a)
any thing specified in Schedule 5, other than—
(i)
any thing which is internal repression technology,
(ii)
any thing for the time being specified in Schedule 2 to the Export Control Order 2008(), or
(iii)
any thing for the time being specified in Annex I of the Dual-Use Regulation, and
(b)
any tangible storage medium on which internal repression technology is recorded or from which it can be derived;
“internal repression technology” means any thing which is described in Schedule 5 as software or technology;
“luxury goods” has the meaning given to it in paragraph 7 in Part 2 of Schedule 2;
“military goods” means—
(a)
any thing for the time being specified in Schedule 2 to the Export Control Order 2008, other than any thing which is military technology, and
(b)
any tangible storage medium on which military technology is recorded or from which it can be derived;
“military technology” means any thing for the time being specified in Schedule 2 to the Export Control Order 2008 which is described as software or technology;
“technology relating to chemical and biological weapons” means any thing specified as technology or software in Schedule 3, other than technology which is—
(a)
the minimum necessary for—
(i)
the installation, operation, maintenance and repair of any goods which are not subject to a prohibition under this Part, or
(b)
in the public domain, or
(c)
basic scientific research;
“technology relating to crude oil and natural gas” means any thing specified as technology or software in Annex Ⅵ of the EU Syria Regulation, other than military technology.
(2) For the purpose of the definition of “arms and related materiel” in paragraph (1), paragraph 1(2) in Part 1 of Schedule 2 (the rules of interpretation for the purpose of determining whether or not a thing is “classified”) applies.
(3) The definition of “goods relating to chemical and biological weapons” does not apply to anything specified in Part 3 of Schedule 3, other than Isopropanol (as specified in paragraph 6(p) of that Part), which are consumer goods packaged for—
(a)retail sale for an individual’s personal use, or
(b)individual use.
(4) For the purpose of the definition of “interception and monitoring goods” in paragraph (1) “a relevant Schedule 4 item” means any thing described in Schedule 4, other than—
(a)any thing which is interception and monitoring technology, or
(b)any thing for the time being specified in—
(i)Schedule 2 to the Export Control Order 2008, or
(ii)Annex I of the Dual-Use Regulation.
(5) The definition of “interception and monitoring technology” does not apply to software which is—
(a)generally available to the public, or
(b)in the public domain.
Definition of “interception and monitoring services”
26.—(1) For the purposes of this Part, “interception and monitoring services” means any service that has as its object or effect the interception of a communication in the course of its transmission by means of a telecommunication system.
(2) A person intercepts a communication in the course of its transmission by means of a telecommunication system if, and only if—
(a)the person does a relevant act in relation to the system, and
(b)the effect of the relevant act is to make any content of the communication available, at a relevant time, to a person who is not the sender or intended recipient of the communication.
(3) In paragraph (2) a “relevant act”, in relation to a telecommunication system, means—
(a)modifying, or interfering with, the system or its operation;
(b)monitoring transmissions made by means of the system;
(c)monitoring transmissions made by wireless telegraphy to or from apparatus that is part of the system.
(4) In paragraph (2), a “relevant time”, in relation to a communication transmitted by means of a telecommunication system, means—
(a)any time while the communication is being transmitted, and
(b)any time when the communication is stored in or by the system (whether before or after its transmission).
(5) For the purpose of paragraph (2), the cases in which any content of a communication is to be taken to be made available to a person at a relevant time include any case in which any of the communication is diverted or recorded at a relevant time so as to make the content of the communication available to a person after that time.
(6) In paragraph (3), references to modifying a telecommunication system include references to attaching any apparatus to, or otherwise modifying or interfering with—
(a)any part of the system, or
(b)any wireless telegraphy apparatus used for making transmissions to or from apparatus that is part of the system.
(7) For the purposes of this regulation, the following definitions also apply—
“apparatus” includes any equipment, machinery or device (whether physical or logical) and any wire or cable;
“communication”, for the purpose of a telecommunication system, includes—
(a)
anything comprising speech, music, sounds, visual images or data of any description, and
(b)
signals serving for the impartation of anything between persons, between a person and a thing or between things, for the actuation or control of any apparatus;
“content”, in relation to a communication and a telecommunication system, means any element of the communication, or any data attached to or logically associated with the communication, which reveals anything of what might reasonably be considered to be the meaning (if any) of the communication, but—
(c)
any meaning arising from the fact of the communication or from any data relating to the transmission of the communication is to be disregarded, and
(d)
anything which is systems data is not content;
“systems data” means any data that enables or facilitates, or identifies or describes anything connected with enabling or facilitating, the functioning of a telecommunication system (including any apparatus forming part of the system);
“a telecommunication system” means a system (including the apparatus comprised in it) that exists for the purpose of facilitating the transmission of communications by any means involving the use of electrical or electromagnetic energy;
“wireless telegraphy” and “wireless telegraphy apparatus” have the same meaning as in sections 116 and 117 of the Wireless Telegraphy Act 2006().
Interpretation of other expressions used in Part 5
27.—(1) Paragraphs 32 to 36 of Schedule 1 to the Act (trade sanctions) apply for the purpose of interpreting expressions in this Part.
(2) In this Part, any reference to the United Kingdom includes a reference to the territorial sea.
(3) In this Part—
(a)the following definitions apply—
“technical assistance”, in relation to goods or technology, means—
(i)
technical support relating to the repair, development, production, assembly, testing, use or maintenance of the goods or technology, or
(ii)
any other technical service relating to the goods or technology;
“transfer” has the meaning given by paragraph 37 of Schedule 1 to the Act;
(b)
the following terms have the meaning given to them in the Dual-Use Regulation—
“basic scientific research”;
“in the public domain”.
(4) For the purpose of regulation 25(5), software is “generally available to the public” if the software is sold from stock at retail selling points without restriction, by means of—
(a)over the counter transactions,
(b)mail order transactions,
(c)electronic transactions, or
(d)telephone order transactions.
(5) For the purposes of Chapters 2 and 4, a person is to be regarded as “connected with” Syria if the person is—
(a)an individual who is, or an association or combination of individuals who are, ordinarily resident in Syria,
(b)an individual who is, or an association or combination of individuals who are, located in Syria,
(c)a person, other than an individual, which is incorporated or constituted under the law of Syria, or
(d)a person, other than an individual, which is domiciled in Syria.
(6) For the purposes of Chapter 4, “a Syrian regime person” means—
(a)the Syrian regime;
(b)the Central Bank of Syria;
(c)a person acting on behalf, or at the direction, of a person mentioned in sub-paragraph (a) or (b);
(d)a person who is not an individual and who is owned or controlled directly or indirectly (within the meaning of regulation 7) by a person mentioned in sub-paragraph (a) or (b).
CHAPTER 2Trade prohibitions relating to export, supply, sale and transfer
Application of prohibitions in Chapter 2 of Part 5
28.—(1) Except where otherwise provided, the prohibitions contained in this Chapter apply to the goods falling within paragraph (2) and the technology falling within paragraph (3).
(2) The following goods fall within this paragraph—
(a)aviation fuel and aviation fuel additives (but not for the purpose of regulation 33 (technical assistance));
(b)goods relating to chemical and biological weapons;
(c)goods relating to crude oil and natural gas;
(d)interception and monitoring goods;
(e)internal repression goods.
(3) The following technology falls within this paragraph—
(a)interception and monitoring technology;
(b)internal repression technology;
(c)technology relating to chemical and biological weapons;
(d)technology relating to crude oil and natural gas.
Export prohibition
29.—(1) The export of goods to which this paragraph applies to, or for use in, Syria is prohibited.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
Supply and delivery prohibition
30.—(1) A person must not directly or indirectly supply or deliver goods to which this paragraph applies from a third country to a place in Syria.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) A person who contravenes the prohibition in paragraph (1) commits an offence, but it is a defence for a person charged with that offence to show that the person did not know and had no reasonable cause to suspect that the goods were destined (or ultimately destined) for Syria.
(4) In this regulation “third country” means a country that is not the United Kingdom, the Isle of Man or Syria.
Prohibition in connection with making goods and technology available
31.—(1) A person must not—
(a)directly or indirectly make goods or technology to which this paragraph applies available to a person connected with Syria, or
(b)directly or indirectly make goods or technology to which this paragraph applies available for use in Syria.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) A person who contravenes a prohibition in paragraph (1) commits an offence, but—
(a)it is a defence for a person charged with the offence of contravening paragraph (1)(a) (“P”) to show that P did not know and had no reasonable cause to suspect that the person was connected with Syria;
(b)it is a defence for a person charged with the offence of contravening paragraph (1)(b) to show that the person did not know and had no reasonable cause to suspect that the goods or technology were for use in Syria.
Transfer of technology prohibition
32.—(1) A person must not—
(a)transfer technology to which this paragraph applies to a place in Syria, or
(b)transfer technology to which this paragraph applies to a person connected with Syria.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) A person who contravenes a prohibition in paragraph (1) commits an offence, but—
(a)it is a defence for a person charged with the offence of contravening paragraph (1)(a) to show that the person did not know and had no reasonable cause to suspect that the transfer was to a place in Syria;
(b)it is a defence for a person charged with the offence of contravening paragraph (1)(b) (“P”) to show that P did not know and had no reasonable cause to suspect that the person was connected with Syria.
Prohibition relating to the associated provision of technical assistance
33.—(1) A person must not directly or indirectly provide technical assistance relating to goods or technology to which this paragraph applies—
(a)to a person connected with Syria, or
(b)for use in Syria.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) A person who contravenes a prohibition in paragraph (1) commits an offence, but—
(a)it is a defence for a person charged with the offence of contravening paragraph (1)(a) (“P”) to show that P did not know and had no reasonable cause to suspect that the person was connected with Syria;
(b)it is a defence for a person charged with the offence of contravening paragraph (1)(b) to show that the person did not know and had no reasonable cause to suspect that the goods or technology were for use in Syria.
(4) This regulation does not apply to aviation fuel and aviation fuel additives.
Prohibitions relating to the associated provision of financial services and funds
34.—(1) A person must not directly or indirectly provide, to a person connected with Syria, financial services in pursuance of or in connection with an arrangement whose object or effect is—
(a)the export of goods to which this paragraph applies,
(b)the direct or indirect supply or delivery of goods to which this paragraph applies,
(c)directly or indirectly making goods or technology to which this paragraph applies available to a person,
(d)the transfer of technology to which this paragraph applies, or
(e)the direct or indirect provision of technical assistance relating to goods or technology to which this paragraph applies.
(2) A person must not directly or indirectly make funds available to a person connected with Syria in pursuance of or in connection with an arrangement mentioned in paragraph (1).
(3) A person must not directly or indirectly provide financial services or funds in pursuance of or in connection with an arrangement whose object or effect is—
(a)the export of goods to which this paragraph applies to, or for use in, Syria,
(b)the direct or indirect supply or delivery of goods to which this paragraph applies to a place in Syria,
(c)directly or indirectly making goods or technology to which this paragraph applies available—
(i)to a person connected with Syria, or
(ii)for use in Syria,
(d)the transfer of technology to which this paragraph applies —
(i)to a person connected with Syria, or
(ii)to a place in Syria, or
(e)the direct or indirect provision of technical assistance relating to goods or technology to which this paragraph applies —
(i)to a person connected with Syria, or
(ii)for use in Syria.
(4) Paragraphs (1) to (3) are subject to Part 7 (Exceptions and licences).
(5) A person who contravenes a prohibition in any of paragraphs (1) to (3) commits an offence, but—
(a)it is a defence for a person charged with an offence of contravening paragraph (1) or (2) (“P”) to show that P did not know and had no reasonable cause to suspect that the person was connected with Syria;
(b)it is a defence for a person charged with an offence of contravening a prohibition in paragraph (3) to show that the person did not know and had no reasonable cause to suspect that the financial services or funds (as the case may be) were provided in pursuance of or in connection with an arrangement mentioned in that paragraph.
Prohibitions relating to the associated provision of brokering services: non-UK activity
35.—(1) A person must not directly or indirectly provide brokering services in relation to an arrangement (“arrangement A”) whose object or effect is—
(a)the direct or indirect supply or delivery of goods to which this paragraph applies from a third country to a place in Syria,
(b)directly or indirectly making goods to which this paragraph applies available in a third country for direct or indirect supply or delivery—
(i)to a person connected with Syria, or
(ii)to a place in Syria,
(c)directly or indirectly making technology to which this paragraph applies available in a third country for transfer—
(i)to a person connected with Syria, or
(ii)to a place in Syria,
(d)the transfer of technology to which this paragraph applies from a place in a third country—
(i)to a person connected with Syria, or
(ii)to a place in Syria,
(e)the direct or indirect provision, in a non-UK country, of technical assistance relating to goods or technology to which this paragraph applies —
(i)to a person connected with Syria, or
(ii)for use in Syria,
(f)the direct or indirect provision, in a non-UK country, of financial services—
(i)to a person connected with Syria, where arrangement A, or any other arrangement in connection with which arrangement A is entered into, is an arrangement mentioned in regulation 34(1), or
(ii)where arrangement A, or any other arrangement in connection with which arrangement A is entered into, is an arrangement mentioned in regulation 34(3),
(g)directly or indirectly making funds available, in a non-UK country, to a person connected with Syria, where arrangement A, or any other arrangement in connection with which arrangement A is entered into, is an arrangement mentioned in regulation 34(1), or
(h)the direct or indirect provision of funds from a non-UK country, where arrangement A, or any other arrangement in connection with which arrangement A is entered into, is an arrangement mentioned in regulation 34(3).
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) A person who contravenes a prohibition in paragraph (1) commits an offence, but it is a defence for a person charged with that offence to show that the person did not know and had no reasonable cause to suspect that the brokering services were provided in relation to an arrangement mentioned in that paragraph.
(4) In this regulation—
“non-UK country” means a country that is not the United Kingdom;
“third country” means—
(a)
for the purposes of paragraph (1)(a) and (b), a country that is not the United Kingdom, the Isle of Man or Syria, and
(b)
for the purposes of any other provision of paragraph (1), a country that is not the United Kingdom or Syria.
CHAPTER 3Trade prohibitions relating to import, purchase and transportation
Import of arms and related materiel, crude oil and petroleum products
36.—(1) The import of the following goods which are consigned from Syria is prohibited—
(a)arms and related materiel;
(b)crude oil and petroleum products.
(2) The import of the goods mentioned in paragraph (1) which originate in Syria is prohibited.
(3) Paragraphs (1) and (2) are subject to Part 7 (Exceptions and licences).
Purchase of military goods and technology, crude oil and petroleum products
37.—(1) A person must not—
(a)directly or indirectly acquire goods or technology to which this paragraph applies which originate in Syria;
(b)directly or indirectly acquire goods or technology to which this paragraph applies which are located in Syria.
(2) Paragraph (1) applies to—
(a)crude oil and petroleum products,
(b)military goods, and
(c)military technology.
(3) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(4) A person who contravenes a prohibition in paragraph (1) commits an offence, but—
(a)it is a defence for a person charged with the offence of contravening paragraph (1)(a) to show that the person did not know and had no reasonable cause to suspect that the goods or technology originated in Syria;
(b)it is a defence for a person charged with the offence of contravening paragraph (1)(b) to show that the person did not know and had no reasonable cause to suspect that the goods or technology were located in Syria.
Transport of military goods, crude oil and petroleum products
38.—(1) A person must not directly or indirectly supply or deliver goods to which this paragraph applies from a place in Syria to a third country where those goods—
(a)originate in Syria, or
(b)are consigned from Syria.
(2) A person must not directly or indirectly supply or deliver crude oil and petroleum products from a place in a non-UK country to a place in a different non-UK country where the crude oil or petroleum products originate in Syria.
(3) Paragraph (1) applies to—
(a)crude oil and petroleum products, and
(b)military goods.
(4) Paragraphs (1) and (2) are subject to Part 7 (Exceptions and licences).
(5) A person who contravenes a prohibition in paragraph (1) or (2) commits an offence, but—
(a)it is a defence for a person charged with the offence of contravening paragraph (1)(a) or (2) to show that the person did not know and had no reasonable cause to suspect that the goods originated in Syria;
(b)it is a defence for a person charged with the offence of contravening paragraph (1)(b) to show that the person did not know and had no reasonable cause to suspect that the goods were consigned from Syria.
(6) In this regulation—
“non-UK country” means a country that is not the United Kingdom or the Isle of Man;
“third country” means a country that is not the United Kingdom, the Isle of Man or Syria.
Transfer of military technology
39.—(1) A person must not transfer military technology to persons outside the United Kingdom or to a place outside the United Kingdom, where the transfer is from a place in Syria.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) A person who contravenes the prohibition in paragraph (1) commits an offence, but it is a defence for a person charged with the offence to show that the person did not know and had no reasonable cause to suspect that the transfer was from a place in Syria.
Prohibitions relating to the associated provision of financial services and funds
40.—(1) A person must not directly or indirectly provide financial services or funds in pursuance of or in connection with an arrangement whose object or effect is—
(a)the import of goods to which regulation 36 applies which—
(i)originate in Syria, or
(ii)are consigned from Syria;
(b)the direct or indirect acquisition of goods or technology to which regulation 37(1) applies—
(i)originating in Syria, or
(ii)located in Syria;
(c)the direct or indirect supply or delivery of goods to which regulation 38(1) applies from a place in Syria to a third country, where those goods—
(i)originate in Syria, or
(ii)are consigned from Syria;
(d)the direct or indirect supply or delivery of crude oil and petroleum products from a place in a non-UK country to a place in a different non-UK country where the crude oil or petroleum products originate in Syria;
(e)the transfer of military technology to persons outside the United Kingdom or to a place outside the United Kingdom where the transfer is from a place in Syria.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) A person who contravenes a prohibition in paragraph (1) commits an offence, but it is a defence for a person charged with an offence of contravening a prohibition in paragraph (1) to show that the person did not know and had no reasonable cause to suspect that the financial services or funds (as the case may be) were provided in pursuance of or in connection with an arrangement mentioned in that paragraph.
CHAPTER 4Trade prohibitions relating to particular categories of goods
Bank notes or coinage
41.—(1) The export of bank notes or coinage to, or for the benefit of, the Central Bank of Syria is prohibited.
(2) A person must not directly or indirectly—
(a)supply or deliver bank notes or coinage from a third country to, or for the benefit of, the Central Bank of Syria;
(b)make bank notes or coinage available to, or for the benefit of, the Central Bank of Syria.
(3) Paragraphs (1) and (2) are subject to Part 7 (Exceptions and licences).
(4) A person who contravenes a prohibition in paragraph (2) commits an offence, but—
(a)it is a defence for a person charged with an offence of contravening paragraph (2)(a) (“P”) to show that P did not know and had no reasonable cause to suspect that the person to whom, or for whose benefit, the bank notes or coinage were supplied or delivered was the Central Bank of Syria;
(b)it is a defence for a person charged with an offence of contravening paragraph (2)(b) (“P”) to show that P did not know and had no reasonable cause to suspect that the person to whom, or for whose benefit, the bank notes or coinage were made available was the Central Bank of Syria.
(5) For the purposes of paragraph (2), “third country” means a country that is not the United Kingdom, the Isle of Man or Syria.
Goods prohibitions relating to gold, precious metals or diamonds
42.—(1) The export of gold, precious metals or diamonds to a Syrian regime person is prohibited.
(2) The import of gold, precious metals or diamonds consigned from a Syrian regime person is prohibited.
(3) A person must not directly or indirectly—
(a)supply or deliver gold, precious metals or diamonds from a third country to a Syrian regime person;
(b)make gold, precious metals or diamonds available to a Syrian regime person;
(c)supply or deliver gold, precious metals or diamonds from a Syrian regime person to a place in a non-UK country;
(d)acquire gold, precious metals or diamonds from a Syrian regime person.
(4) Paragraphs (1) to (3) are subject to Part 7 (Exceptions and licences).
(5) A person who contravenes a prohibition in paragraph (3) commits an offence, but it is a defence for a person charged with that offence (“P”) to show that P did not know and had no reasonable cause to suspect that the person was a Syrian regime person.
(6) In this regulation—
“non-UK country” means a country that is not the United Kingdom or the Isle of Man;
“third country” means a country that is not the United Kingdom, the Isle of Man or Syria.
Technical assistance relating to gold, precious metals or diamonds
43.—(1) A person must not directly or indirectly provide technical assistance relating to gold, precious metals or diamonds to a Syrian regime person.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) A person who contravenes the prohibition in paragraph (1) commits an offence, but it is a defence for a person charged with that offence (“P”) to show that P did not know and had no reasonable cause to suspect that the person was a Syrian regime person.
Financial services and funds relating to gold, precious metals or diamonds
44.—(1) A person must not directly or indirectly provide financial services to a Syrian regime person in pursuance of or in connection with an arrangement whose object or effect is—
(a)the export of gold, precious metals or diamonds,
(b)the import of gold, precious metals or diamonds,
(c)the direct or indirect supply or delivery of gold, precious metals or diamonds, or
(d)directly or indirectly making gold, precious metals or diamonds available to a person.
(2) A person must not directly or indirectly make funds available to a Syrian regime person in pursuance of or in connection with an arrangement mentioned in paragraph (1).
(3) A person must not directly or indirectly provide financial services or funds in pursuance of or in connection with an arrangement whose object or effect is—
(a)the export of gold, precious metals or diamonds to a Syrian regime person,
(b)the import of gold, precious metals or diamonds consigned from a Syrian regime person,
(c)the direct or indirect supply or delivery of gold, precious metals or diamonds to or from a Syrian regime person, or
(d)directly or indirectly making gold, precious metals or diamonds available to a Syrian regime person.
(4) Paragraphs (1) to (3) are subject to Part 7 (Exceptions and licences).
(5) A person who contravenes a prohibition in paragraph (1) or (2) commits an offence, but it is a defence for a person charged with an offence of contravening either of those paragraphs (“P”) to show that P did not know and had no reasonable cause to suspect that the person was a Syrian regime person.
(6) A person who contravenes the prohibition in paragraph (3) commits an offence, but it is a defence for a person charged with that offence to show that the person did not know and had no reasonable cause to suspect that the financial services or funds (as the case may be) were provided in pursuance of or in connection with an arrangement mentioned in that paragraph.
Brokering services: non-UK activity relating to gold, precious metals or diamonds
45.—(1) A person must not directly or indirectly provide brokering services to a Syrian regime person in relation to an arrangement (“arrangement A”) whose object or effect is—
(a)the direct or indirect supply or delivery of gold, precious metals or diamonds from a non-UK country to a different non-UK country,
(b)directly or indirectly making gold, precious metals or diamonds available, in a non-UK country, for supply or delivery to a different non-UK country,
(c)the direct or indirect acquisition, in a non-UK country, of gold, precious metals or diamonds for supply or delivery to a different non-UK country,
(d)the direct or indirect procurement, from a non-UK country, of technical assistance relating to gold, precious metals or diamonds,
(e)the direct or indirect procurement of financial services, from a non-UK country, where arrangement A, or any other arrangement in connection with which arrangement A is entered into, is an arrangement mentioned in regulation 44(1), or
(f)the direct or indirect provision of funds, from a non-UK country, where arrangement A, or any other arrangement in connection with which arrangement A is entered into, is an arrangement mentioned in regulation 44(1).
(2) A person must not directly or indirectly provide brokering services in relation to an arrangement (“arrangement A”) whose object or effect is—
(a)the direct or indirect supply or delivery of gold, precious metals or diamonds from a third country to a Syrian regime person,
(b)the direct or indirect supply or delivery of gold, precious metals or diamonds from a Syrian regime person to a place in a third country,
(c)directly or indirectly making gold, precious metals or diamonds available, in a third country, for direct or indirect supply or delivery to a Syrian regime person,
(d)the direct or indirect acquisition, in a third country, of gold, precious metals or diamonds from a Syrian regime person.
(3) Paragraphs (1) and (2) are subject to Part 7 (Exceptions and licences).
(4) A person who contravenes a prohibition in paragraph (1) commits an offence, but it is a defence for a person charged with that offence (“P”) to show that P did not know and had no reasonable cause to suspect that the person was a Syrian regime person.
(5) A person who contravenes a prohibition in paragraph (2) commits an offence, but it is a defence for a person charged with that offence to show that the person did not know and had no reasonable cause to suspect that the brokering services were provided in relation to an arrangement mentioned in that paragraph.
(6) In this regulation—
“non-UK country” means—
(a)
for the purposes of paragraph (1)(a), (b) and (c), a country that is not the United Kingdom or the Isle of Man, and
(b)
for the purposes of any other provision of this regulation, a country that is not the United Kingdom;
“third country” means a country that is not the United Kingdom, the Isle of Man or Syria.
Luxury goods
46.—(1) The export of luxury goods to Syria is prohibited.
(2) A person must not directly or indirectly supply or deliver luxury goods from a third country to a place in Syria.
(3) A person must not directly or indirectly make luxury goods available to a person connected with Syria.
(4) Paragraphs (1) to (3) are subject to Part 7 (Exceptions and licences).
(5) A person who contravenes a prohibition in paragraphs (2) or (3) commits an offence, but—
(a)it is a defence for a person charged with the offence of contravening paragraph (2) to show that the person did not know and had no reasonable cause to suspect that the goods were destined (or ultimately destined) for Syria;
(b)it is a defence for a person charged with the offence of contravening paragraph (3) (“P”) to show that P did not know and had no reasonable cause to suspect that the person was connected with Syria.
(6) In this regulation, “third country” means a country that is not the United Kingdom, the Isle of Man or Syria.
Electricity production
47.—(1) The export of goods relating to electricity production to, or for use in, Syria is prohibited.
(2) A person must not directly or indirectly—
(a)supply or deliver goods relating to electricity production from a third country to a place in Syria;
(b)make goods relating to electricity production available for use in Syria.
(3) A person must not directly or indirectly provide—
(a)technical assistance,
(b)financial services, or
(c)funds,
where such provision relates to the construction or installation in Syria of a new power plant for electricity production.
(4) Paragraphs (1) to (3) are subject to Part 7 (Exceptions and licences).
(5) A person who contravenes a prohibition in paragraph (2) or (3) commits an offence, but—
(a)it is a defence for a person charged with an offence of contravening the prohibition in paragraph (2)(a) to show that the person did not know and had no reasonable cause to suspect that the goods were destined (or ultimately destined) for Syria;
(b)it is a defence for a person charged with an offence of contravening the prohibition in paragraph (2)(b) to show that the person did not know and had no reasonable cause to suspect that the goods were for use in Syria;
(c)it is a defence for a person charged with an offence of contravening a prohibition in paragraph (3) to show that the person did not know and had no reasonable cause to suspect that the provision as mentioned in paragraph (3) would relate to the construction or installation in Syria of a new power plant for electricity production.
(6) In this regulation—
“technical assistance” means the provision of technical support or any other technical service;
“third country” means a country that is not the United Kingdom, the Isle of Man or Syria.
CHAPTER 5Interception and monitoring services
Provision of interception and monitoring services
48.—(1) A person must not directly or indirectly provide interception and monitoring services to, or for the benefit of, the Syrian regime.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) A person who contravenes the prohibition in paragraph (1) commits an offence, but it is a defence for a person charged with that offence (“P”) to show that P did not know and had no reasonable cause to suspect that the services were provided to, or for the benefit of, the Syrian regime.
CHAPTER 6Further provision
Circumventing etc prohibitions
49.—(1) A person must not intentionally participate in activities knowing that the object or effect of them is, whether directly or indirectly—
(a)to circumvent any of the prohibitions in Chapters 2 to 5 of this Part, or
(b)to enable or facilitate the contravention of any such prohibition.
(2) A person who contravenes a prohibition in paragraph (1) commits an offence.
Defences
50.—(1) Paragraph (2) applies where a person relies on a defence under any of Chapters 2 to 5 of this Part.
(2) If evidence is adduced which is sufficient to raise an issue with respect to the defence, the court must assume that the defence is satisfied unless the prosecution proves beyond reasonable doubt that it is not.
PART 6Aircraft
Movement of aircraft
51.—(1) The following aircraft must not land in the United Kingdom—
(a)any aircraft that is operated by Syrian Arab Airlines, or
(b)any aircraft that is owned, chartered or operated by a person who is—
(i)connected with Syria (within the meaning of regulation 27(5)), and
(ii)using that aircraft exclusively for the provision of air cargo services.
(2) Paragraph (1) is subject to Part 7 (Exceptions and licences).
(3) The Secretary of State may direct the CAA to—
(a)refuse permission under article 250 of the ANO in respect of an aircraft falling within paragraph (1);
(b)revoke any permission under article 250 of the ANO in respect of an aircraft falling within paragraph (1).
(4) An airport operator may direct the operator or pilot in command of an aircraft falling within paragraph (1) not to land, or not to permit the aircraft to land, at an airport.
(5) The Secretary of State may direct an airport operator to give a direction under paragraph (4).
(6) In this regulation, “air cargo services” means a service for the carriage by air of cargo, including mail and animals.
Directions under regulation 51: supplementary
52.—(1) Where a direction is given under regulation 51(3)(b)—
(a)to the extent that the direction conflicts with the requirements of article 255 of the ANO (revocation etc of permissions), those requirements are to be disregarded, and
(b)article 255(4) of the ANO does not apply in relation to the revocation which is the subject of the direction.
(2) Where a direction is given under regulation 51 which conflicts with a permission under article 250 of the ANO, the permission is to be disregarded.
(3) In so far as a direction under regulation 51 conflicts with the requirements of section 93 of the Transport Act 2000() or of an order under section 94 of that Act, the direction is to be disregarded.
(4) In so far as a direction under regulation 51 conflicts with the requirements of an enactment other than section 93 of the Transport Act 2000 or an order under section 94 of that Act, the requirements are to be disregarded.
(5) The Secretary of State may notify a person that the existence, any part of the content of a direction under regulation 51, or anything done under the direction, is to be treated as confidential.
(6) A person must not disclose any information if the Secretary of State notifies that person under paragraph (5) that the information is to be treated as confidential.
Offences
53.—(1) If a prohibition in regulation 51(1) is contravened by the landing of an aircraft falling within that paragraph, the operator and pilot in command of the aircraft commit an offence.
(2) It is an offence for a person to whom a direction is given under regulation 51(4) (direction by airport operator to operator or pilot of aircraft) to fail to comply with the direction.
(3) It is an offence for an airport operator to fail, without reasonable excuse, to comply with a direction given by the Secretary of State under regulation 51(5).
(4) A person who contravenes the prohibition in regulation 52(6) (disclosure of direction) commits an offence.
Interpretation
54.—(1) In this Part—
“the ANO” means the Air Navigation Order 2016();
“beneficial interest” means any beneficial interest, however arising (whether held by trustee or nominee or arising under a contract or otherwise), other than an interest held by any person as mortgagee.
(2) For the purposes of regulation 51(1)(b), an aircraft is “owned” by a person if—
(a)the legal title to the aircraft, or to any share in the aircraft, is vested in the person, or
(b)the person has a beneficial interest in the aircraft or in any share in the aircraft,
and the reference to a legal title or other interest includes one held jointly with any other person or persons.
(3) Any expression used in this Part and in section 6 of the Act (aircraft sanctions) has the same meaning in this Part as it has in that section.
PART 7Exceptions and licences
Asset-freeze etc: exceptions from prohibitions
55.—(1) The prohibition in regulation 11 (asset-freeze in relation to designated persons) is not contravened by an independent person (“P”) transferring to another person a legal or equitable interest in funds or economic resources where, immediately before the transfer, the interest—
(a)is held by P, and
(b)is not held jointly with the designated person.
(2) In paragraph (1), “independent person” means a person who—
(a)is not the designated person, and
(b)is not owned or controlled directly or indirectly (within the meaning of regulation 7) by the designated person.
(3) The prohibitions in regulations 11 to 13 (asset-freeze in relation to, and making funds available to or for the benefit of, designated persons) are not contravened by a relevant institution crediting a frozen account with interest or other earnings due on the account.
(4) The prohibitions in regulations 12 and 13 (making funds available to, or for the benefit of, designated persons) are not contravened by a relevant institution crediting a frozen account where it receives funds transferred to that institution for crediting to that account.
(5) The prohibitions in regulations 12 and 13 are not contravened by the transfer of funds to a relevant institution for crediting to an account held or controlled (directly or indirectly) by a designated person, where those funds are transferred in discharge (or partial discharge) of an obligation which arose before the date on which the person became a designated person.
(6) The prohibitions in regulations 11 to 13 are not contravened in relation to a designated person (“P”) by a transfer of funds from account A to account B, where—
(a)account A is with a relevant institution which carries on an excluded activity within the meaning of section 142D of the Financial Services and Markets Act 2000(),
(b)account B is with a ring-fenced body within the meaning of section 142A of the Financial Services and Markets Act 2000(), and
(c)accounts A and B are held or controlled (directly or indirectly) by P.
(7) In this regulation—
“designated person” has the same meaning as it has in Chapter 1 of Part 3 (Finance);
“frozen account” means an account with a relevant institution which is held or controlled (directly or indirectly) by a designated person;
“relevant institution” means a person that has permission under Part 4A of the Financial Services and Markets Act 2000 (permission to carry on regulated activity).
(8) The definition of “relevant institution” in paragraph (7) is to be read with section 22 of the Financial Services and Markets Act 2000, any relevant order under that section and Schedule 2 to that Act.
Exceptions relating to insurance and reinsurance services
56.—(1) The prohibition in regulation 20 (insurance and reinsurance services) is not contravened by—
(a)the provision of compulsory or third party insurance to an individual who is a national of Syria or to a body incorporated or constituted under the law of Syria which is located in the United Kingdom;
(b)the provision of insurance for a diplomatic mission or consular post of Syria in the United Kingdom.
(2) The prohibition in regulation 20, insofar as it prohibits the provision of insurance or reinsurance services to persons acting on behalf or at the direction of the Syrian regime, is not contravened by—
(a)the provision of insurance or reinsurance services to an individual acting on behalf or at the direction of the Syrian regime, provided that the insurance or reinsurance is for that individual’s personal use;
(b)the provision of insurance or reinsurance services to a person who is the owner of a ship or aircraft which is chartered, or a vehicle which is hired, by the Syrian regime, provided that the person is not a designated person.
Exceptions relating to petroleum products
57.—(1) A relevant prohibition is not contravened where funds or economic resources are made available from the account of a diplomatic mission or consular post for the purposes of—
(a)purchasing, supplying or delivering petroleum products, or
(b)providing funds, economic resources or financial services in relation to the purchase, delivery or supply of petroleum products,
where the petroleum products are purchased exclusively for the official purposes of that diplomatic mission or that consular post (as the case may be).
(2) A relevant prohibition is not contravened where funds or economic resources are made available by a UK funded person for the purposes of—
(a)purchasing, supplying or delivering petroleum products, or
(b)providing funds, economic resources or financial services in relation to the purchase, supply or delivery of petroleum products,
where the petroleum products are purchased, supplied or delivered exclusively for the purposes of providing a humanitarian assistance activity.
(3) For the purposes of paragraphs (1) and (2), “a relevant prohibition” means—
(a)a prohibition in any of regulations 12 to 15,
(b)the prohibition in regulation 37(1) (purchase of military goods and technology, crude oil and petroleum products),
(c)the prohibition in regulation 38(1) (transport of military goods, crude oil and petroleum products),
(d)the prohibitions in regulation 40(1)(b) and (c) (prohibitions relating to the provision of financial services and funds associated with purchase and transport prohibitions).
(4) The prohibition in regulation 37(1)(b) is not contravened where a person acquires kerosene jet fuel, which is located in Syria, intending that it be used exclusively for the purpose of the continuation of the flight operation of the aircraft into which the kerosene jet fuel is to be loaded.
(5) A person (“P”) must notify the Secretary of State if P makes funds or economic resources available in accordance with paragraph (2) by no later than the end of the calendar year in which the funds or economic resources are made available.
(6) A person who fails to comply with the requirement in paragraph (5) commits an offence.
(7) In this regulation—
“kerosene jet fuel” means any thing falling within paragraph 2(c) in Part 2 of Schedule 2;
“petroleum products” has the meaning given to it in Schedule 2;
“UK funded person” means any person that receives funding from any part of the Government of the United Kingdom for the purpose of providing a humanitarian assistance activity in Syria.
Trade: exceptions from further prohibitions
58.—(1) This paragraph applies where aviation fuel or aviation fuel additives are exclusively for use by non-Syrian aircraft landing in Syria for the purpose of the continuation of the flight operation of that aircraft.
(2) Where paragraph (1) applies, the following prohibitions are not contravened—
(a)regulation 29 (export prohibition);
(b)regulation 30 (supply and delivery prohibition);
(c)regulation 31 (prohibition in connection with making goods and technology available);
(d)regulation 32 (transfer of technology prohibition);
(e)regulation 34 (prohibitions relating to the associated provision of financial services and funds);
(f)regulation 35 (prohibitions relating to the associated provision of brokering services).
(3) The prohibitions in regulation 46 (luxury goods) are not contravened by the export, supply, delivery or making available of—
(a)the personal effects of a person travelling to Syria;
(b)goods of a non-commercial nature for the personal use of a person travelling to Syria and contained in that person’s luggage.
(4) The following prohibitions are not contravened by any thing done in accordance with paragraph 10 of resolution 2118 to ensure the elimination of the chemical weapons programme of the Syrian regime—
(a)the prohibitions in regulation 36(1) and (2), insofar as they relate to arms and related materiel (import of arms and related materiel);
(b)the prohibition in regulation 38(1), insofar as it relates to military goods (transport of military goods);
(c)regulation 39(1) (transfer of military technology);
(d)the prohibition in regulation 40(1)(a), insofar as it relates to arms and related materiel (prohibition relating to the provision of financial services and funds relating to the import of arms and related materiel);
(e)the prohibition in regulation 40(1)(c), insofar as it relates to military goods (prohibition relating to the provision of financial services and funds relating to the transport of military goods);
(f)the prohibition in regulation 40(1)(e) (prohibition relating to the provision of financial services and funds relating to the transfer of military technology).
(5) For the purposes of this regulation—
“aviation fuel and aviation fuel additives” has the meaning given to it in paragraph 2 in Part 2 of Schedule 2;
“luxury goods” has the meaning given to it in paragraph 7 in Part 2 of Schedule 2;
“non-Syrian aircraft” means an aircraft registered in a country other than Syria;
“resolution 2118” means resolution 2118 (2013) adopted by the Security Council on 27 September 2013.
Aircraft: exceptions from prohibitions
59.—(1) The prohibition in regulation 51(1) is not contravened by an aircraft falling within that paragraph (“A”) landing in the United Kingdom, where—
(a)A lands in the United Kingdom to avoid endangering the lives of persons on board or the safety of the aircraft;
(b)A, which is engaged in non-scheduled international air services, exercises its right to land in the United Kingdom for non-traffic purposes in accordance with Article 5 of the Chicago Convention;
(c)A, which is engaged in scheduled international air services, exercises its right to land in the United Kingdom for non-traffic purposes in accordance with section 1 of Article 1 of the IASTA.
(2) For the purposes of this regulation—
“the Chicago Convention” means the Convention on International Civil Aviation and its Annexes, signed at Chicago on 7th December 1944();
“the IASTA” means the International Air Services Transit Agreement signed at Chicago on 7th December 1944();
“non-traffic purposes” is to be read in accordance with article 96(d) of the Chicago Convention.
Exception for acts done for purposes of national security or prevention of serious crime
60.—(1) Where an act would, in the absence of this paragraph, be prohibited by regulation 9(2) (confidentiality) or any prohibition in Part 3 (Finance), 5 (Trade) or 6 (Aircraft), that prohibition does not apply to the act if the act is one which a responsible officer has determined would be in the interests of—
(a)national security, or
(b)the prevention or detection of serious crime in the United Kingdom or elsewhere.
(2) Where, in the absence of this paragraph, a thing would be required to be done under or by virtue of a provision of Part 6 (Aircraft), regulation 57(5) (notification requirement in respect of exceptions relating to petroleum products), Part 8 (Information and records) or Part 10 (Maritime enforcement), that requirement does not apply if a responsible officer has determined that not doing the thing in question would be in the interests of—
(a)national security, or
(b)the prevention or detection of serious crime in the United Kingdom or elsewhere.
(3) In this regulation “responsible officer” means a person in the service of the Crown or holding office under the Crown, acting in the course of that person’s duty.
Treasury licences
61.—(1) The prohibitions in regulations 11 to 15 (asset-freeze etc), regulation 16 (UK credit or financial institutions) and regulation 21 (investments in relation to crude oil and electricity production) do not apply to anything done under the authority of a licence issued by the Treasury under this paragraph.
(2) The Treasury may issue a licence which authorises acts by a particular person only where—
(a)in relation to acts which would otherwise be prohibited by regulations 11 to 15, the Treasury consider that it is appropriate to issue the licence for a purpose set out in Part 2 of Schedule 6, and
(b)in relation to acts which would otherwise be prohibited by regulations 16 or 21, the Treasury consider that it is appropriate to issue the licence for a purpose set out in Part 3 of Schedule 6.
Trade licences
62. The prohibitions in Chapters 2 to 5 of Part 5 (Trade) do not apply to anything done under the authority of a licence issued by the Secretary of State under this regulation.
Aircraft licences
63. The prohibition in regulation 51(1) (movement of aircraft) does not apply to anything done under the authority of a licence issued by the Secretary of State under this regulation.
Licences: general provisions
64.—(1) This regulation applies in relation to aircraft licences, Treasury licences and trade licences.
(2) A licence must specify the acts authorised by it.
(3) A licence may be general or may authorise acts by a particular person or persons of a particular description.
(4) A licence may—
(a)contain conditions;
(b)be of indefinite duration or a defined duration.
(5) A person who issues a licence may vary, revoke or suspend it at any time.
(6) A person who issues, varies, revokes or suspends a licence which authorises acts by a particular person must give written notice to that person of the issue, variation, revocation or suspension of the licence.
(7) A person who issues, varies, revokes or suspends a general licence or a licence which authorises acts by persons of a particular description must take such steps as that person considers appropriate to publicise the issue, variation, revocation or suspension of the licence.
Finance: licensing offences
65.—(1) A person (“P”) commits an offence if P knowingly or recklessly—
(a)provides information that is false in a material respect, or
(b)provides or produces a document that is not what it purports to be,
for the purpose of obtaining a Treasury licence (whether for P or anyone else).
(2) A person who purports to act under the authority of a Treasury licence but who fails to comply with any condition of the licence commits an offence.
Trade: licensing offences
66.—(1) A person (“P”) commits an offence if P knowingly or recklessly—
(a)provides information that is false in a material respect, or
(b)provides or produces a document that is not what it purports to be,
for the purpose of obtaining a trade licence (whether for P or anyone else).
(2) A person who purports to act under the authority of a trade licence but who fails to comply with any condition of the licence commits an offence.
(3) A licence in respect of which an offence under paragraph (1) has been committed is to be treated as void from the time at which it was issued.
Aircraft: licensing offences
67.—(1) A person (“P”) commits an offence if P knowingly or recklessly—
(a)provides information that is false in a material respect, or
(b)provides or produces a document that is not what it purports to be,
for the purpose of obtaining an aircraft licence (whether for P or anyone else).
(2) A person who purports to act under the authority of an aircraft licence but who fails to comply with any condition of the licence commits an offence.
(3) A licence in respect of which an offence under paragraph (1) has been committed is to be treated as void from the time at which it was issued.
Section 8B(1) to (3) of Immigration Act 1971: directions
68.—(1) The Secretary of State may direct that, in relation to any person within regulation 24 whose name is specified, or who is of a specified description, section 8B(1) and (2) of the Immigration Act 1971, or section 8B(3) of that Act, have effect subject to specified exceptions.
(2) A direction may contain conditions.
(3) A direction must be of a defined duration (and that duration may be expressed in any way, including, for example, being expressed in a way such that the direction ceases to have effect on, or within a specified period after, the occurrence of a specified event).
(4) The Secretary of State may vary, revoke or suspend a direction at any time.
(5) On the issue, variation, revocation or suspension of a direction, the Secretary of State may take such steps as the Secretary of State considers appropriate to publicise the issue, variation, revocation or suspension of the direction.
(6) In this regulation “specified” means specified in a direction.
PART 8Information and records
Finance: reporting obligations
69.—(1) A relevant firm must inform the Treasury as soon as practicable if—
(a)it knows, or has reasonable cause to suspect, that a person—
(i)is a designated person, or
(ii)has committed an offence under any provision of Part 3 (Finance) or regulation 65 (finance: licensing offences), and
(b)the information or other matter on which the knowledge or cause for suspicion is based came to it in the course of carrying on its business.
(2) Where a relevant firm informs the Treasury under paragraph (1), it must state—
(a)the information or other matter on which the knowledge or suspicion is based, and
(b)any information it holds about the person by which the person can be identified.
(3) Paragraph (4) applies if—
(a)a relevant firm informs the Treasury under paragraph (1) that it knows, or has reasonable cause to suspect, that a person is a designated person, and
(b)that person is a customer of the relevant firm.
(4) The relevant firm must also state the nature and amount or quantity of any funds or economic resources held by it for the customer at the time when it first had the knowledge or suspicion.
(5) A relevant institution must inform the Treasury without delay if that institution—
(a)credits a frozen account in accordance with regulation 55(4) (finance: exceptions from prohibitions), or
(b)transfers funds from a frozen account in accordance with regulation 55(6).
(6) A person who fails to comply with a requirement in paragraph (1), (2) or (4) commits an offence.
(7) In this regulation—
“designated person” has the same meaning as it has in Chapter 1 of Part 3 (Finance);
“frozen account” has the same meaning as it has in regulation 55;
“relevant firm” is to be read in accordance with regulation 70;
“relevant institution” has the same meaning as it has in regulation 55.
“Relevant firm”
70.—(1) The following are relevant firms for the purposes of regulation 69—
(a)a person that has permission under Part 4A of the Financial Services and Markets Act 2000 (permission to carry on regulated activity);
(b)an undertaking that by way of business—
(i)operates a currency exchange office,
(ii)transmits money (or any representation of monetary value) by any means, or
(iii)cashes cheques that are made payable to customers;
(c)a firm or sole practitioner that is—
(i)a statutory auditor within the meaning of Part 42 of the Companies Act 2006 (statutory auditors), or
(ii)a local auditor within the meaning of section 4(1) of the Local Audit and Accountability Act 2014 (general requirements for audit)()
(d)a firm or sole practitioner that provides to other persons, by way of business—
(i)accountancy services,
(ii)legal or notarial services,
(iii)advice about tax affairs, or
(iv)trust or company services within the meaning of paragraph (2);
(e)a firm or sole practitioner that carries out, or whose employees carry out, estate agency work;
(f)the holder of a casino operating licence within the meaning given by section 65(2)(a) of the Gambling Act 2005 (nature of a licence)();
(g)a person engaged in the business of making, supplying, selling (including selling by auction) or exchanging—
(i)articles made from gold, silver, platinum or palladium, or
(ii)precious stones or pearls.
(2) In paragraph (1) “trust or company services” means any of the following services—
(a)forming companies or other legal persons;
(b)acting, or arranging for another person to act—
(i)as a director or secretary of a company,
(ii)as a partner of a partnership, or
(iii)in a similar capacity in relation to other legal persons;
(c)providing a registered office, business address, correspondence or administrative address or other related services for a company, partnership or any other legal person or arrangement;
(d)acting, or arranging for another person to act, as—
(i)a trustee of an express trust or similar legal arrangement, or
(ii)a nominee shareholder for a person.
(3) In paragraph (1)—
“estate agency work” is to be read in accordance with section 1 of the Estate Agents Act 1979(), but as if references in that section to disposing of or acquiring an interest in land included (despite anything in section 2 of that Act) references to disposing of or acquiring an estate or interest in land outside the United Kingdom where that estate or interest is capable of being owned or held as a separate interest;
“firm” means any entity that, whether or not a legal person, is not an individual, and includes a body corporate and a partnership or other unincorporated body.
(4) Paragraph (1)(a) and (b) is to be read with section 22 of the Financial Services and Markets Act 2000, any relevant order under that section and Schedule 2 to that Act.
(5) For the purposes of regulation 69(1), information or another matter comes to a relevant firm “in the course of carrying on its business” if the information or other matter comes to the firm—
(a)in the case of a relevant firm within paragraph (1)(a), in the course of carrying on an activity in respect of which the permission mentioned in that provision is required;
(b)in the case of a relevant firm within paragraph (1)(c)(i), in the course of carrying out statutory audit work within the meaning of section 1210 of the Companies Act 2006 (meaning of statutory auditor)();
(c)in the case of a relevant firm within paragraph (1)(c)(ii), in the course of carrying out an audit required by the Local Audit and Accountability Act 2014;
(d)in the case of a relevant firm within paragraph (1)(f), in the course of carrying on an activity in respect of which the licence mentioned in that provision is required;
(e)in the case of a relevant firm within any other provision of paragraph (1), in the course of carrying on an activity mentioned in that provision.
Finance: powers to request information
71.—(1) The Treasury may request a designated person to provide information about—
(a)funds or economic resources owned, held or controlled by, or on behalf of, the designated person, or
(b)any disposal of such funds or economic resources.
(2) The Treasury may request a designated person to provide such information as the Treasury may reasonably require about expenditure—
(a)by the designated person, or
(b)for the benefit of the designated person.
(3) For the purposes of paragraph (2), expenditure for the benefit of a designated person includes expenditure on the discharge (or partial discharge) of a financial obligation for which the designated person is wholly or partly responsible.
(4) The power in paragraph (1) or (2) is exercisable only where the Treasury believe that it is necessary for the purpose of monitoring compliance with or detecting evasion of any provision of Part 3 (Finance).
(5) The Treasury may request a person acting under a Treasury licence to provide information about—
(a)funds or economic resources dealt with under the licence,
(b)funds or economic resources made available under the licence, or
(c)any matter to which a licence relates, where that licence authorises an act that would otherwise be prohibited under Chapter 2 of Part 3 (Investments, financial services and financial markets).
(6) The Treasury may request a person to provide information within paragraph (7) if the Treasury believe that the person may be able to provide the information.
(7) Information within this paragraph is such information as the Treasury may reasonably require for the purpose of—
(a)establishing for the purposes of any provision of Chapter 1 of Part 3 (Finance)—
(i)the nature and amount or quantity of any funds or economic resources owned, held or controlled by, or on behalf of, a designated person,
(ii)the nature and amount or quantity of any funds or economic resources made available directly or indirectly to, or for the benefit of, a designated person, or
(iii)the nature of any financial transactions entered into by a designated person;
(b)monitoring compliance with or detecting evasion of—
(i)any provision of Part 3,
(ii)regulation 69 (finance: reporting obligations), or
(iii)any condition of a Treasury licence;
(c)detecting or obtaining evidence of the commission of an offence under Part 3 or regulation 65 (finance: licensing offences) or 69 (finance: reporting obligations).
(8) The Treasury may specify the way in which, and the period within which, information is to be provided.
(9) If no such period is specified, the information which has been requested must be provided within a reasonable time.
(10) A request may include a continuing obligation to keep the Treasury informed as circumstances change, or on such regular basis as the Treasury may specify.
(11) Information requested under this regulation may relate to any period of time during which a person is, or was, a designated person.
(12) Information requested by virtue of paragraph (1)(b), (2) or (7)(a)(iii) may relate to any period before a person became a designated person (as well as, or instead of, any subsequent period).
(13) Expressions used in this regulation have the same meaning as they have in Part 3.
Finance: production of documents
72.—(1) A request under regulation 71 may include a request to produce specified documents or documents of a specified description.
(2) Where the Treasury request that documents be produced, the Treasury may—
(a)take copies of or extracts from any document so produced,
(b)request any person producing a document to give an explanation of it, and
(c)where that person is a body corporate, partnership or unincorporated body other than a partnership, request any person who is—
(i)in the case of a partnership, a present or past partner or employee of the partnership, or
(ii)in any other case, a present or past officer or employee of the body concerned,
to give such an explanation.
(3) Where the Treasury request a designated person or a person acting under a Treasury licence to produce documents, that person must—
(a)take reasonable steps to obtain the documents (if they are not already in the person’s possession or control);
(b)keep the documents under the person’s possession or control (except for the purpose of providing them to the Treasury or as the Treasury may otherwise permit).
(4) In this regulation “designated person” has the same meaning as it has in Chapter 1 of Part 3 (Finance).
Finance: information offences
73.—(1) A person commits an offence if that person—
(a)without reasonable excuse, refuses or fails within the time and in the manner specified (or, if no time has been specified, within a reasonable time) to comply with any request under regulation 71 (finance: powers to request information);
(b)knowingly or recklessly gives any information, or produces any document, which is false in a material particular in response to such a request;
(c)with intent to evade any provision of regulation 71 (finance: powers to request information) or 72 (finance: production of documents), destroys, mutilates, defaces, conceals or removes any document;
(d)otherwise intentionally obstructs the Treasury in the exercise of their powers under regulation 71 (finance: powers to request information) or 72 (finance: production of documents).
(2) Where a person is convicted of an offence under this regulation, the court may make an order requiring that person, within such period as may be specified in the order, to comply with the request.
Trade: application of information powers in CEMA
74.—(1) Section 77A of CEMA() applies in relation to a person carrying on a relevant activity as it applies in relation to a person concerned in the importation or exportation of goods but as if—
(a)in subsection (1), the reference to a person concerned in the importation or exportation of goods for which for that purpose an entry is required by regulation 5 of the Customs Controls on Importation of Goods Regulations 1991() or an entry or specification is required by or under CEMA were to a person carrying on a relevant activity;
(b)any other reference to importation or exportation were to a relevant activity;
(c)any reference to goods were to the goods, technology, services or funds to which the relevant activity relates.
(2) For the purposes of paragraph (1), a “relevant activity” means an activity—
(a)which would, unless done under the authority of a trade licence, constitute a contravention of any prohibition in Chapters 2 to 5 of Part 5 (Trade), except any prohibition on imports or exports, or
(b)which would constitute a contravention of a prohibition in regulation 49 (circumventing etc prohibitions).
General trade licences: records
75.—(1) This regulation applies in relation to a person (“P”) who does any act authorised by a general licence issued under regulation 62 (trade licences) (“the licence”).
(2) P must keep a register or record containing such details as may be necessary to allow the following information to be identified in relation to each act done under the authority of the licence—
(a)a description of the act;
(b)a description of any goods, technology, services or funds to which the act relates;
(c)the date of the act or the dates between which the act took place;
(d)the quantity of any goods or funds to which the act relates;
(e)P’s name and address;
(f)the name and address of any consignee of goods to which the act relates or any recipient of technology, services or funds to which the act relates;
(g)in so far as it is known to P, the name and address of the end-user of the goods, technology, services or funds to which the act relates;
(h)if different from P, the name and address of the supplier of any goods to which the act relates;
(i)any further information required by the licence.
(3) The register or record relating to an act must be kept until the end of the calendar year in which the register or record is created and for a further period of 4 years from the end of that calendar year.
(4) P must notify the Secretary of State in writing of P’s name and the address at which the register or record may be inspected, and must make a further such notification if those details change.
(5) A notification under paragraph (4) must be given no later than 30 days after—
(a)P first does any act authorised by the licence, or
(b)there is any change to the details previously notified.
(6) A person who fails to comply with a requirement in paragraph (2), (3) or (4) commits an offence.
General trade licences: inspection of records
76.—(1) A person authorised by the Secretary of State or the Commissioners (an “official”) may at any reasonable hour enter premises notified under regulation 75(4) for the purposes of monitoring compliance with or detecting evasion of regulation 75(2) or (3).
(2) An official may require any person on the premises to produce any register or record required to be kept under regulation 75, or any document included in such a register or record, that is in the person’s possession or control.
(3) An official may inspect and copy any such register, record or document.
(4) An official must, if requested to do so, produce documentary evidence that he or she is authorised to exercise a power conferred by this regulation.
(5) A person commits an offence if, without reasonable excuse, the person—
(a)intentionally obstructs an official in the performance of any of the official’s functions under this regulation, or
(b)fails to produce a register, record or document when reasonably required to do so by an official under this regulation.
Disclosure of information
77.—(1) The Secretary of State, the Treasury or the Commissioners may, in accordance with this regulation, disclose—
(a)any information obtained under or by virtue of Part 7 (Exceptions and licences), this Part or Part 10 (Maritime enforcement), or
(b)any information held in connection with—
(i)anything done under or by virtue of Part 2 (Designation of persons), Part 3 (Finance), Part 5 (Trade) or Part 6 (Aircraft), or
(ii)any exception or licence under Part 7 or anything done in accordance with such an exception or under the authority of such a licence.
(2) Information referred to in paragraph (1) may be disclosed for, or in connection with, any of the following purposes—
(a)the exercise of functions under these Regulations;
(b)any purpose stated in regulation 4;
(c)facilitating, monitoring or ensuring compliance with these Regulations;
(d)taking any action with a view to instituting, or otherwise for the purposes of, any proceedings in the United Kingdom—
(i)for an offence under any provision of these Regulations,
(ii)for an offence under CEMA in connection with a prohibition in Chapter 2 or 4 of Part 5 on exports, or
(iii)in relation to a monetary penalty under section 146 of the Policing and Crime Act 2017 (breach of financial sanctions legislation);
(e)taking any action with a view to instituting, or otherwise for the purposes of, any proceedings in any of the Channel Islands, the Isle of Man, or any British overseas territory, for an offence—
(i)under a provision in any such jurisdiction that is similar to a provision of these Regulations, or
(ii)in connection with a prohibition in any such jurisdiction that is similar to a prohibition referred to in sub-paragraph (d)(ii);
(f)compliance with an international obligation();
(g)facilitating the exercise by an authority outside the United Kingdom or by an international organisation of functions which correspond to functions under these Regulations.
(3) Information referred to in paragraph (1) may be disclosed to the following persons—
(a)a police officer;
(b)any person holding or acting in any office under or in the service of—
(i)the Crown in right of the Government of the United Kingdom,
(ii)the Crown in right of the Scottish Government, the Northern Ireland Executive or the Welsh Government,
(iii)the States of Jersey, Guernsey or Alderney or the Chief Pleas of Sark,
(iv)the Government of the Isle of Man, or
(v)the Government of any British overseas territory;
(c)any law officer of the Crown for Jersey, Guernsey or the Isle of Man;
(d)the Scottish Legal Aid Board;
(e)the Financial Conduct Authority, the Prudential Regulation Authority, the Bank of England, the Jersey Financial Services Commission, the Guernsey Financial Services Commission or the Isle of Man Financial Services Authority;
(f)any other regulatory body (whether or not in the United Kingdom);
(g)any organ of the United Nations;
(h)the Council of the European Union, the European Commission or the European External Action Service;
(i)the Government of any country;
(j)any other person where the Secretary of State, the Treasury or the Commissioners (as the case may be) considers that it is appropriate to disclose the information.
(4) Information referred to in paragraph (1) may be disclosed to any person with the consent of a person who, in their own right, is entitled to the information.
(5) In paragraph (4), “in their own right” means not merely in the capacity as a servant or agent of another person.
(6) In paragraph (1)(b)—
(a)the reference to information includes information obtained at a time when any provision of these Regulations is not in force, and
(b)the reference to a licence under Part 7 includes—
(i)a licence or authorisation which is treated as if it were a licence which had been issued under that Part, and
(ii)a licence which is deemed to have been issued under that Part.
Part 8: supplementary
78.—(1) A disclosure of information under regulation 77 does not breach any restriction on such disclosure imposed by statute or otherwise.
(2) But nothing in that regulation authorises a disclosure that—
(a)contravenes the data protection legislation, or
(b)is prohibited by any of Parts 1 to 7 or Chapter 1 of Part 9 of the Investigatory Powers Act 2016().
(3) Nothing in this Part is to be read as requiring a person who has acted or is acting as counsel or solicitor for any person to disclose any privileged information in their possession in that capacity.
(4) Regulation 77 does not limit the circumstances in which information may be disclosed apart from that regulation.
(5) Nothing in this Part limits any conditions which may be contained in a licence under Part 7.
(6) In this regulation—
“the data protection legislation” has the same meaning as in the Data Protection Act 2018 (see section 3 of that Act)();
“privileged information” means information with respect to which a claim to legal professional privilege (in Scotland, to confidentiality of communications) could be maintained in legal proceedings.
PART 9Enforcement
Penalties for offences
79.—(1) A person who commits an offence under any provision of Part 3 (Finance), regulation 53(1), (2) and (3) (aircraft: offences) or regulation 65 (finance: licensing offences), is liable—
(a)on summary conviction in England and Wales, to imprisonment for a term not exceeding 12 months or a fine (or both);
(b)on summary conviction in Scotland, to imprisonment for a term not exceeding 12 months or a fine not exceeding the statutory maximum (or both);
(c)on summary conviction in Northern Ireland, to imprisonment for a term not exceeding 6 months or a fine not exceeding the statutory maximum (or both);
(d)on conviction on indictment, to imprisonment for a term not exceeding 7 years or a fine (or both).
(2) A person who commits an offence under any provision of Part 5 (Trade) is liable—
(a)on summary conviction in England and Wales, to imprisonment for a term not exceeding 12 months or a fine (or both);
(b)on summary conviction in Scotland, to imprisonment for a term not exceeding 12 months or a fine not exceeding the statutory maximum (or both);
(c)on summary conviction in Northern Ireland, to imprisonment for a term not exceeding 6 months or a fine not exceeding the statutory maximum (or both);
(d)on conviction on indictment, to imprisonment for a term not exceeding 10 years or a fine (or both).
(3) A person who commits an offence under regulation 9(6) (confidentiality), 57(6) (exceptions relating to petroleum products: notification requirement), 66 (trade: licensing offences), 67 (aircraft: licensing offences), 75(6) or 76(5) (information offences in connection with trade licences) is liable—
(a)on summary conviction in England and Wales, to imprisonment for a term not exceeding 12 months or a fine (or both);
(b)on summary conviction in Scotland, to imprisonment for a term not exceeding 12 months or a fine not exceeding the statutory maximum (or both);
(c)on summary conviction in Northern Ireland, to imprisonment for a term not exceeding 6 months or a fine not exceeding the statutory maximum (or both);
(d)on conviction on indictment, to imprisonment for a term not exceeding 2 years or a fine (or both).
(4) A person who commits an offence under regulation 53(4) (aircraft: disclosure of information offence), 69(6) (finance: reporting obligations) or 73 (information offences in connection with Part 3) is liable—
(a)on summary conviction in England and Wales, to imprisonment for a term not exceeding 6 months or a fine (or both);
(b)on summary conviction in Scotland, to imprisonment for a term not exceeding 6 months or a fine not exceeding level 5 on the standard scale (or both);
(c)on summary conviction in Northern Ireland, to imprisonment for a term not exceeding 6 months or a fine not exceeding level 5 on the standard scale (or both).
(5) In relation to an offence committed before section 154(1) of the Criminal Justice Act 2003() comes into force the reference in each of paragraphs (1)(a), (2)(a) and (3)(a) to 12 months is to be read as a reference to 6 months.
Liability of officers of bodies corporate etc
80.—(1) Where an offence under these Regulations, committed by a body corporate—
(a)is committed with the consent or connivance of any director, manager, secretary or other similar officer of the body corporate, or any person who was purporting to act in any such capacity, or
(b)is attributable to any neglect on the part of any such person,
that person as well as the body corporate is guilty of the offence and is liable to be proceeded against and punished accordingly.
(2) In paragraph (1), “director”, in relation to a body corporate whose affairs are managed by its members, means a member of the body corporate.
(3) Paragraph (1) also applies in relation to a body that is not a body corporate, with the substitution for the reference to a director of the body of a reference—
(a)in the case of a partnership, to a partner;
(b)in the case of an unincorporated body other than a partnership—
(i)where the body’s affairs are managed by its members, to a member of the body;
(ii)in any other case, to a member of the governing body.
(4) Section 171(4) of CEMA (which is a provision similar to this regulation) does not apply to any offence under these Regulations to which that provision would, in the absence of this paragraph, apply.
Jurisdiction to try offences
81.—(1) Where an offence under regulation 9(6) (confidentiality), Part 3 (Finance), Part 6 (Aircraft), regulation 65 (finance: licensing offences), 67 (aircraft: licensing offences), 69(6) (finance: reporting obligations) or 73 (information offences in connection with Part 3) is committed in the United Kingdom—
(a)proceedings for the offence may be taken at any place in the United Kingdom, and
(b)the offence may for all incidental purposes be treated as having been committed at any such place.
(2) Where an offence under these Regulations is committed outside the United Kingdom—
(a)proceedings for the offence may be taken at any place in the United Kingdom, and
(b)the offence may for all incidental purposes be treated as having been committed at any such place.
(3) In the application of paragraph (2) to Scotland, any such proceedings against a person may be taken—
(a)in any sheriff court district in which the person is apprehended or is in custody, or
(b)in such sheriff court district as the Lord Advocate may determine.
(4) In paragraph (3) “sheriff court district” is to be read in accordance with the Criminal Procedure (Scotland) Act 1995 (see section 307(1) of that Act)().
Procedure for offences by unincorporated bodies
82.—(1) Paragraphs (2) and (3) apply if it is alleged that an offence under these Regulations has been committed by an unincorporated body (as opposed to by a member of the body).
(2) Proceedings in England and Wales or Northern Ireland for such an offence must be brought against the body in its own name.
(3) For the purposes of proceedings, for such an offence brought against an unincorporated body—
(a)rules of court relating to the service of documents have effect as if the body were a body corporate;
(b)the following provisions apply as they apply in relation to a body corporate—
(i)section 33 of the Criminal Justice Act 1925() and Schedule 3 to the Magistrates’ Courts Act 1980();
(ii)section 18 of the Criminal Justice Act (Northern Ireland) 1945() and Article 166 of, and Schedule 4 to, the Magistrates’ Courts (Northern Ireland) Order 1981().
(4) A fine imposed on an unincorporated body on its conviction of an offence under these Regulations is to be paid out of the funds of the body.
Time limit for proceedings for summary offences
83.—(1) Proceedings for an offence under these Regulations which is triable only summarily may be brought within the period of 12 months beginning with the date on which evidence sufficient in the opinion of the prosecutor to justify the proceedings comes to the prosecutor’s knowledge.
(2) But such proceedings may not be brought by virtue of paragraph (1) more than 3 years after the commission of the offence.
(3) A certificate signed by the prosecutor as to the date on which the evidence in question came to the prosecutor’s knowledge is conclusive evidence of the date on which it did so; and a certificate to that effect and purporting to be so signed is to be treated as being so signed unless the contrary is proved.
(4) In relation to proceedings in Scotland—
(a)section 136(3) of the Criminal Procedure (Scotland) Act 1995 (date of commencement of summary proceedings) applies for the purposes of this regulation as it applies for the purposes of that section, and
(b)references in this regulation to the prosecutor are to be treated as references to the Lord Advocate.
Trade enforcement: application of CEMA
84.—(1) Where the Commissioners investigate or propose to investigate any matter with a view to determining—
(a)whether there are grounds for believing that a relevant offence has been committed, or
(b)whether a person should be prosecuted for such an offence,
the matter is to be treated as an assigned matter.
(2) In paragraph (1), “assigned matter” has the meaning given by section 1(1) of CEMA().
(3) In this regulation, a “relevant offence” means an offence under—
(a)Part 5 (Trade),
(b)regulation 57(6) (exceptions relating to petroleum products: notification requirement);
(c)regulation 66 (trade: licensing offences),
(d)regulation 75(6) (general trade licences: records), or
(e)regulation 76(5) (general trade licences: inspection of records).
(4) Section 138 of CEMA() (arrest of persons) applies to a person who has committed, or whom there are reasonable grounds to suspect of having committed, a relevant offence as it applies to a person who has committed, or whom there are reasonable grounds to suspect of having committed, an offence for which the person is liable to be arrested under the customs and excise Acts(), but as if—
(a)any reference to an offence under, or for which a person is liable to be arrested under, the customs and excise Acts were to a relevant offence;
(b)in subsection (2), the reference to any person so liable were to a person who has committed, or whom there are reasonable grounds to suspect of having committed, a relevant offence.
(5) The provisions of CEMA mentioned in paragraph (6) apply in relation to proceedings for a relevant offence as they apply in relation to proceedings for an offence under the customs and excise Acts, but as if—
(a)any reference to the customs and excise Acts were to any of the provisions mentioned in paragraph (3)(a) to (e);
(b)in section 145(6), the reference to an offence for which a person is liable to be arrested under the customs and excise Acts were to a relevant offence;
(c)in section 151, the reference to any penalty imposed under the customs and excise Acts were to any penalty imposed under these Regulations in relation to a relevant offence;
(d)in section 154(2)—
(i)the reference to proceedings relating to customs or excise were to proceedings under any of the provisions mentioned in paragraph (3)(a) to (e), and
(ii)the reference to the place from which any goods have been brought included a reference to the place to which goods have been exported, supplied or delivered or the place to or from which technology has been transferred.
(6) The provisions of CEMA are sections 145, 146, 147, 148(1), 150, 151, 152, 154 and 155() (legal proceedings).
Trade offences in CEMA: modification of penalty
85.—(1) Paragraph (2) applies where a person is guilty of an offence under section 50(2) of CEMA in connection with a prohibition mentioned in Chapter 3 or 4 of Part 5 (Trade) on imports.
(2) Where this paragraph applies, the reference to 7 years in section 50(4)(b) of CEMA() is to be read as a reference to 10 years.
(3) Paragraph (4) applies where a person is guilty of an offence under section 68(2) of CEMA in connection with a prohibition mentioned in Chapter 2 or 4 of Part 5 (Trade) on exports.
(4) Where this paragraph applies, the reference to 7 years in section 68(3)(b) of CEMA() is to be read as a reference to 10 years.
(5) Paragraph (6) applies where a person is guilty of an offence under section 170(2) of CEMA in connection with a prohibition mentioned in Chapters 2 to 4 of Part 5 (Trade) on exports or imports.
(6) Where this paragraph applies, the reference to 7 years in section 170(3)(b) of CEMA() is to be read as a reference to 10 years.
Application of Chapter 1 of Part 2 of the Serious Organised Crime and Police Act 2005
86. Chapter 1 of Part 2 of the Serious Organised Crime and Police Act 2005 (investigatory powers)() applies to any offence under Part 3 (Finance) or regulation 65 (finance: licensing offences).
Monetary penalties
87. Each provision in Part 5 (Trade) which contains a prohibition imposed for a purpose in section 3(1) or (2) of the Act is to be regarded as not being financial sanctions legislation for the purposes of Part 8 of the Policing and Crime Act 2017 (monetary penalties)().
PART 10Maritime enforcement
Exercise of maritime enforcement powers
88.—(1) A maritime enforcement officer may, for a purpose mentioned in paragraph (2) or (3), exercise any of the maritime enforcement powers in relation to—
(a)a British ship in foreign waters or international waters,
(b)a ship without nationality in international waters, or
(c)a foreign ship in international waters,
and a ship within sub-paragraph (a), (b) or (c) is referred to in this Part as “a relevant ship”.
(2) The maritime enforcement powers may be exercised for the purpose of enforcing any of the following—
(a)a prohibition in any of regulations 29 to 32 (goods or technology prohibitions relating to export, supply, sale and transfer);
(b)a prohibition in any of regulations 36 to 39 (goods or technology prohibitions relating to import, purchase and transport and relating to the transfer of military technology);
(c)the prohibitions in regulation 41 (goods or technology prohibitions relating to bank notes or coinage);
(d)the prohibitions in regulation 42 (goods prohibitions relating to gold, precious metals or diamonds);
(e)the prohibitions in regulation 46 (luxury goods);
(f)the prohibitions in regulation 47(1) and (2) (goods prohibitions relating to electricity production);
(g)a prohibition imposed by a condition of a trade licence in relation to a prohibition mentioned in sub-paragraphs (a) to (f).
(3) The maritime enforcement powers may also be exercised in relation to a relevant ship for the purpose of—
(a)investigating the suspected carriage of relevant goods on the ship, or
(b)preventing the continued carriage on the ship of goods suspected to be relevant goods.
(4) In this Part, “the maritime enforcement powers” are the powers conferred by regulations 90 and 91.
(5) This regulation is subject to regulation 92 (restrictions on exercise of maritime enforcement powers).
Maritime enforcement officers
89.—(1) The following persons are “maritime enforcement officers” for the purposes of this Part—
(a)a commissioned officer of any of Her Majesty’s ships;
(b)a member of the Ministry of Defence Police (within the meaning of section 1 of the Ministry of Defence Police Act 1987());
(c)a constable—
(i)who is a member of a police force in England and Wales,
(ii)within the meaning of section 99 of the Police and Fire Reform (Scotland) Act 2012(), or
(iii)who is a member of the Police Service of Northern Ireland or the Police Service of Northern Ireland Reserve;
(d)a special constable—
(i)appointed under section 27 of the Police Act 1996(),
(ii)appointed under section 9 of the Police and Fire Reform (Scotland) Act 2012, or
(iii)in Northern Ireland, appointed by virtue of provision incorporating section 79 of the Harbours, Docks, and Piers Clauses Act 1847();
(e)a constable who is a member of the British Transport Police Force;
(f)a port constable, within the meaning of section 7 of the Marine Navigation Act 2013(), or a person appointed to act as a constable under provision made by virtue of section 16 of the Harbours Act 1964();
(g)a designated customs official within the meaning of Part 1 of the Borders, Citizenship and Immigration Act 2009 (see section 14(6) of that Act)();
(h)a designated NCA officer who is authorised by the Director General of the National Crime Agency (whether generally or specifically) to exercise the powers of a maritime enforcement officer under this Part.
(2) In this regulation, “a designated NCA officer” means a National Crime Agency officer who is either or both of the following—
(a)an officer designated under section 10 of the Crime and Courts Act 2013() as having the powers and privileges of a constable;
(b)an officer designated under that section as having the powers of a general customs official.
Power to stop, board, search etc
90.—(1) This regulation applies if a maritime enforcement officer has reasonable grounds to suspect that a relevant ship is carrying prohibited goods or relevant goods.
(2) The officer may—
(a)stop the ship;
(b)board the ship;
(c)for the purpose of exercising a power conferred by paragraph (3) or regulation 91, require the ship to be taken to, and remain in, a port or anchorage in the United Kingdom or any other country willing to receive it.
(3) Where the officer boards a ship by virtue of this regulation, the officer may—
(a)stop any person found on the ship and search that person for—
(i)prohibited goods or relevant goods, or
(ii)any thing that might be used to cause physical injury or damage to property or to endanger the safety of any ship;
(b)search the ship, or any thing found on the ship (including cargo) for prohibited goods or relevant goods.
(4) The officer may—
(a)require a person found on a ship boarded by virtue of this regulation to provide information or produce documents;
(b)inspect and copy such information or documents.
(5) The officer may exercise a power conferred by paragraph (3)(a)(i) or (b) only to the extent reasonably required for the purpose of discovering prohibited goods or relevant goods.
(6) The officer may exercise the power conferred by paragraph (3)(a)(ii) in relation to a person only where the officer has reasonable grounds to believe that the person might use a thing to cause physical injury or damage to property or to endanger the safety of any ship.
(7) The officer may use reasonable force, if necessary, in the exercise of any power conferred by this regulation.
Seizure power
91.—(1) This regulation applies if a maritime enforcement officer is lawfully on a relevant ship (whether in exercise of the powers conferred by regulation 90 or otherwise).
(2) The officer may seize any of the following which are found on the ship, in any thing found on the ship, or on any person found on the ship—
(a)goods which the officer has reasonable grounds to suspect are prohibited goods or relevant goods, or
(b)things within regulation 90(3)(a)(ii).
(3) The officer may use reasonable force, if necessary, in the exercise of any power conferred by this regulation.
Restrictions on exercise of maritime enforcement powers
92.—(1) The authority of the Secretary of State is required before any maritime enforcement power is exercised in reliance on regulation 88 in relation to—
(a)a British ship in foreign waters, or
(b)a foreign ship in international waters.
(2) In relation to a British ship in foreign waters other than the sea and other waters within the seaward limits of the territorial sea adjacent to any relevant British possession, the Secretary of State may give authority under paragraph (1) only if the State in whose waters the power would be exercised consents to the exercise of the power.
(3) In relation to a foreign ship in international waters, the Secretary of State may give authority under paragraph (1) only if—
(a)the home state has requested the assistance of the United Kingdom for a purpose mentioned in regulation 88(2) or (3),
(b)the home state has authorised the United Kingdom to act for such a purpose, or
(c)the United Nations Convention on the Law of the Sea 1982() or a UN Security Council Resolution otherwise permits the exercise of the power in relation to the ship.
Interpretation of Part 10
93.—(1) Subject to paragraph (2), any expression used in this Part and in section 19 or 20 of the Act has the same meaning in this Part as it has in section 19 or (as the case may be) section 20 of the Act.
(2) For the purpose of interpreting any reference to “prohibited goods” or “relevant goods” in this Part, any reference in section 19 or 20 of the Act to a “relevant prohibition or requirement” is to be read as a reference to any prohibition specified in regulation 88(2)(a) to (g).
PART 11Supplementary and final provision
Directions under Part 6
94.—(1) Paragraphs (3) to (5) apply in relation to a direction given under Part 6 (Aircraft).
(2) A direction under regulation 51(5) may be given to any airport operator or to airport operators generally.
(3) A person to whom a direction is given has a duty to comply with it.
(4) A direction may be of indefinite duration or a defined duration.
(5) A person who gives a direction may vary, revoke or suspend it at any time.
Notices
95.—(1) This regulation applies in relation to a notice required by regulation 64 (licences: general provisions) to be given to a person.
(2) The notice may be given to an individual—
(a)by delivering it to the individual,
(b)by sending it to the individual by post addressed to the individual at his or her usual or last-known place of residence or business, or
(c)by leaving it for the individual at that place.
(3) The notice may be given to a person other than an individual—
(a)by sending it by post to the proper officer of the body at its principal office, or
(b)by addressing it to the proper officer of the body and leaving it at that office.
(4) The notice may be given to the person by other means, including by electronic means, with the person’s consent.
(5) In this regulation, the reference in paragraph (3) to a “principal office”—
(a)in relation to a registered company, is to be read as a reference to the company’s registered office;
(b)in relation to a body incorporated or constituted under the law of a country other than the United Kingdom, includes a reference to the body’s principal office in the United Kingdom (if any).
(6) In this regulation—
“proper officer”—
(a)
in relation to a body other than a partnership, means the secretary or other executive officer charged with the conduct of its general affairs, and
(b)
in relation to a partnership, means a partner or a person who has the control or management of the partnership business;
“registered company” means a company registered under the enactments relating to companies for the time being in force in the United Kingdom.
Article 20 of the Export Control Order 2008
96. Article 20 of the Export Control Order 2008 (embargoed destinations) is not to be taken to prohibit anything prohibited by Part 5 (Trade).
Trade: overlapping offences
97. A person is not to be taken to commit an offence under the Export Control Order 2008 if the person would, in the absence of this regulation, commit an offence under both—
(a)article 34, 35, 37 or 38 of that Order(), and
(b)any provision of Part 5 (Trade) or regulation 57(6) (exceptions relating to petroleum products: notification requirement), 66 (trade: licensing offences), 75(6) or 76(5) (information offences in connection with general trade licences).
Amendment to the Syria Council Regulation
98.—(1) Council Regulation (EU) No 36/2012 of 18 January 2012, concerning restrictive measures in view of the situation in Syria and repealing Regulation (EU) No 442/2011() is amended as follows.
(2) Omit Articles 1 to 11b.
(3) Omit Articles 12 to 26a.
(4) In Article 27(1)—
(a)for “measures” substitute “measure”;
(b)omit point (a);
(c)in point (c), for “points (a) or (b)” substitute “point (b)”.
(5) In Article 27a, for “Articles 2a, 3, 3a, 4, 5, 6, 7a, 8, 9, 11, 11a, 11b, 11c, 12, 13, 14, 24, 25, 26 and 26a” substitute “Article 11c”.
(6) In Article 28, for “prohibitions” substitute “prohibition”.
(7) In Article 29(1)(a), omit the words “, such as accounts and amounts frozen in accordance with Article 14,”.
(8) Omit Article 36.
(9) Omit Annexes Ia, IIa, III, IV, V, Va, Vb, VI, VII, VIII, IX and X.
Other amendments and revocations
99.—(1) The Syria (European Union Financial Sanctions) Regulations 2012() are revoked.
(2) The Export Control (Syria Sanctions) Order 2013() is amended as follows.
(3) Omit article 2.
(4) In article 3(1), omit all definitions except for the definitions of “the 1979 Act” and “the Syria Regulation”.
(5) Omit articles 4 to 12.
(6) Omit articles 13 to 16.
(7) In article 17—
(a)paragraphs (1) and (2) are omitted;
(b)in paragraph (3), for “articles 6(1)(b) to (c) or (3), 7(a)(ii) to (iv), 8, 8A(b), 9(b) or (c), 11(b) or (c), 12A, 13(b), 14, 15 or 16(2)” substitute “article 12A”;
(c)in paragraph (4), for the words from “in article 4 of this Order” to “or 12(1)(a)” substitute “Article 11c(1)”;
(d)in paragraph (5), for “Articles 6(a), 11a(1)(b) or 11c(1)” substitute “Article 11c(1)”.
(8) Omit article 18(2).
(9) Omit article 19.
(10) Omit Schedules 1 and 2.
Transitional provision: Treasury licences
100.—(1) Paragraphs (2) to (4) apply to a licence or authorisation which—
(a)was granted, or deemed to be granted, by the Treasury under regulation 10 of the 2012 Regulations,
(b)was in effect immediately before exit day, and
(c)authorises conduct which would (on and after exit day, and in the absence of paragraphs (2) to (4)) be prohibited under Part 3 (Finance),
and such a licence or authorisation is referred to in this regulation as “an existing financial sanctions licence”.
(2) An existing financial sanctions licence which authorises an act which would otherwise be prohibited has effect on and after exit day as if it had been issued by the Treasury under regulation 61(1) (Treasury licences).
(3) Any reference in an existing financial sanctions licence to the 2012 Regulations is to be treated on and after exit day as a reference to these Regulations.
(4) Any reference in an existing financial sanctions licence to a prohibition in—
(a)the 2012 Regulations, or
(b)the EU Syria Regulation,
is to be treated on and after exit day as a reference to the corresponding prohibition in Part 3.
(5) Paragraph (6) applies where—
(a)an application for a licence or authorisation, or for the variation of a licence or authorisation, under the 2012 Regulations was made before exit day,
(b)the application is for the authorisation of conduct which would (on and after exit day) be prohibited under Part 3, and
(c)a decision to grant or refuse the application has not been made before that date.
(6) The application is to be treated on and after exit day as an application for a licence, or for the variation of a licence (as the case may be), under regulation 61(1) (Treasury licences).
(7) In this regulation, “the 2012 Regulations” means the Syria (European Union Financial Sanctions) Regulations 2012.
(8) In paragraphs (3) and (4), a reference to the 2012 Regulations includes a reference to the Syria (Asset-Freezing) Regulations 2011().
Transitional provision: trade licences
101.—(1) Paragraph (2) applies in relation to each licence or authorisation granted by the Secretary of State which—
(a)was in effect immediately before exit day, and
(b)authorises an act—
(i)which would otherwise be prohibited by any provision of the Export Control Order 2008 except article 20 of that Order (embargoed destinations) or which requires an authorisation under or pursuant to the Dual-Use Regulation, and
(ii)which would (on and after exit day, and in the absence of paragraph (2)) be prohibited by Part 5 (Trade),
and such a licence or authorisation is referred to in this regulation as an “existing trade licence”.
(2) A licence is deemed to have been issued by the Secretary of State on exit day under regulation 62 (trade licences)—
(a)disapplying every provision of Part 5 (Trade) which would, in the absence of this paragraph, prohibit any act authorised by the existing trade licence, and
(b)otherwise in the same terms as the existing trade licence.
(3) Paragraphs (4) to (6) apply to a licence or authorisation granted by the Secretary of State which—
(a)was in effect immediately before exit day, and
(b)authorises an act—
(i)which would otherwise be prohibited by the EU Syria Regulation, and
(ii)which would (on and after exit day, and in the absence of paragraphs (4) to (6)) be prohibited by Part 5 (Trade),
and such a licence or authorisation is referred to in this regulation as “an existing trade sanctions licence”.
(4) An existing trade sanctions licence has effect on and after exit day as if it were a licence which had been issued by the Secretary of State under regulation 62 (trade licences).
(5) Any reference in an existing trade sanctions licence to a provision of the Export Control Order 2008 is to be treated on and after exit day as a reference to the corresponding provision of these Regulations (if any).
(6) Any reference in an existing trade sanctions licence to a prohibition in the EU Syria Regulation is to be treated on and after exit day as a reference to the corresponding prohibition in Part 5 (Trade).
Transitional provision: pending applications for trade licences
102.—(1) Paragraph (2) applies where—
(a)an application was made before exit day for a licence or authorisation under or pursuant to the Export Control Order 2008 or the Dual-Use Regulation,
(b)the application is for authorisation of an act prohibited by Part 5 (Trade), and
(c)a decision to grant or refuse the application has not been made before exit day.
(2) The application is to be treated on and after exit day as including an application for a licence under regulation 62 (trade licences).
(3) Paragraph (4) applies where—
(a)an application was made before exit day for a licence or authorisation under the Export Control (Syria Sanctions) Order 2013 or the EU Syria Regulation,
(b)the application is for authorisation of an act prohibited by Part 5 (Trade), and
(c)a decision to grant or refuse the application has not been made before exit day.
(4) The application is to be treated on and after exit day as an application for a licence under regulation 62 (trade licences).
Transitional Provisions: prior obligations
103.—(1) Where—
(a)a person was named in Annex II or IIa of the EU Syria Regulation immediately before exit day, and
(b)the person is a designated person immediately before exit day,
any reference in a provision mentioned in paragraph (2) to the date on which a person became a designated person is a reference to the original listing date.
(2) The provisions referred to in paragraph (1) are—
(a)regulation 55(5) (asset-freeze etc: exceptions from prohibitions), and
(b)in Schedule 6 (Treasury licences: purposes)—
(i)paragraph 6(b)(i);
(ii)paragraph 15(a);
(iii)paragraph 16(3);
(iv)paragraph 16(5)(b).
(3) In this regulation—
“designated person” has the same meaning as it has in Chapter 1 of Part 3 (Finance);
“original listing date” means the earlier of—
(a)
the date on which the person was named in Annex II or Annex IIa of the EU Syria Regulation, and
(b)
if the person was also named in Annex II of Council Regulation (EU) No 442/2011 of 9 May 2011, concerning restrictive measures in view of the situation in Syria(), the date on which the person was named in that Annex.
Alan Duncan
Minister of State
Foreign and Commonwealth Office
3rd April 2019