C2Part XX Provision of Financial Services by Members of the Professions

Annotations:
Modifications etc. (not altering text)
C2

Pt. 20 modified (E.W.S.) by S.I. 2000/119, Sch. 4 para. 11 (as substituted (1.7.2009 in accordance with art. 1(1)(c) of S.I. 2009/1587) by S.I. 2009/1587, art. 3(11))

I1327 Exemption from the general prohibition.

1

The general prohibition does not apply to the carrying on of a regulated activity by a person (“P”) if—

a

the conditions set out in subsections (2) to (7) are satisfied; and

b

there is not in force—

i

a direction under section 328, or

ii

an order under section 329,

which prevents this subsection from applying to the carrying on of that activity by him.

2

P must be—

a

a member of a profession; or

b

controlled or managed by one or more such members.

3

P must not receive from a person other than his client any pecuniary reward or other advantage, for which he does not account to his client, arising out of his carrying on of any of the activities.

4

The manner of the provision by P of any service in the course of carrying on the activities must be incidental to the provision by him of professional services.

C15

P must not carry on, or hold himself out as carrying on, a regulated activity other than—

a

one which rules made as a result of section 332(3) allow him to carry on; or

b

one in relation to which he is an exempt person.

6

The activities must not be of a description, or relate to an investment of a description, specified in an order made by the Treasury for the purposes of this subsection.

C17

The activities must be the only regulated activities carried on by P (other than regulated activities in relation to which he is an exempt person).

8

Professional services” means services—

a

which do not constitute carrying on a regulated activity, and

b

the provision of which is supervised and regulated by a designated professional body.