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Legal Profession and Legal Aid (Scotland) Act 2007

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Legal Profession and Legal Aid (Scotland) Act 2007, Part 2A is up to date with all changes known to be in force on or before 19 January 2019. There are changes that may be brought into force at a future date. Changes that have been made appear in the content and are referenced with annotations. Help about Changes to Legislation

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[F1Part 2ASSpecial provision for licensed providers

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Annotations are used to give authority for changes and other effects on the legislation you are viewing and to convey editorial information. They appear at the foot of the relevant provision or under the associated heading. Annotations are categorised by annotation type, such as F-notes for textual amendments and I-notes for commencement information (a full list can be found in the Editorial Practice Guide). Each annotation is identified by a sequential reference number. For F-notes, M-notes and X-notes, the number also appears in bold superscript at the relevant location in the text. All annotations contain links to the affecting legislation.

Amendments (Textual)

F1Pt. 2A inserted (1.4.2011 for specified purposes, 2.7.2012 in so far as not already in force) by Legal Services (Scotland) Act 2010 (asp 16), ss. 81, 150(2) (with ss. 30(3), 60(3), 89, 121(5), 124(3)); S.S.I. 2011/180, art. 3, Sch.; S.S.I. 2012/152, art. 2, Sch. (with art. 3)

57AComplaints about licensed providersS

(1)Parts 1 and 2 apply in relation to complaints made about licensed legal services providers as they apply in relation to complaints made about practitioners.

(2)Subsection (1) is subject to—

(a)subsections (3) and (4), and

(b)such further modification to the operation of Parts 1 and 2 as the Scottish Ministers may by regulations make for the purposes of—

(i)subsection (1),

(ii)section 57B(4) and (5).

(3)In relation to a services complaint about a licensed provider, its approved regulator is to be regarded as the relevant professional organisation.

(4)A conduct complaint may not be made about a licensed provider, but—

(a)such a complaint may be made about a practitioner within such a provider,

(b)the provisions relating to such a complaint remain (subject to such modification as to those provisions as is made under subsection (2)(b)) applicable for the purposes of section 57B(4) and (5).

(5)Where an approved regulator receives (from a person other than the Commission) a complaint about the conduct of, or any services provided by, a practitioner within one of its licensed providers, the approved regulator must without delay send to the Commission the complaint and any material that accompanies it.

57BRegulatory complaintsS

(1)There is an additional type of complaint which applies only in relation to licensed providers (a “regulatory complaint”).

(2)A regulatory complaint is where any person suggests that a licensed provider is failing (or has failed) to—

(a)have regard to the regulatory objectives,

(b)adhere to the professional principles,

(c)comply with—

(i)its approved regulator's regulatory scheme,

(ii)the terms and conditions of its licence.

(3)In relation to a regulatory complaint about a licensed provider, its approved regulator is to be regarded as the relevant professional organisation.

(4)The procedure in respect of a regulatory complaint is (by virtue of section 57A(4)(b)) the same as it would be for a conduct complaint about a licensed provider, subject to such modification as to that procedure as is made under section 57A(2)(b).

(5)The Commission and the approved regulator have (by virtue of section 57A(4)(b)) the same functions in relation to a regulatory complaint as they would have in relation to a conduct complaint about a licensed provider, subject to such modification as to those functions as is made under section 57A(2)(b).

57CLevy, advice and guidanceS

(1)A licensed provider must pay to the Commission—

(a)the annual general levy, and

(b)the complaints levy (if arising),

in accordance with Part 1 (and in addition to any levy payable under that Part by a solicitor or other person within the licensed provider).

(2)Section 29 applies for the purposes of subsection (1) as it applies for the purposes of sections 27(1) and 28(1).

(3)For the application of sections 27(1), 28(1) and 29 by virtue of subsections (1) and (2)—

(a)an approved regulator is to be regarded as a relevant professional organisation whose members are its licensed providers,

(b)a licensed provider is to be regarded—

(i)in connection with the annual general levy, as an individual person falling within the relevant category,

(ii)in connection with the complaints levy, as an individual practitioner of the relevant type.

(4)But the amount of the annual general levy for a licensed provider may be—

(a)different from the amount to be paid by individuals,

(b)of different amounts (including nil) in different circumstances.

(5)The Commission—

(a)must (so far as practicable) provide advice to any person who requests it as respects the process of making a regulatory complaint to the Commission,

(b)may issue guidance under section 40 to approved regulators and licensed providers as respects how licensed providers are to deal with regulatory complaints.

57DRecovery of levyS

(1)An approved regulator must—

(a)secure the collection by it, from its licensed providers, of the annual general levy due by them, and

(b)pay to the Commission a sum representing the total amount which falls to be collected by it under paragraph (a) in respect of each financial year.

(2)Subsection (3) of section 27 applies in relation to any sum due under subsection (1)(b) (including interest) as it applies in relation to any sum due under subsection (2)(b) of section 27.

(3)Subsection (4) of section 27 applies in relation to any sum due under section 57C(1)(a) (including interest) as it applies in relation to any sum due under subsection (1) of section 27.

(4)Subsection (3) of section 28 applies in relation to any sum due under section 57C(1)(b) (including interest) as it applies in relation to any sum due under subsection (1) of section 28.

(5)For the application of sections 27(3) and (4) and 28(3) by virtue of subsections (2) to (4)—

(a)the approved regulator is to be regarded as the relevant professional organisation,

(b)each of its licensed providers is to be regarded—

(i)in relation to section 27(4), as an individual person falling within the relevant category,

(ii)in relation to section 28(3), as an individual practitioner of the relevant type.

(6)Section 57C(1) is subject to subsection (1).

57EHandling complaintsS

(1)Parts 1 and 2 apply in relation to any complaint made about how an approved regulator has dealt with a regulatory complaint as they apply in relation to a handling complaint (relating to a conduct complaint) made about a relevant professional organisation.

(2)Subsection (1) is subject to such modification to the operation of those Parts as the Scottish Ministers may by regulations make for the purposes of that subsection.

57FEffectiveness of compensation fundS

(1)Section 39 also applies in relation to a compensation fund of its own that is maintained by an approved regulator in furtherance of section 24(2) of the Legal Services (Scotland) Act 2010.

(2)For the application of section 39 by virtue of subsection (1)—

(a)any such compensation fund is to be regarded as falling within subsection (1)(c) of that section,

(b)the approved regulator is to be regarded as the relevant professional organisation.

57GInterpretation of Part 2AS

For the purposes of this Part—

  • “approved regulator”

  • “licensed legal services provider” (or “licensed provider”),

  • “professional principles”,

  • “regulatory objectives”

  • “regulatory scheme”

are to be construed in accordance with Part 2 of the Legal Services (Scotland) Act 2010.]

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