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STATUTORY INSTRUMENTS


2006 No. 3322

CONSUMER PROTECTION, ENGLAND AND WALES

The Compensation (Claims Management Services) Regulations 2006

  Made 12th December 2006 
  Coming into force in accordance with regulation 2


CONTENTS


PART 1

Preliminary
1. Citation
2. Commencement
3. Definitions
4. Documents in electronic form
5. Use of electronic communication

PART 2

Waiver of requirement for authorisation
6. Circumstances in which Regulator may waive requirement for authorisation
7. Conditions on waiver

PART 3

Grant of authorisations
8. Application for authorisations
9. Payment of application fee
10. Decisions about authorisations
11. Time for deciding applications
12. Conditions of authorisation
13. Grant and refusal of authorisations
14. Surrender of authorisations

PART 4

Fees
15. Determination of fees
16. Amendment etc of fees determination
17. Invoicing for fees
18. Payment of fees by cheque
19. Refund etc of fees
20. Cancellation for non-payment of fee

PART 5

Indemnity insurance
21. Directions about indemnity insurance

PART 6

Rules and codes of practice
22. Rules
23. Matters that the rules may cover
24. Codes of practice
25. Amendment etc of rules or code of practice
26. Charge for supply of copies
27. Redress

PART 7

Complaints
28. Review by the Regulator of complaint handling
29. Directions of the Regulator about complaints handling and related matters

PART 8

Routine audit
30. Routine inspection of records

PART 9

Investigation

CHAPTER 1

Preliminary
31. Definitions for this Part

CHAPTER 2

Investigation—offences by unauthorised persons
32. Investigation of offences against section 4(1) of Act: requirement to provide information
33. Requirements for information under section 8(4) of Act
34. Search warrants under section 8 of the Act

CHAPTER 3

Investigation—failures by authorised persons to comply with conditions of authorisation
35. Regulator to investigate complaints or suspicions of unprofessional conduct
36. Breaches by authorised persons of condition: requirement to provide information etc
37. Search warrants for purposes of investigation of professional conduct

CHAPTER 4

Search warrants generally
38. Definitions
39. Application generally
40. Issue of warrants generally
41. Search warrants—form
42. Execution of warrants
43. Copying of documents
44. Record to be given of records copied
45. Retention of copies

PART 10

Cancellation, suspension and variation of authorisations
46. Cancellation etc of authorisations
47. Procedure for cancellation etc

These Regulations are made in exercise of the powers conferred by sections 8(8), 9 and 15 of the Compensation Act 2006[
1] and the Schedule to that Act.

     A draft of this instrument has been laid before Parliament in accordance with section 15(10) of that Act and approved by a resolution of each House of Parliament.

     Accordingly, the Secretary of State makes the following Regulations:



PART 1

Preliminary

Citation
     1. These Regulations may be cited as the Compensation (Claims Management Services) Regulations 2006.

Commencement
    
2. These Regulations come into force on the day after the day on which they are made.

Definitions
    
3. In these Regulations—

Documents in electronic form
    
4. —(1) A reference in these Regulations to a document includes a document or record of information in electronic form.

    (2) If a person is required under these Regulations to produce to the Regulator a document that is in electronic form, the Regulator may require the person to produce a hard copy of the document.

Use of electronic communication
    
5. —(1) If, under a provision of these Regulations, a notice is required to be served or information given in writing, then, unless the provision expressly states otherwise, the notice may be served or information given by means of—

    (2) If a notice is served, or information is given, by means of fax transmission or an electronic communication, unless the contrary is proved the notice is taken to have been served or the information given on the business day following the day on which the fax or electronic communication was sent.

    (3) In paragraph (2), "business day" means a day that is not a Saturday, Sunday or bank or other public holiday.



PART 2

Waiver of requirement for authorisation

Circumstances in which Regulator may waive requirement for authorisation
    
6. —(1) The Regulator may waive the requirement for authorisation in relation to a person if—

    (2) The Regulator must give the person a written notice of the waiver.

Conditions on waiver
    
7. —(1) The Regulator may impose a condition on a waiver under regulation 6 and, if he does so, must include a statement of the condition in the notice of the waiver.

    (2) In particular, and without limiting the effect of paragraph (1), such a condition may be to the effect that—

    (3) If the Regulator imposes on a waiver a condition of the kind referred to in paragraph (2)(c), the Regulator must set out the standard in the notice of the waiver.

    (4) The waiver has effect for 6 months from the date of the notice, and cannot be renewed.

    (5) However, if an order under section 6(2) of the Act exempting the person comes into effect before the waiver would cease to have effect under paragraph (4), the waiver ceases to have effect immediately before the order comes into effect.



PART 3

Grant of authorisations

Application for authorisations
    
8. —(1) A person must apply for authorisation in writing in the form approved by the Regulator for the purpose.

    (2) The person must supply the information and documents required by the form in accordance with any directions on it.

    (3) If the Regulator approves the use of an interactive system on line for the purposes of application, paragraph (2) requires an applicant to complete and submit an application, and provide documents, in accordance with the directions given by the interactive system.

    (4) If the Regulator requires—

to consider an application, the Regulator may ask for the information or document by written notice to the applicant.

    (5) If the Regulator makes a request under paragraph (4), the period between when the Regulator makes the request and when the applicant provides the information or document requested does not count for the purposes of regulation 11.

    (6) If the Regulator has authorised another person to carry out tasks of collecting information or otherwise processing applications, that other person may make a request under paragraph (4), and a request so made has the same effect as a request by the Regulator.

Payment of application fee
    
9. —(1) An application is not taken to have been made until the applicant has paid the application fee.

    (2) If the Regulator has authorised another person to receive applications on his behalf, the application fee may be paid to that other person.

Decisions about authorisations
    
10. —(1) The Regulator must not grant an application for authorisation unless he is satisfied that the applicant is competent and suitable to provide the regulated claims management service to which the application relates.

    (2) For the purposes of making a decision regarding the suitability of an applicant, the criteria are the following—

    (3) For the purposes of making a decision regarding the suitability of an applicant, the Regulator may have regard to—

    (4) In the case of an applicant other than an individual, it is a criterion for the grant of an application for authorisation that—

is suitable to be associated with the provision of regulated claims management services of the kind to which the application relates.

    (5) For the purpose of making a decision regarding the suitability of an individual to be associated with the provision of regulated claims management services, being an individual who is a director or partner of an applicant, or is otherwise able to exert significant influence on the applicant's policy or management, the Regulator may have regard to—

Time for deciding applications
    
11. The Regulator must decide to grant or refuse an authorisation within three months after the application for it is made.

Conditions of authorisation
    
12. —(1) The Regulator may grant an authorisation subject to a condition or conditions.

    (2) In particular, and without limiting the effect of paragraph (1), a condition may be—

    (3) The Regulator may revoke the imposition of a condition on an authorisation if he is satisfied that it is no longer necessary for the authorisation to be subject to the condition.

    (4) If the Regulator revokes the imposition of a condition, the Regulator must give the authorised person a new instrument of authorisation under regulation 13 that does not show the condition.

    (5) In addition to any condition imposed by the Regulator, the following are conditions of an authorised person's authorisation—

Grant and refusal of authorisations
    
13. —(1) If the Regulator has approved the grant of an authorisation to a person, and the person pays the fee for the first year of the authorisation's currency, the Regulator must grant the authorisation by giving the person a written instrument of authorisation.

    (2) The instrument of authorisation must specify a day as its date of effect.

    (3) An authorisation—

    (4) If the Regulator grants an authorisation subject to a condition, the Regulator must set the condition out in the instrument of authorisation.

    (5) If the Regulator refuses to grant an authorisation to a person, or grants an authorisation subject to a condition not sought by the person, the Regulator must give written notice to the person, setting out in the notice—

Surrender of authorisations
    
14. —(1) An authorised person may surrender his authorisation by giving notice in writing to the Regulator.

    (2) Such a notice has effect—



PART 4

Fees

Determination of fees
    
15. —(1) The Regulator must, by written instrument, determine—

    (2) A determination under paragraph (1)(b) may provide for the fee to be calculated by reference to the annual turnover or expected annual turnover of the business of the applicant or authorised person concerned.

    (3) A determination under paragraph (1)—

    (4) Before making such a determination, the Regulator must consult such persons as appear to him to represent the views of persons engaged in the provision of regulated claims management services, and such other organisations, as he considers appropriate.

    (5) A determination under paragraph (1) (except a determination by the Secretary of State while exercising functions of the Regulator) has no effect unless a draft of it has been approved in writing by the Secretary of State.

Amendment etc of fees determination
    
16. —(1) The Regulator may, by written instrument, revoke or amend any determination in force from time to time under regulation 15, but such a revocation or amendment (except a revocation or amendment by the Secretary of State while exercising the functions of the Regulator) has no effect unless a draft of it has been approved by the Secretary of State.

    (2) A revocation or amendment may include transitional, incidental or consequential provisions.

Invoicing for fees
    
17. Invoices for fees may be sent electronically, and regulation 5 applies to an invoice so sent.

Payment of fees by cheque
    
18. If a cheque is accepted in payment of a fee, the fee is taken not to have been paid until the cheque is honoured in full.

Refund etc of fees
    
19. —(1) The Regulator may refund all or part of a fee to an applicant or authorised person if he is satisfied that—

    (2) If an authorised person surrenders his authorisation, the Regulator may refund so much of the fee for that year as represents the difference between the amount paid and the amount that the Regulator is satisfied was properly due for the part of the year until the surrender.

Cancellation for non-payment of fee
    
20. The Regulator may cancel an authorised person's authorisation if the Regulator sends an invoice for a fee to the person and the person does not pay the fee within one month after the date of the invoice.



PART 5

Indemnity insurance

Directions about indemnity insurance
    
21. The Regulator may, by written notice, require an authorised person to take out a policy of professional indemnity insurance in accordance with specified conditions in respect of the person's activities in providing regulated claims management services.



PART 6

Rules and codes of practice

Rules
    
22. —(1) The Regulator must prescribe, in writing, rules for the professional conduct of authorised persons.

    (2) Before prescribing such rules, the Regulator must consult such persons as appear to him to represent the views of persons engaged in the provision of regulated claims management services, and such other organisations, as he considers appropriate.

    (3) The rules—

    (4) The Regulator must not prescribe such rules unless the Secretary of State has approved a draft of the rules.

    (5) Paragraph (4) has no effect while the Secretary of State is exercising the functions of the Regulator.

    (6) The Regulator must publish the approved rules—

    (7) Rules prescribed under paragraph (1) have effect only from the date on which they are published in accordance with sub-paragraph (6)(a).

Matters that the rules may cover
    
23. In particular, the rules may make provision regarding—

Codes of practice
    
24. —(1) The Regulator may issue, by written instrument, a code of practice for the professional conduct of authorised persons or a specified class or group of authorised persons.

    (2) A code of practice—

    (3) Before issuing such a code, the Regulator must consult such persons as appear to him to represent the views of persons engaged in the provision of regulated claims management services, and such other organisations, as he considers appropriate.

    (4) The Regulator must not issue a code of practice unless the Secretary of State has approved a draft of the code.

    (5) Paragraph (4) has no effect while the Secretary of State is exercising the functions of the Regulator.

    (6) The Regulator must publish an approved code of practice—

    (7) A code of practice issued under paragraph (1) has effect only from the date on which it is published in accordance with sub-paragraph (6)(a).

Amendment etc of rules or code of practice
    
25. —(1) The Regulator may amend or revoke rules or a code of practice.

    (2) The procedure for amending or revoking rules or a code of practice is the same as the procedure for prescribing rules or issuing such a code[
2].

    (3) Such an amendment or revocation may include transitional, incidental or consequential provisions.

    (4) An amendment or revocation of rules or a code of practice has effect only from the date on which the text of the amendment or revocation is published.

    (5) If the Regulator amends rules or a code of practice, the Regulator must, as soon as reasonably practicable, publish, in the ways set out in regulation 22(6) or 24(6), as the case requires, the text of the rules or code as amended.

Charge for supply of copies
     26. The Regulator may make a reasonable charge for supplying a printed copy of rules or a code of practice, or an instrument amending or revoking rules or a code of practice.

Redress
    
27. —(1) The Regulator may direct an authorised person who has failed to comply with the rules or a code of practice to make redress, in a specified way or form, to a person aggrieved by that failure.

    (2) The forms of redress may include, but are not limited to—

    (3) For the purposes of paragraph (2)(c), a fee is unjustifiable if it should not have been charged.

    (4) Before giving such a direction, the Regulator—



PART 7

Complaints

Review by the Regulator of complaint handling
    
28. —(1) If—

either the client or the authorised person may ask the Regulator to review the authorised person's handling of the complaint.

    (2) For the purpose of such a review, the Regulator may direct the authorised person in writing to give the Regulator information or documents (being information or documents concerning either the handling of the complaint, or the conduct of the matter out of which the complaint arose) to the Regulator, and the authorised person must give the information or documents to the Regulator without delay.

Directions of the Regulator about complaints handling and related matters
    
29. —(1) This regulation has effect in relation to a case where the Regulator is satisfied that—

    (2) The Regulator may give the authorised person a direction about the further handling of the complaint.

    (3) The Regulator may also give the authorised person a direction about the future handling of complaints, or about any other aspect of the authorised person's business that relates to the provision of claims management services.

    (4) Before giving a direction under paragraph (2) or (3), the Regulator—



PART 8

Routine audit

Routine inspection of records
    
30. —(1) The Regulator may, at a reasonable time and on reasonable notice, inspect the records of an authorised person for the purposes of assessing the authorised person's compliance with the conditions of authorisation.

    (2) Nothing in this regulation requires an authorised person to produce, or authorises the Regulator to require an authorised person to produce, any document or thing that is an item subject to legal privilege (as defined in section 10 of the Police and Criminal Evidence Act 1984[
3]).



PART 9

Investigation



CHAPTER 1

Preliminary

Definitions for this Part
     31. In this Part—



CHAPTER 2

Investigation—offences by unauthorised persons

Investigation of offences against section 4(1) of Act: requirement to provide information
     32. —(1) Before requiring a person to provide information or documents for the purpose of investigating whether a person has contravened section 4(1) of the Act, the Regulator must consider whether investigation is justified.

    (2) If an allegation of such a contravention has been made, the Regulator must consider whether the allegation—

    (3) In all cases the Regulator must take into account—

    (4) For the purposes of paragraph (3)(a), the Regulator may consider material in, or the result of, an application or a request for exemption even if the application was for authorisation to provide, or the exemption was sought in relation to, another kind of regulated claims management service than that in relation to which the contravention is alleged or suspected to have occurred.

Requirements for information under section 8(4) of Act
    
33. —(1) The Regulator may require a person to give the Regulator information or documents for the purpose of investigating an alleged or suspected contravention of section 4(1) of the Act, if the person—

    (2) Such a requirement must be by notice in writing.

    (3) Such a notice—

    (4) If such a notice specifies that information or a document is to be given in a particular form, the notice has not been complied with until the information or document is given in that form.

    (5) The period specified must be a period that is, in all the circumstances, reasonable.

    (6) The Regulator may allow more time for the giving of the information or documents if—

    (7) Nothing in this regulation authorises a search of any premises.

Search warrants under section 8 of the Act
    
34. —(1) For the purposes of section 8(8) of the Act, the matters of which a judicial officer must be satisfied when considering an application under section 8(5) are that—

    (2) This paragraph applies if there is reason to believe that if the Regulator were to require, under regulation 33, to be given the information or documents, the information or documents would be removed, tampered with or destroyed.

    (3) This paragraph applies if the person has been required to give information or documents to the Regulator under regulation 33, and has not done so within the period permitted by the requirement.

    (4) An application for a search warrant in relation to which paragraph (3) applies must set out the steps taken to require the person to provide information or documents under regulation 33, and the person's response, if any.

    (5) This paragraph applies if there is reason to believe, on the basis of information or documents provided to the Regulator in answer to a requirement under regulation 33, that—



CHAPTER 3

Investigation—failures by authorised persons to comply with conditions of authorisation

Regulator to investigate complaints or suspicions of unprofessional conduct
    
35. —(1) If a person complains to the Regulator about the professional conduct of an authorised person, the Regulator may investigate the complaint.

    (2) The Regulator may also investigate the professional conduct of an authorised person if the Regulator is satisfied, otherwise than as a result of a complaint, that—

    (3) In making the decision whether or not to investigate, the Regulator must take into account—

Breaches by authorised persons of condition: requirement to provide information etc
    
36. —(1) For the purpose of making a decision under regulation 35, the Regulator may require an authorised person to give the Regulator information or documents relevant to the decision.

    (2) The requirement must be by notice in writing.

    (3) Such a notice—

    (4) If such a notice specifies that information or a document is to be given in a particular form, it has not been complied with until the information or document is given in that form.

    (5) The period specified must be a period that is, in all the circumstances, reasonable.

    (6) The Regulator may allow more time for the information or documents to be provided if—

    (7) Nothing in this regulation authorises a search of any premises.

Search warrants for purposes of investigation of professional conduct
    
37. —(1) The Regulator may apply to a judicial officer for a search warrant to authorise a search of premises if the Regulator is satisfied, on the basis of information available to the Regulator as a result of a request for information or documents under regulation 36, that—

    (2) The Regulator may apply to a judicial officer for a search warrant to authorise a search of premises if—

    (3) This paragraph applies if—

    (4) An application for a search warrant in relation to which paragraph (3) applies must set out the steps taken to require the person to provide information or documents under regulation 36, and the person's response, if any.

    (5) This paragraph applies if there is reason to believe that if the Regulator required the authorised person to give information or documents under regulation 36, documents relevant to the investigation of the apparent failure would be removed, tampered with or destroyed.

    (6) A judicial officer must not issue a search warrant under this regulation unless he is satisfied that the warrant is for the purpose of—



CHAPTER 4

Search warrants generally

Definitions
    
38. —(1) In this Chapter—

    (2) In this Chapter, a reference to an officer of the Regulator is a reference to an officer of the Regulator authorised in writing by the Regulator for the purposes of section 8(7) of, or paragraph 14(5) of the Schedule to, the Act.

Application generally
     39. —(1) An application for a warrant must state that no judicial officer has refused to issue a warrant based on another application that is in substance the same.

    (2) If the Regulator applies for a warrant (whether the application is made under this Part or under section 8(5) of the Act), he must—

    (3) An application is to be made ex parte and supported by an information in writing.

    (4) When applying for a warrant, the Regulator must have regard as far as possible to the relevant provisions of any code issued under section 66 of the Police and Criminal Evidence Act 1984[
6] in relation to searches of premises.

Issue of warrants generally
     40. —(1) A judicial officer may, on application by the Regulator, issue a warrant authorising an officer of the Regulator to enter and search premises (being one or more sets of premises specified in the application) if the judicial officer is satisfied—

    (2) The conditions referred to in paragraph (1)(c) are—

    (3) A judicial officer must not issue a warrant in response to an application unless he is satisfied that no judicial officer has refused to issue a warrant based on another application that is in substance the same.

Search warrants—form
    
41. —(1) A warrant—

    (2) The appropriate number of copies of the warrant must be made.

    (3) For the purposes of paragraph (2), the appropriate number of copies is—

    (4) The copies must be clearly certified as copies.

Execution of warrants
    
42. —(1) Any officer of the Regulator who is authorised to execute search warrants may execute a warrant to enter and search premises.

    (2) Entry and search under a warrant must be within three months from the date of its issue.

    (3) Entry and search under a warrant must be at a reasonable hour.

    (4) A warrant authorises entry on only one occasion.

    (5) A warrant authorises a search of premises only to the extent required for the purpose for which the warrant was issued.

    (6) When executing a warrant, an officer of the Regulator must have regard as far as possible to the relevant provisions of any code issued under section 66 of the Police and Criminal Evidence Act 1984[
7] in relation to searches of premises.

    (7) If the occupier of premises which are to be entered and searched is present when an officer of the Regulator seeks to execute a warrant to enter and search them, the officer—

    (8) If the occupier of such premises is not present when an officer of the Regulator seeks to execute a warrant, but a person who appears to the officer to be in charge of the premises is present, paragraph (7) has effect as if each reference to the occupier were a reference to that other person.

    (9) If there is no person present at the premises who appears to the officer of the Regulator to be in charge of them, the officer must leave a copy of the warrant in a prominent place on the premises.

    (10) The officer of the Regulator who executes a warrant must make an endorsement on it stating—

    (11) In the case of a warrant that authorises entry to and search of two or more sets of premises, the officer of the Regulator who executes the warrant—

Copying of documents
     43. —(1) The officer of the Regulator who executes a warrant may take a copy of any record for which the warrant authorises a search.

    (2) The officer may require any information that is stored in electronic form, and is accessible from the premises, to be produced in a form—

if he has reasonable grounds for believing that it is a record for which the warrant authorises a search.

    (3) However, nothing in this regulation authorises an officer of the Regulator to take a copy of anything that the officer has reasonable grounds for believing to be—

Record to be given of records copied
    
44. If—

the officer must do so within a reasonable time.

Retention of copies
    
45. —(1) A copy made of a record for which a search was authorised by a warrant may be retained for as long as is necessary in all the circumstances.

    (2) Without prejudice to the generality of paragraph (1), a copy made for the purposes of an investigation may be retained for use as evidence—



PART 10

Cancellation, suspension and variation of authorisations

Cancellation etc of authorisations
    
46. —(1) Paragraph (2) applies if, after investigation of an alleged or suspected failure by an authorised person to comply with a condition of authorisation, the Regulator is satisfied that—

    (2) The Regulator may—

    (3) The cancellation of, or the proposed suspension or variation of, the person's authorisation is appropriate for the purposes of paragraph (1)(b) only if the nature and seriousness of the person's failure to comply with the condition is such that, to protect the public, it is necessary to cancel the authorisation, suspend it for the proposed period or vary it in the proposed way, as the case may be.

    (4) Before cancelling, suspending or varying an authorised person's authorisation, the Regulator must give written notice to the authorised person—

    (5) Before cancelling, suspending or varying the authorisation, the Regulator must take into account any submission made by the authorised person within the period allowed (or any further period allowed by the Regulator).

Procedure for cancellation etc
    
47. —(1) If the Regulator decides to cancel, suspend or vary an authorised person's authorisation, the Regulator must give written notice to the authorised person of the cancellation, suspension or variation.

    (2) The notice must specify a day as its earliest day of effect.

    (3) The notice may be served by post, but if so must be served by a method that provides a record of its delivery.

    (4) The cancellation, suspension or variation has effect from the later of—



Signed by the authority of the Secretary of State


Cathy Ashton
Parliamentary Under Secretary of State Department for Constitutional Affairs

12th December 2006



EXPLANATORY NOTE

(This note is not part of the Regulations)


The Regulations are made under the Compensation Act 2006 [
9] (the Act). Under the Act, "regulated claims management service" means a claims management service of a kind prescribed by order by the Secretary of State[10], and "claims management services" include services in relation to claims for compensation, restitution, repayment or any other remedy or relief in respect of loss or damage, or in respect of an obligation.

Part 1 of the Regulations provides for preliminary matters such as definitions.

Part 2 of the Regulations makes provision about waiver, by the Regulator appointed under the Act, of the requirement for a person who provides regulated claims management services to be authorised. Such a waiver will be granted to a person only if the Regulator is satisfied that the Secretary of State intends to exempt the person from that requirement under section 6 of the Act, and only for a maximum period of six months. A waiver cannot be renewed.

Members of certain professions whose professional conduct is already regulated (in particular, barristers, solicitors and legal executives), and certain other classes of person that are regulated in other ways, will be exempted from Part 2 of the Act by order by the Secretary of State. Certain persons or bodies that provide regulated claims management services on a not-for-profit basis will also be exempted.

Part 3 of the Regulations deals with applications for authorisation to provide regulated claims management services.

Part 4 of the Regulations authorises the Regulator to prescribe fees for application for and grant of authorisations and the renewal of authorisations. The fees must be approved by the Secretary of State.

The Act requires the regulations to require the Regulator to prescribe rules, and to authorise the Regulator to issue a code or codes of practice, with which authorised persons must comply (see paragraph 8 of the Schedule to the Act). Part 6 of the Regulations sets out the requirements for those rules and codes of practice.

Part 7 of the Regulations sets out the scheme for review by the Regulator of an authorised person's handling of complaints. The Regulator may review the authorised person's records and may give the authorised person directions about the future handling of the complaint or of complaints generally.

Part 8 of the Regulations provides for the Regulator to audit an authorised person's records, at a reasonable time and on reasonable notice. The authorised person is however not obliged to show the Regulator anything that is an item subject to legal privilege, as defined in the Police and Criminal Evidence Act 1984.

Part 9 of the Regulations provides for enforcement. It deals with the investigation of allegations or suspicion that a person has breached section 4 of the Act. A person who provides a regulated claims management service commits an offence under section 4 of the Act unless he is authorised under Part 2 to provide the service, is exempt under that Part or has the benefit of a waiver of the requirement to be authorised.

If a person is alleged or suspected to have breached section 4 of the Act, the Regulator may require a person to provide information or documents to enable the Regulator to investigate the allegation.

Chapter 3 of Part 9 deals with the investigation of allegations or suspicion that authorised persons have failed to comply with conditions of authorisation. It also provides for circumstances in which the Regulator may apply to a Judge of the High Court, Circuit judge or justice of the peace for a search warrant.

Chapter 4 of Part 9 deals with search warrants generally. Regulations 39 to 45 are intended to reproduce, as nearly as possible and as far as applicable, the effect of sections 8 to 22 (except sections 17 and 18, which are not relevant) of the Police and Criminal Evidence Act 1984, which deal generally with the issue and execution of search warrants. A Regulator's officer applying for or executing a warrant is required to have regard to the codes issued by the Home Secretary under the Police and Criminal Evidence Act 1984 for searches of premises. Note that there is no power to seize documents.

Part 10 deals with suspension and cancellation of an authorisation. An authorised person whose authorisation is cancelled, suspended or varied has the right of appeal to the Claims Management Services Tribunal and to the Court of Appeal.


Notes:

[1] 2006 c. 29.back

[2] The procedure is set out in regulations 22 and 24 respectively.back

[3] 1984 c. 60.back

[4] A District Judge (Magistrates' Courts) is by virtue of his or her office a justice of the peace—see s 25 of the Courts Act 2003 (2003 c. 39).back

[5] 1984 c. 60.back

[6] 1984 c. 60. Section 66 amended by the Criminal Justice and Court Services Act 2000 (c. 43), ss 57(1), (4); and the Serious Organised Crime and Police Act 2005 (c. 15), ss 110(3)(a), 110(3)(b), 174(2) and Sch 17, Pt 2back

[7] 1984 c. 60.back

[8] The Tribunal has the power to suspend the operation of the Regulator's decision—see the Act, s 11(4).back

[9] 2006 c. 29.back

[10] See the Compensation (Regulated Claims Management Services) Order 2006, SI 2006/….back



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Prepared 20 December 2006


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