6.Section 1 requires the Scottish Ministers to make and publish a code of practice setting out good practice that both a person considering acquiring a dog (“prospective acquirer”) and person who is transferring a dog (“prospective supplier”) should follow. In making the code of practice, the Scottish Ministers must have regard to the matters set out in sections 2 and 3. The code may give effect to those sections and any other matters that are considered appropriate by the Scottish Ministers, and must give effect to the material in section 4 of the Act. Ministers must consult representatives of suppliers and acquirers of dogs as well as other people they consider appropriate, and that consultation may take place before section 1 comes into force. The code must have taken effect within twelve months of the Bill receiving Royal Assent. The Scottish Ministers may by regulations modify that date and those regulations are subject to the negative procedure.
7.The definition of “transferring” a dog includes selling, giving away, exchanging, bartering or arranging for the long term loan or long term fostering of a dog. This is an inclusive definition so any other arrangements which amount to transferring a dog will be caught by the code of practice.
8.Section 2 sets out a list of matters that a prospective acquirer of a dog of any age should consider before acquiring a dog. These relate to how the dog would fit into the prospective acquirer’s lifestyle and home environment and their ability to adequately care and provide for the dog throughout its life. Under section 2(3), the code may also stipulate that, where practical, the acquirer (or their representative) and the prospective supplier should meet in person before agreeing to the transaction.
9.These matters are referred to in a certificate of compliance with the code, which the prospective acquirer is required to complete (see section 4).
10.Section 3 sets out potential content of the code in relation to the transfer of puppies – that is, a dog under the age of 12 months which has only had one owner (being the prospective supplier). This includes the requirement that only dogs aged over 8 weeks should be transferred and that, where practicable, prior to the transfer, the prospective acquirer should see the puppy with its mother unless the puppy needs to be separated from its mother for welfare reasons or the mother is deceased.
11.Under section 3(5), the prospective acquirer should familiarise themselves with the circumstances in which either a breeding licence or registration is required. A licence or registration could be required under regulations made under section 27(1) or (2) of the Animal Health and Welfare (Scotland) Act 2006 (“
12.Under section 3(6), the prospective acquirer is to confirm with the prospective supplier that the dog has been microchipped. Regulation 6 of The Microchipping of Dogs (Scotland) Regulations 2016 (S.S.I. 2016/58) requires every keeper of a dog which is older than 8 weeks to ensure that it is microchipped. This requirement would therefore be consistent with section 3(2).
13.Section 4 requires the prospective acquirer to complete and sign a certificate before acquiring a dog of any age. The form of the certificate will be set out in the code, and its content is specified in subsection (4).
14.Filling out the certificate involves the acquirer confirming that they have considered the matters set out in the code of practice. If applicable, the prospective acquirer should also confirm that they have complied with the requirements in section 3(3) and 3(5). Where applicable, the acquirer must also seek to ensure the dog is at least 8 weeks old through discussion with the supplier; the prospective supplier is also required to confirm this. The prospective supplier should also sign the certificate and both supplier and acquirer must provide their full name and address. Once the transaction is complete the certificate should be kept throughout the period of the acquirer’s ownership of the dog.
15.Subsection (6) means that under the code of practice, the acquirer is to show the certificate to a person who is exercising a relevant power under schedule 1 of the 2006 Act, if the acquirer is a qualifying person and the person exercising the relevant power reasonably requires to see it.
16.Schedule 1 deals with the investigation of potential animal welfare offences, and grants various powers to inspectors and constables. Therefore, this section will provide a link between the code of practice and the 2006 Act by expressly requiring the certificate to be shown to an inspector or constable exercising those powers. A “qualifying person” is an occupier of premises in relation to which a power is being exercised, a person who is responsible for animals at the premises, or a person who is under their direction or control. For example, if a constable exercised a power to enter premises where there were reasonable grounds for believing that dogs were being caused unnecessary suffering, the constable could ask the person responsible for the dogs to produce the certificate.
17.This requirement in the code of practice does not in itself create a criminal offence. However, paragraph 14 of schedule 1 of the 2006 Act does create offences of obstruction which could be relevant to a contravention of this provision. See also section 6 of the Act which sets out the effect of a failure to comply with the code.
18.The Scottish Ministers may add additional content to the certificate.
19.The code may be revised from time to time. Other than the timescale, the requirements for the preparation of the first code of practice also apply to the preparation of any revised code. A revised code will specify on which day it will come into effect. The revised code must be published by Scottish Ministers.
20.Section 6 sets out the status of the code of practice in law. Failure by a person to comply with the code will not in itself make a person liable to civil or criminal proceedings. However, if a person is prosecuted for a “relevant offence”, evidence that the person failed to comply with the code may be relied on as tending to establish liability (that is, may be treated as evidence that the person committed the offence). Similarly, evidence that the person complied with the code may be relied on as tending to negative liability (that is, may be treated as evidence that the person did not commit the offence).
21.For the purposes of section 6, “relevant offence” is defined to include offences under Part 2 (animal welfare) of the 2006 Act (which include offences of causing unnecessary suffering, mutilation, cruel operations, administering poisons, organising animal fights and failing to ensure an animal’s welfare). It also includes any offences set out in regulations made under section 26 or 27 of the 2006 Act – namely, regulations to secure the welfare of animals for which a person is responsible, and regulations for the licensing etc of activities involving animals.
22.The Scottish Ministers are required to take reasonable steps to ensure that the public are both aware of, and understand, the contents of the code and the requirements on them under it. In particular, the Scottish Ministers must take reasonable steps to ensure awareness and understanding of the code among school pupils.
23.Before determining what steps to take to ensure public awareness and understanding, the Scottish Ministers must consult organisations with an interest in the welfare of dogs and consider how they could contribute to any steps to be taken.
24.Section 8 provides that the Act will come into force at the end of the period of 2 months beginning with the day of Royal Assent.
25.The short title of the Act is the Welfare of Dogs (Scotland) Act 2025.