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The Pensions (Northern Ireland) Order 2005

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PART VIIN.I.CROSS-BORDER ACTIVITIES WITHIN EUROPEAN UNION

UK occupational pension scheme receiving contributions from European employerN.I.

Occupational pension scheme receiving contributions from European employerN.I.

263.—(1) The trustees or managers of an occupational pension scheme must not accept any contribution to the scheme from a European employer unless all the following conditions are met.

(2) Condition A is that the trustees or managers of the scheme are authorised by the Regulator under Article 264.

(3) Condition B is that the trustees or managers of the scheme are approved by the Regulator under Article 265 in relation to the European employer.

(4) Condition C is that either—

(a)the period of two months beginning with the date on which the Regulator notified the trustees or managers of the scheme under Article 265(2)(a)(ii) has expired, or

(b)before the end of that period, the trustees or managers have received information forwarded to them by the Regulator in accordance with Article 266(1).

(5) If the trustees or managers of a scheme fail to comply with paragraph (1), Article 10 of the 1995 Order (civil penalties) applies to any trustee or manager who has failed to take all reasonable steps to secure compliance.

(6) In this Part—

  • “European employer” has the prescribed meaning;

  • [F1 “host EEA state”] , in relation to a European employer, means [F2an EEA state] determined in accordance with regulations.

General authorisation to accept contributions from European employersN.I.

264.—(1) An application by the trustees or managers of an occupational pension scheme for authorisation under this Article must be made to the Regulator in the prescribed form and in the prescribed manner.

(2) On receipt of the application, the Regulator must—

(a)where the Regulator is satisfied that the applicant meets prescribed conditions, grant the authorisation, and

(b)in any other case, refuse the authorisation.

(3) Regulations may make provision as to—

(a)the revocation by the Regulator of authorisation under this Article, and

(b)the criteria to be applied by the Regulator in reaching any decision relating to the revocation of authorisation.

Approval in relation to particular European employerN.I.

265.—(1) An application by the trustees or managers of an occupational pension scheme for approval under this Article in relation to a European employer is made by the trustees or managers of the scheme giving the Regulator in the prescribed manner a notice ( “the notice of intention”) in the prescribed form which—

(a)specifies the European employer ( “the specified employer”),

(b)states their intention, subject to approval under this Article, to accept contributions from the specified employer,

(c)specifies the [F3host EEA state], and

(d)contains other prescribed information.

(2) On receipt of the notice of intention, the Regulator must within three months—

(a)where the Regulator is satisfied that the persons giving the notice of intention meet prescribed conditions—

(i)notify the competent authority of the [F4host EEA state] of the receipt by the Regulator of the notice of intention and of the contents of the notice, and

(ii)notify the persons who gave the notice of intention that they are approved for the purposes of this Article in relation to the specified employer, or

(b)in any other case, notify the persons who gave the notification that they are not so approved.

(3) If the Regulator does not act under paragraph (2)(a) or (b) within the period of three months beginning with the day on which the notice of intention was received, the persons who gave the notice of intention are to be taken to have been approved for the purposes of this Article in relation to the specified employer at the end of the period.

(4) Regulations may make provision as to—

(a)the revocation by the Regulator of approval under this Article, and

(b)the criteria to be applied by the Regulator in reaching any decision relating to the revocation of approval.

Notification of legal requirements of [F5host EEA state] outside United KingdomN.I.

266.—(1) Where—

(a)the Regulator has notified the competent authority of the [F6host EEA state] under paragraph (2)(a)(i) of Article 265, and

(b)in pursuance of Article 20(5) of the Directive, the Regulator receives information from the competent authority as to requirements of the social and labour law of the [F6host EEA state] and as to the other matters referred to in Article 20(5) of the Directive,

the Regulator must as soon as reasonably practicable forward that information to the person who gave the notice of intention under Article 265.

(2) Where—

(a)the trustees or managers of an occupational pension scheme are approved under Article 265 in relation to a European employer, and

(b)in pursuance of Article 20(8) of the Directive, the Regulator receives information ( “the new information”) from the competent authority of the [F7host EEA state] as to changes affecting any information previously forwarded under paragraph (1),

the Regulator must as soon as reasonably practicable forward the new information to the trustees or managers.

Duty of trustees or managers to act consistently with law of [F8host EEA state]N.I.

267.—(1) Where the trustees or managers of an occupational pension scheme receive contributions to the scheme from a European employer, the trustees or managers must ensure that the scheme, so far as it relates to members who are or have been employed by the employer, is operated in a way which is consistent with the requirements of the social and labour law of the [F9host EEA state].

(2) Regulations may modify any provision of pensions legislation in its application to members of an occupational pension scheme in respect of which the employer is a European employer.

(3) If the trustees or managers of a scheme fail to comply with paragraph (1), Article 10 of the 1995 Order (civil penalties) applies to any trustee or manager who has failed to take all reasonable steps to secure compliance.

(4) In this Article “pensions legislation” means—

(a)the Pension Schemes Act,

(b)Part II of the 1995 Order, other than Articles 62 to 66A of that Order (equal treatment),

(c)Part II or Article 30 of the 1999 Order, F10...

(d)this Order[F11, or

(e)the Pension Schemes Act (Northern Ireland) 2016.]

Power of Regulator to require ring-fencing of assetsN.I.

268.—(1) Where the trustees or managers of an occupational pension scheme receive contributions to the scheme from a European employer, the Regulator may in prescribed circumstances issue a notice ( “a ring-fencing notice”) to the trustees or managers of the scheme directing them to take, or refrain from taking, such steps of a prescribed description as are specified in the notice for the purpose of ring-fencing some or all of the assets or liabilities (or both) of the scheme.

(2) In paragraph (1), “ring-fencing” has the same meaning as in the Directive.

(3) If the trustees or managers of an occupational pension scheme fail to comply with a ring-fencing notice given to them, Article 10 of the 1995 Order (civil penalties) applies to any trustee or manager who has failed to take all reasonable steps to secure compliance.

[F12 Exemption from enrolment duty under Part 1 of Pensions ( No. 2) Act (Northern Ireland) 2008 N.I.

F13268A]  . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

F12Art. 268A inserted (2.6.2012 for specified purposes otherwise prosp.) by Pensions Act (Northern Ireland) 2012 (c. 3), ss. 19, 34(1), (3)

European occupational pension scheme receiving contributions from UK employerN.I.

Functions of Regulator in relation to institutions administered in other [F14EEA states]N.I.

269.—(1) Where a UK employer makes (or proposes to make) contributions to a European pensions institution, any function which Article 20 of the Directive requires or authorises to be exercised by the competent authorities of the [F15host EEA state] is exercisable by the Regulator.

(2) If the Regulator receives a notification in pursuance of Article 20(4) of the Directive from the competent authority in [F16another EEA state], the Regulator must within two months inform that authority of any relevant legal requirements.

(3) Where there is a significant change in any relevant legal requirements, the Regulator must as soon as reasonably practicable inform any competent authority in relation to which it has provided information under paragraph (2) of that change.

(4) Where a UK employer makes contributions to a European pensions institution, the Regulator must—

(a)monitor the compliance of that institution with the relevant legal requirements, and

(b)if the Regulator becomes aware of any contravention by the institution of any relevant legal requirements, inform the competent authority of the [F17EEA state] in which the institution has its main administration of the failure.

(5) If the Regulator is satisfied that a European pensions institution which receives contributions from a UK employer is contravening any relevant legal requirements, the Regulator may issue a notice to the UK employer directing him—

(a)to take or refrain from taking such steps as are specified in the notice in order to remedy the failure by the institution, or

(b)to cease to make further contributions to the institution.

(6) Regulations may make further provision about the effect of a notice under paragraph (5)(b), including provision conferring functions on the Regulator.

(7) Article 10 of the 1995 Order (civil penalties) applies to any UK employer who, without reasonable excuse, fails to comply with a notice under paragraph (5).

(8) In this Article—

  • “European pensions institution” means an institution for occupational retirement provision, as defined by Article 6(a) of the Directive, that has its main administration in [F18an EEA state] other than the United Kingdom;

  • “relevant legal requirements” means such requirements of the law relating to occupational pension schemes, as it applies in any part of the United Kingdom, as may be prescribed;

  • “UK employer” means an employer who—

    (a)

    in the case of a body corporate, is incorporated under the law of the United Kingdom or any part of the United Kingdom, or

    (b)

    in any other case, is resident in the United Kingdom.

Assistance for other European regulatorsN.I.

Stopping disposal of assets of institutions administered in other [F19EEA states]N.I.

270.—(1) This Article applies if the Regulator receives a request from the competent authority of [F20an EEA state] for assistance in prohibiting the free disposal of UK-held assets of a European pensions institution that has its main administration in [F21that EEA state].

(2) The High Court may on an application made by the Regulator with respect to UK-held assets of the institution grant an injunction restraining a defendant from disposing of, or otherwise dealing with, assets to which the application relates.

(3) If the High Court grants an injunction under paragraph (2), it may by subsequent orders make provision for such incidental, consequential and supplementary matters as it considers necessary to enable the competent authority that sent the request to perform any of its functions in relation to assets subject to the injunction.

(4) If the institution is not a party to proceedings under paragraph (2) or (3), the institution—

(a)has the same rights to notice of the proceedings as a defendant, and

(b)may take part as a party in the proceedings.

(5) In deciding any question as to costs or expenses, a court before which any proceedings take place—

(a)may take account of any additional expense which it considers that any party to the proceedings has incurred as a result of the participation of the institution in pursuance of paragraph (4)(b), and

(b)may award the whole or part of the additional expense as costs or (as the case may be) expenses to the party who incurred it (whatever the outcome of the Regulator's application).

(6) For the purposes of this Article—

  • “European pensions institution” has the meaning given by Article 269;

  • “UK-held assets” of a European pensions institution are assets of the institution held by a depositary or custodian located in the United Kingdom, and here “assets”, “depositary”, “custodian” and “located” have the same meaning as in Article 19(3) of the Directive.

InterpretationN.I.

Interpretation of PartN.I.

271.  In this Part—

  • “competent authority”, in relation to [F22an EEA state] other than the United Kingdom, means a national authority designated in accordance with the law of that State to carry out the duties provided for in the Directive;

  • “the Directive” means Directive 2003/41/EC of the European Parliament and of the Council on the activities and supervision of institutions for occupational retirement provision;

  • “European employer” has the meaning given by Article 263(6);

  • [F23“host EEA state”], in relation to a European employer, has the meaning given by Article 263(6);

  • “social and labour law”, in relation to [F24an EEA state] other than the United Kingdom, means the social and labour law (within the meaning of Article 20 of the Directive) of that State relevant to occupational pension schemes (within the meaning of that Article).

F22Words in art. 271 in definition of "competent authority" substituted (26.11.2007) by Occupational Pension Schemes (EEA States) Regulations (Northern Ireland) 2007 (S.R. 2007/457), reg. 5(10)(a)

F24Words in art. 271 in definition of "social and labour law" substituted (26.11.2007) by Occupational Pension Schemes (EEA States) Regulations (Northern Ireland) 2007 (S.R. 2007/457), reg. 5(10)(a)

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