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The Civil Legal Aid (Amendment) (EU Exit) Regulations 2019

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PART 4Transitional Provisions

Transitional provision – England and Wales

8.—(1) The amendments made by regulations 3(5) and 4 to 6 do not apply to an application for civil legal services falling within paragraph (2).

(2) An application for civil legal services falls within this paragraph if it is an application——

(a)submitted to the Director in accordance with Article 13(1)(b) of the Cross-Border Legal Aid Directive, reading that Article as if the United Kingdom were a member State, which—

(i)is made using the standard form for legal aid applications established under Article 16 of the Cross-Border Legal Aid Directive, and

(ii)received by the Director before exit day,

(b)transmitted to the Director by a transmitting authority and received by the Director before 5.00pm on the fifteenth day after the day on which exit day falls, or

(c)not falling within sub-paragraph (a) or (b), and—

(i)it is an application for Controlled Work, and the application is signed and dated on or before the day on which exit day falls,

(ii)it is an application for Licensed Work, other than an application for emergency representation, and the application is—

(aa)signed and dated on or before the day on which exit day falls and received by the Director by 5.00pm on the seventh day after the day on which exit day falls, or

(bb)submitted through the Client and Cost Management System before exit day, or

(iii)it is an application for emergency representation, and the application—

(aa)results in a determination being made by a provider before exit day and that determination is notified to the Director within five working days of the determination,

(bb)is emailed or faxed to, and received by, the Director before exit day, or

(cc)is submitted through the Client and Cost Management System before exit day.

(3) After exit day, for the purposes of an application falling within paragraph (2)—

(a)the following provisions have effect as if the United Kingdom were a member State—

(i)paragraph 44 of Part 1 of Schedule 1 to the Legal Aid, Sentencing and Punishment of Offenders Act 2012,

(ii)regulation 11 of the Civil Legal Aid (Financial Resources and Payment for Services) Regulations 2013, and

(iii)regulation 5D of the Community Legal Service (Financial) Regulations 2000(1),

(b)regulation 11(3) of the Civil Legal Aid (Financial Resources and Payment for Services) Regulations 2013 is to be read as if for it there were substituted—

(3) For the purposes of this regulation—

(a)in order to determine whether an individual is domiciled in the member State whose courts are seised of a matter, the internal law of that member State must be applied;

(b)if an individual is not domiciled in the member State whose courts are seised of the matter, then, in order to determine whether the party is domiciled in another member State, the internal law of that member State must be applied., and

(c)regulation 5D(4) of the Community Legal Service (Financial) Regulations 2000 is to be read as if for it there were substituted—

(4) For the purposes of this regulation—

(a)in order to determine whether an individual is domiciled in the member State whose courts are seised of a matter, the internal law of that member State shall be applied;

(b)if an individual is not domiciled in the member State whose courts are seised of the matter, then, in order to determine whether the party is domiciled in another member State, the internal law of that member State shall be applied

(4) In this regulation—

“civil legal services” has the meaning given in section 8(3) (civil legal services) of the Legal Aid, Sentencing and Punishment of Offenders Act 2012;

“Client and Cost Management System” means the client and cost management system used by the Director in relation to applications for civil legal services;

“Controlled Work” has the meaning given in regulation 21(2) (controlled work: general) of the Civil Legal Aid (Procedure) Regulations 2012;

“the Cross-Border Legal Aid Directive” means Council Directive 2003/8/EC of 27 January 2003 to improve access to justice in cross-border disputes by establishing minimum common rules relating to legal aid for such disputes(2);

“determination” means a determination that an individual qualifies for civil legal services in accordance with Part 1 of the Legal Aid, Sentencing and Punishment of Offenders Act 2012;

“Director” means the person designated as the Director of Legal Aid Casework under section 4(1) of the Legal Aid, Sentencing and Punishment of Offenders Act 2012 and any person to whom a function of the Director of Legal Aid Casework has been delegated under regulation 12 of the Civil Legal Aid (Procedure) Regulations 2012;

“emergency representation” has the meaning given in regulation 2 (interpretation) of the Civil Legal Aid (Procedure) Regulations 2012;

“Licensed Work” has the meaning given in regulation 29(2) (licensed work: general) of the Civil Legal Aid (Procedure) Regulations 2012;

“provider” means a person who provides civil legal services under Part 1 of the Legal Aid, Sentencing and Punishment of Offenders Act 2012;

“transmitting authority” has the meaning given in Article 14(1) of the Cross-Border Legal Aid Directive; and

“working day” means any day other than a Saturday, a Sunday, Christmas Day, Good Friday or a day which is a bank holiday in England and Wales under the Banking and Financial Dealings Act 1971(3).

Transitional provision – Northern Ireland

9.—(1) The amendments made by regulation 2(3) and 7 do not apply to an application for civil legal services falling within paragraph (2).

(2) An application for civil legal services falls within this paragraph if it is an application—

(a)submitted to the Director in accordance with Article 13(1)(b) of the Cross-Border Legal Aid Directive, reading that Article as if the United Kingdom were a member State, which—

(i)is made using the standard form for legal aid applications established under Article 16 of the Cross-Border Legal Aid Directive, and

(ii)received by the Director before exit day,

(b)transmitted to the Director by a transmitting authority and received by the Director before 5.00pm on the fifteenth day after the day on which exit day falls, or

(c)not falling within sub-paragraph (a) or (b), and—

(i)the application is for advice and assistance, and the application is signed and dated on or before the day on which exit day falls,

(ii)the application is for representation (lower courts), and the application is signed and dated on or before the day on which exit day falls and received by the Director before 11pm on the twenty-eighth day following exit day, or

(iii)the application is for representation (higher courts), and the application is signed and dated on or before the day on which exit day falls and received by the Director before 11pm on the twenty-eighth day following exit day.

(3) After exit day, for the purposes of an application falling within paragraph (2)—

(a)the following provisions have effect as if the United Kingdom were a member State—

(i)paragraph 2(d)(xx) of Schedule 2 to the Access to Justice (Northern Ireland) Order 2003, and

(ii)regulation 9 of the Civil Legal Services (Financial) Regulations (Northern Ireland) 2015, and

(b)regulation 9(4) of the Civil Legal Services (Financial) Regulations (Northern Ireland) 2015 is to be read as if for it there were substituted—

(4) For the purposes of this regulation—

(a)in order to determine whether an individual is domiciled in the member State whose courts are seised of a matter, the internal law of that member State shall be applied;

(b)if an individual is not domiciled in the member State whose courts are seised of the matter, then, in order to determine whether the party is domiciled in another member State, the internal law of that member State shall be applied.

(4) In this regulation–

“advice” and “assistance” have the meanings given in Article 2(2) of the Access to Justice (Northern Ireland) Order 2003;

“civil legal services” has the meaning given in Article 10 of the Access to Justice (Northern Ireland) Order 2003;

“the Cross-Border Legal Aid Directive” means Council Directive 2003/8/EC of 27 January 2003 to improve access to justice in cross-border disputes by establishing minimum common rules relating to legal aid for such disputes;

“Director” means the Director of Legal Aid Casework designated by the Department of Justice under section 2 of the Legal Aid and Coroners’ Courts Act (Northern Ireland) 2014(4) and any person to whom a function of the Director of Legal Aid Casework has been delegated under section 4 of that Act;

“representation (lower courts)” and “representation (higher courts)” have the meanings given in regulation 2 of the Civil Legal Services (General) Regulations (Northern (Ireland) 2015(5); and

“transmitting authority” has the meaning given in Article 14(1) of the Cross-Border Legal Aid Directive.

(1)

S.I. 2000/516. Relevant amendments are S.I. 2004/2899 and 2007/1655. This instrument has been revoked by paragraph 51 of Schedule 5 to the Legal Aid, Sentencing and Punishment of Offenders Act 2012 (c.10), subject to consequential, transitional and savings provisions set out in S.I. 2013/534.

(2)

OJ No. L 26, 31.1.2003, p. 41-47; original reference, “2002/8/EC”, corrected by OJ No. L 32, 7.2.2003, p. 15.

(5)

S.R. 2015 No. 195 (N.I.); to which there are amending instruments not relevant to these Regulations.

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