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Public Appointments and Public Bodies etc. (Scotland) Act 2003

Current text a fecha 2004-02-02

Part 1 — The Commissioner for Public Appointments in Scotland

Commissioner for Public Appointments in Scotland

1

The Commissioner’s functions

2

(any office referred to in (a) and any body referred to in (b) being referred to in this Act as “the specified authorities”).

as regards the code.

subsection (8) applies.

but, in preparing the strategy or setting targets, the Commissioner must consult the Parliament and the Scottish Ministers.

The Commissioner’s functions: further provision

3

which they consider appropriate so to confer or remove.

the Scottish Ministers may by order provide that the office or body is to be treated, for the purposes of or in connection with any appointment to the office or body, as if it were one of the specified authorities.

Part 2 — Provision as to certain public bodies etc.

Dissolution of certain bodies

Dissolution of certain bodies

4

The following bodies are dissolved—

Health Service bodies

Property of the Scottish Hospital Trust

5

(in this section and section 6 referred to as the “Trust property”) is transferred to, and vested in, the Health Boards.

Transfer of certain property between Health Boards and NHS trusts

6

may, without prejudice to section 12D (transfer of property, rights and liabilities to NHS trusts) of the 1978 Act, be transferred by the Board to, and vested in, the NHS trust following any request for such a transfer as the trust may make.

Investment and borrowing

7

Endowment schemes

8

Directions in relation to endowments

9

The Scottish Ministers may, without prejudice to section 2(5) of, and paragraph 6(1) of Schedule 7A to, the 1978 Act (which confer powers as to directions), give directions to Health Boards and NHS trusts (either generally or to any particular Board or trust or in any particular case) for the purpose of or in connection with the exercise of their functions as to endowments; and a Board or trust must comply with any such directions given to it.

Holding of certain property by NHS trusts and Health Boards

10

(2A) All endowments and other property (including value in lieu of the property) vested in a Health Board by virtue of section 5 or 6(2) of the Public Appointments and Public Bodies etc. (Scotland) Act 2003 (asp 4) is so vested free of any trust existing immediately before it is so vested (hereafter in this section referred to in relation to any such endowment or property as “the original trust”); but all such endowments and other property shall be held by the Health Board on trust for such purposes relating to services provided under this Act or in relation to hospitals, or to the functions of the Board with respect to research, as the Board may think fit.

.

(1A) A Health Board shall have power to accept, hold and administer any property on trust for purposes relating to any service which it is the function of any NHS trust in the area of the Health Board to make arrangements for, administer or provide.

.

Law Society functions etc. as to certain legal services

Property etc. of the Scottish Conveyancing and Executry Services Board

11

All property, rights and liabilities of the Scottish Conveyancing and Executry Services Board are transferred to, and vested in, the Scottish Ministers; and any property or rights so transferred may be transferred by the Scottish Ministers to the Law Society of Scotland.

Regulation by the Law Society of conveyancing and executry services

12

In the Solicitors (Scotland) Act 1980 (c. 46) (in this Act referred to as the “1980 Act”)—

the 1990 Act” means the Law Reform (Miscellaneous Provisions) (Scotland) Act 1990 (c. 40);

.

Scottish Solicitors' Discipline Tribunal and certain practitioners

13

In the 1980 Act—

“and sections 16 to 23 (which relate to the provision of conveyancing and executry services) of the 1990 Act”

(1A) In subsection (1) above, without prejudice to the generality of that subsection, the reference to a complaint includes a complaint in respect of conveyancing and executry practitioners and the provision by them of conveyancing and executry services (those expressions having the meanings given in section 23 of the 1990 Act).

; and

(ab) for regulating the making, hearing and determining of— (i) inquiries under subsection (2A) of section 20 of the 1990 Act; and (ii) appeals under subsection (11)(b) of that section.

.

Exercise by certain practitioners of notarial and other functions

14

The Historic Environment Advisory Council for Scotland

The Historic Environment Advisory Council for Scotland

15

The Advisory Council’s functions

16

Miscellaneous provision

Miscellaneous provision

17

Schedule 4 (which makes provision in connection with the dissolution of the bodies mentioned in section 4, makes provision as to the functions of Health Boards, makes provision as to the functions of the Law Society of Scotland and the Scottish Solicitors' Discipline Tribunal in relation to the provision of conveyancing and executry services, makes modifications in relation to those services and makes minor and consequential amendments to enactments) has effect.

Part 3 — General provisions

Orders and regulations

18

is subject to annulment in pursuance of a resolution of the Parliament.

is not made unless a draft of the instrument has been laid before, and approved by resolution of, the Parliament.

Ancillary provision

19

The Scottish Ministers may by order make such incidental, supplemental, consequential, transitional, transitory or saving provision as they consider necessary or expedient for the purposes of or in consequence of this Act.

Interpretation

20

In this Act—

Short title and commencement

21

SCHEDULE 1

Disqualification

1

except in any case where, and to the extent that, the Parliament determines that this sub-paragraph is not to apply.

Status

2

and the Commissioner’s property is not to be regarded as property of, or property held on behalf of, the Crown.

except in so far as provided for in paragraph 13(1) and (4).

Validity of actings

3

The validity of any actings of the Commissioner is not affected by—

Term of office and tenure

4

Vacancy in office of Commissioner

5

Remuneration

6

The Commissioner is entitled to a salary of such amount, and such allowances, as the Parliamentary corporation may determine.

Pensions etc.

7

Staff

8

Assessors

9

Delegation

10

Financial provision

11

The Parliamentary corporation is to pay—

Accountable officer

12

and the accountable officer is answerable to the Parliament for the exercise of those functions.

Accounts and reports

13

in accordance with such directions as the Scottish Ministers may give.

Functions: supplementary provision

14

The Commissioner may do anything which appears necessary or expedient for the purpose of or in connection with the exercise of the functions of that office and, in particular, may—

SCHEDULE 2

SCHEDULE 3

Status

1

The Advisory Council is a body corporate.

2

The Advisory Council—

and its property is not to be regarded as property of, or property held on behalf of, the Crown.

Membership

3

Allowances etc.

4

Proceedings

5

Reports

6

The Advisory Council must annually prepare a report on the exercise of its functions and send a copy of the report to the Scottish Ministers; and the Scottish Ministers must lay a copy of the report before the Parliament.

Functions: supplementary provision

7

SCHEDULE 4

Confirmation of Executors (Scotland) Act 1858 (c. 56)

1

In section 2 (petition to Commissary to be substituted) of the Confirmation of Executors (Scotland) Act 1858, the words “or a recognised financial institution providing executry services” are repealed.

Historic Buildings and Ancient Monuments Act 1953 (c. 49)

2

In the Historic Buildings and Ancient Monuments Act 1953—

House of Commons Disqualification Act 1975 (c. 24)

3

In the House of Commons Disqualification Act 1975, in Part II of Schedule 1(offices disqualifying for membership)—

Race Relations Act 1976 (c. 74)

4

In the Race Relations Act 1976, in Part II of Schedule 1A (bodies and other persons subject to general statutory duty), the paragraphs relating to—

are repealed.

National Health Service (Scotland) Act 1978 (c. 29)

5

(b) any consultation which a Health Board is to undertake before making such a determination.

;

Ancient Monuments and Archaeological Areas Act 1979 (c. 46)

6

In the Ancient Monuments and Archaeological Areas Act 1979—

Solicitors (Scotland) Act 1980 (c. 46)

7

In section 32 (offence for unqualified persons to prepare certain documents) of the 1980 Act, in subsection (2A), for the words “qualified conveyancer” there is substituted . “conveyancing practitioner”

Law Reform (Miscellaneous Provisions) (Scotland) Act 1985 (c. 73)

8

In section 54 (clarification of certain investment powers) of the Law Reform (Miscellaneous Provisions) (Scotland) Act 1985—

are repealed.

Legal Aid (Scotland) Act 1986 (c. 47)

9

In section 43A (application of Act to services provided under the 1990 Act) of the Legal Aid (Scotland) Act 1986, in subsection (1)—

Electricity Act 1989 (c. 29)

10

In the Electricity Act 1989, in paragraph 4(2) of Schedule 9 (preservation of amenity and fisheries), the words from “, the” to “Scotland” in the second place where it appears are repealed.

National Health Service and Community Care Act 1990 (c. 19)

11

In the National Health Service and Community Care Act 1990—

Law Reform (Miscellaneous Provisions) (Scotland) Act 1990 (c. 40)

12

(16) (1) The Council of the Law Society of Scotland have the function of regulating the provision of conveyancing and executry services under sections 17 to 23 of this Act. (2) The Scottish Ministers may make grants to the Council towards expenses incurred, or to be incurred, by them in connection with the exercise of that function. (3) Any grant made under subsection (2) above may be made subject to such terms and conditions (including conditions as to repayment) as the Scottish Ministers consider appropriate and they may vary such terms and conditions after the grant is made.

.

(1) The Council shall establish and maintain a register of conveyancing practitioners, which shall be available for inspection by any person without charge. (1A) The register shall include an entry in respect of any person who was registered in the register of qualified conveyancers maintained by the Scottish Conveyancing and Executry Services Board immediately before the coming into force of this subsection. (1B) The entry in the register in respect of any such person who, immediately before the coming into force of this subsection, provided conveyancing services to the public for a fee, gain or reward shall be annotated to the effect that he is an independent conveyancing practitioner; but that annotation shall be removed if he ceases to provide such services for a fee, gain or reward.

;

(2A) The Council may charge such fee for registration under subsection (2) above as they may determine.

;

(4) Where the Council— (a) grant an application under subsection (2) above, they may attach such conditions as they may determine, and shall— (i) record any such conditions against the applicant’s name in the register; and (ii) give the applicant written reasons for any decision to attach such conditions; (b) refuse such an application, they shall give the applicant written reasons for their decision.

;

(5) Where the Council— (a) grant an application under subsection (2) above subject to conditions; or (b) refuse such an application, the applicant may, within 21 days of the date on which the Council’s decision is intimated to him, apply to the Council to review their decision.

;

(11) The Council may make rules for regulating the conduct and practice of conveyancing practitioners, and such rules may, in particular, make provision with respect to— (a) educational qualifications and practical training (including continuing professional development); (b) the manner in which such practitioners conduct the provision of conveyancing services; (c) complaints against such practitioners; and (d) in the case of independent conveyancing practitioners— (i) conflicts of interest; (ii) the contractual obligations of such practitioners; (iii) the holding of and accounting for clients' money; (iv) the disclosure of and accounting for commission; and (v) professional indemnity insurance and other arrangements for meeting claims by clients, and, in respect of the matters referred to in paragraphs (a) to (c) above, different provision may be made for different cases or classes of case. (11A) Rules made under subsection (11) above shall not have effect unless they have been approved by— (a) the Lord President of the Court of Session; and (b) subject to section 40 of this Act, the Scottish Ministers. (11B) Any— (a) rules as to the requirements to be satisfied by any person applying for registration as a qualified conveyancer; and (b) regulations as to the conduct and practice of independent qualified conveyancers, having effect immediately before the coming into force of this subsection shall have effect with respect to conveyancing practitioners and independent conveyancing practitioners respectively as if they were rules made under subsection (11) above which have been approved in accordance with subsection (11A) above; and the Council may amend or repeal any such rules or regulations.

;

(1) The Council shall establish and maintain a register of executry practitioners, which shall be available for inspection by any person without charge. (1A) The register shall include an entry in respect of any person who was registered in the register of executry practitioners maintained by the Scottish Conveyancing and Executry Services Board immediately before the coming into force of this subsection.

;

(2A) The Council may charge such fee for registration under subsection (2) above as they may determine.

;

and (ii) give the applicant written reasons for any decision to attach such conditions;

;

(10) The Council may make rules for regulating the conduct and practice of executry practitioners, and such rules may, in particular, make provision with respect to— (a) educational qualifications and practical training (including continuing professional development); (b) the manner in which such practitioners conduct the provision of executry services; (c) complaints against such practitioners; and (d) in the case of such practitioners who provide executry services to the public for a fee, gain or reward— (i) conflicts of interest; (ii) the contractual obligations of such practitioners; (iii) the holding of and accounting for clients' money; (iv) the disclosure of and accounting for commission; and (v) professional indemnity insurance and other arrangements for meeting claims by clients, and, in respect of the matters referred to in paragraphs (a) to (c) above, different provision may be made for different cases or classes of case. (10A) Rules made under subsection (10) above shall not have effect unless they have been approved by— (a) the Lord President of the Court of Session; and (b) subject to section 40 of this Act, the Scottish Ministers. (10B) Any regulations as to the conduct and practice of executry practitioners having effect immediately before the coming into force of this subsection shall have effect as if they were rules made under subsection (10) above which have been approved in accordance with subsection (10A) above; and the Council may amend or repeal any such regulations.

;

(13A) Subject to subsection (13B) below, an executry practitioner who provides executry services to the public for a fee, gain or reward shall be guilty of an offence and liable on summary conviction to a fine not exceeding level 4 on the standard scale. (13B) Subsection (13A) above shall not apply to an executry practitioner who, with the approval of the Scottish Conveyancing and Executry Services Board, provided executry services to the public for a fee, gain or reward at any time before the coming into force of that subsection.

.

(2A) Where— (a) after holding an inquiry into a complaint against a practitioner, the Scottish Solicitors' Discipline Tribunal are satisfied that— (i) he has been guilty of professional misconduct; or (ii) he has provided inadequate professional services; or (b) a practitioner has been convicted by any court of an act involving dishonesty or has been sentenced to a term of imprisonment of not less than 2 years, the Tribunal may take such of the steps set out in subsection (2B) below as they think fit. (2B) The steps referred to in subsection (2A) above are— (a) to suspend or revoke the registration of the practitioner; (b) subject to subsection (3) below, to impose on the practitioner a fine not exceeding £10,000; (c) to censure the practitioner; and (d) any of the steps which the Council may take in respect of a practitioner under subsection (2)(a) to (f) above.

;

(a) any period specified in this section for applying for review or for the making of an appeal in respect of the matter has expired without such a review having been applied for or such an appeal having been made;

;

(11A) Within 21 days of the date on which— (a) the outcome of any appeal under subsection (11)(b) above; or (b) the taking of any step referred to in subsection (2B) above, is intimated to the practitioner concerned, he may appeal to the Court of Session against the decision made by the Tribunal in the appeal or, as the case may be, to take such a step; and the Court may make such order in the matter as it thinks fit.

;

(20A) (1) The Council shall establish a procedure under which they shall, on the application of any aggrieved person, review any relevant decision made by them. (2) In subsection (1) above— (a) “relevant decision” means– (i) a refusal to grant an application for registration as a practitioner; (ii) a decision to grant an application for registration as a practitioner subject to conditions; or (iii) a decision to take any step set out in subsection (2)(a) to (f) of section 20 of this Act; and (b) “aggrieved person” means the applicant or, as the case may be, the practitioner concerned.

.

(21A) (1) The Council may exercise the power conferred by subsection (3) below for any of the following purposes— (a) an inquiry under subsection (1) of section 20 of this Act; (b) a review under subsection (11)(a) of that section; and (c) consideration by the Council whether to exercise the powers conferred on them by section 21 of this Act. (2) The Scottish Solicitors' Discipline Tribunal may exercise the power conferred by subsection (3) below for any of the following purposes— (a) an inquiry under subsection (2A) of section 20 of this Act; and (b) an appeal under subsection (11)(b) of that section. (3) The Council or, as the case may be, the Tribunal may give notice in writing to a practitioner specifying the subject matter of their investigation and requiring either or both of the following— (a) the production or delivery to any person appointed by the Council or, as the case may be, the Tribunal, at a time and place specified in the notice, of such documents so specified as are in the possession or control of the practitioner and relate to the subject matter of the investigation; (b) an explanation, within such period being not less than 21 days as the notice may specify, from the practitioner regarding the subject matter of the investigation. (4) If a practitioner fails to comply with a notice under subsection (3)(a) above, the Council or, as the case may be, the Tribunal may apply to the Court of Session for an order requiring him to produce or deliver the documents to the person appointed at the place specified in the notice within such time as the court may order. (21B) (1) Paragraphs 7 to 9, 11, 13 to 15 and 18A to 22 of Schedule 4 to the Solicitors (Scotland) Act 1980 (c. 46) (which make provision as to certain powers and procedures of the Scottish Solicitors' Discipline Tribunal) apply in relation to complaints made against conveyancing and executry practitioners as they apply in relation to complaints against solicitors, but as if— (a) in paragraph 8A, sub-paragraph (b) and the word “; or” immediately preceding it were omitted; and (b) in paragraphs 9 and 19, the references to Part IV of that Act were references to sections 20 and 21A of this Act. (2) Paragraphs 7, 8, 11, 13 to 15 and 18A to 22 of that Schedule to that Act apply in relation to any appeal under subsection (11)(b) of section 20 of this Act as they apply, by virtue of subsection (1) above, in relation to any complaint against conveyancing and executry practitioners, and— (a) the modifications made to those paragraphs by paragraph 23(a), (b) and (d) of that Schedule apply for the purposes of that application of those paragraphs; and (b) paragraphs 24 and 25 of that Schedule apply in relation to any such appeal as they apply in relation to an appeal to which those paragraphs apply, but as if the reference in paragraph 24 to Part IV of that Act were a reference to sections 20 and 21A of this Act. (3) In the case of a decision by the Scottish Solicitors' Discipline Tribunal— (a) to take any of the steps set out in subsection (2B) of section 20 of this Act; or (b) in an appeal under subsection (11)(b) of that section, subsection (4) below applies. (4) Where this subsection applies and— (a) no appeal has been made to the Court under subsection (11A) of section 20 of this Act against the decision; or (b) such an appeal has been made but has— (i) been withdrawn; or (ii) resulted in the Tribunal’s decision being upheld, the clerk of the Tribunal shall send to the Council a copy of the decision of the Tribunal certified by him and the decision of the Court in any such appeal. (5) If the decision of the Tribunal so certified is to suspend or revoke the registration of the practitioner under paragraph (a) of subsection (2B) of section 20 of this Act, the Council shall— (a) give effect to the decision; and (b) cause a note of the effect of the decision to be entered against the name of the practitioner in the register of conveyancing practitioners or, as the case may be, of executry practitioners. (21C) (1) The Council shall establish and maintain a fund for the purpose of making grants to compensate persons who in the opinion of the Council have suffered pecuniary loss by reason of dishonesty in connection with the provision of— (a) conveyancing services by or on behalf of an independent conveyancing practitioner; and (b) executry services to the public for a fee, gain or reward by or on behalf of an executry practitioner. (2) The Council may, for the purpose of guaranteeing the sufficiency of the fund mentioned in subsection (1) above, enter into a contract of insurance with any person authorised by law to carry out insurance business. (3) The Scottish Ministers may— (a) make contributions to the fund mentioned in subsection (1) above; and (b) defray any premium, fee or other expense payable by the Council under or in relation to a contract entered into under subsection (2) above. (4) The Council may, with the approval of the Scottish Ministers, make rules with regard to the operation of the fund mentioned in subsection (1) above and, without prejudice to the foregoing generality, such rules may make provision as to— (a) contributions to be paid to the fund by independent conveyancing practitioners and by executry practitioners who provide executry services to the public for a fee, gain or reward; (b) the procedure for making claims against the fund; and (c) the administration, management and protection of the fund. (5) The fund for the purpose of making grants to compensate persons by reason of dishonesty in connection with the provision of conveyancing and executry services maintained by the Scottish Conveyancing and Executry Services Board immediately before the coming into force of this subsection shall be transferred to and vested in the Council; and that fund shall be applied by the Council to the fund established under subsection (1) above. (6) Any rules as to the fund transferred under subsection (5) above having effect immediately before the coming into force of this subsection shall have effect with respect to the fund established under subsection (1) above as if they were rules made under subsection (4) above; and the Council may amend or repeal any such rules.

.

  • conveyancing practitioner” means a person registered under section 17 in the register of conveyancing practitioners;

;

  • the Council” means the Council of the Law Society of Scotland;

;

independent conveyancing practitioner” means a conveyancing practitioner whose entry in the register of conveyancing practitioners has been annotated to that effect under section 17(1B);

;

; and “ “relevant notarial services” means the functions exercisable by independent conveyancing practitioners by virtue of section 14(1) and (2) of the Public Appointments and Public Bodies etc. (Scotland) Act 2003 (asp 4).

.

Planning (Listed Buildings and Conservation Areas) (Scotland) Act 1997 (c. 9)

13

In the Planning (Listed Buildings and Conservation Areas) (Scotland) Act 1997—

National Health Service (Primary Care) Act 1997 (c. 46)

14

In the National Health Service (Primary Care) Act 1997—

are repealed.

are repealed.

Ethical Standards in Public Life etc. (Scotland) Act 2000 (asp 7)

15

In the Ethical Standards in Public Life etc. (Scotland) Act 2000, in schedule 3 (devolved public bodies) the entries relating to—

are repealed.

Scottish Public Services Ombudsman Act 2002 (asp 11)

16

In the Scottish Public Services Ombudsman Act 2002, in Part 2 of schedule 2 (listed authorities)—

(21A) The Commissioner for Public Appointments in Scotland.

.

Freedom of Information (Scotland) Act 2002 (asp 13)

17

In the Freedom of Information (Scotland) Act 2002, in schedule 1 (Scottish public authorities)—

are repealed;

are repealed; and

(62A) The Commissioner for Public Appointments in Scotland.

; and

(67A) The Historic Environment Advisory Council for Scotland.

.

The Commissioner’s functions

Property of the Scottish Hospital Trust

Scottish Solicitors' Discipline Tribunal and certain practitioners

The Historic Environment Advisory Council for Scotland

Ancillary provision

Executive bodies

Editorial notes

[^key-f97c127ed66137786cd90303b14c43c8]: S. 17 in force at 31.5.2003 for specified purposes by S.S.I. 2003/219, art. 2(1)(b)

[^key-10d0c7252f6bf78dede637b99d654ee8]: Sch. 4 para. 2 in force at 31.5.2003 by S.S.I. 2003/219, art. 2(1)(c)

[^key-a00d3c7fd8fbdff571897e91ee82a831]: Sch. 4 para. 6 in force at 31.5.2003 by S.S.I. 2003/219, art. 2(1)(c)

[^key-b5e38461f5ff06a1f941789c938d2c48]: Sch. 4 para. 10 in force at 31.5.2003 by S.S.I. 2003/219, art. 2(1)(c)

[^key-5808cab07867e38bf8c4229769a41fcd]: Sch. 4 para. 13 in force at 31.5.2003 by S.S.I. 2003/219, art. 2(1)(c)

[^key-22649cad01eba8158fcd63915f25d7a2]: Sch. 4 para. 4(a)(b) in force at 31.5.2003 by S.S.I. 2003/219, art. 2(1)(c)

[^key-945b9f4b019bbb88ba0467c2b97cf216]: Sch. 4 para. 17(b)(i)(ii) in force at 31.5.2003 by S.S.I. 2003/219, art. 2(1)(c)

[^key-667ce6b736e32e0ab9ec55b31a8236ef]: S. 4(a)(b) in force at 31.5.2003 by S.S.I. 2003/219, art. 2(1)(a)

[^key-078897631528152b7c4a5ce43f8fbc9c]: S. 15 in force at 1.6.2003 by S.S.I. 2003/219, art. 2(2)(a)

[^key-0583c166069530945db7a515e6650992]: S. 16 in force at 1.6.2003 by S.S.I. 2003/219, art. 2(2)(a)

[^key-5996e3b2e4be90dc9f3d23aa30c35146]: S. 17 in force at 1.6.2003 for specified purposes by S.S.I. 2003/219, art. 2(2)(b)

[^key-b389d02012bc26bea261c48674f158dc]: Sch. 4 para. 17(c)(ii) in force at 1.6.2003 by S.S.I. 2003/219, art. 2(2)(c)

[^key-22451d74559372a392cb3f9e60e3b313]: Sch. 3 para. 1 in force at 5.7.2003 by S.S.I. 2003/348, art. 2

[^key-e16188d6b21137543a3459e6f2df5f36]: Sch. 3 para. 2 in force at 5.7.2003 by S.S.I. 2003/348, art. 2

[^key-be8efee806670346b66050de4a08a251]: Sch. 3 para. 3 in force at 5.7.2003 by S.S.I. 2003/348, art. 2

[^key-a1cb53976fec121df0826420ce103764]: Sch. 3 para. 4 in force at 5.7.2003 by S.S.I. 2003/348, art. 2

[^key-6664f2608f6294143ca015baabf5b1fe]: Sch. 3 para. 5 in force at 5.7.2003 by S.S.I. 2003/348, art. 2

[^key-3694b459a474db81bc7b109ec97b1e24]: Sch. 3 para. 6 in force at 5.7.2003 by S.S.I. 2003/348, art. 2

[^key-d26996f3321db5115839379c15fa7301]: Sch. 3 para. 7 in force at 5.7.2003 by S.S.I. 2003/348, art. 2

[^key-9df96a5f3366e9e5bc797de3493e7f6c]: S. 4(e) in force at 15.8.2003 by S.S.I. 2003/384, art. 2(a)

[^key-e5e634f04259491593a78a9f6d05ca73]: S. 11 in force at 15.8.2003 by S.S.I. 2003/384, art. 2(a)

[^key-b4c509515f08cebde011282136d2f7d8]: S. 12 in force at 15.8.2003 by S.S.I. 2003/384, art. 2(a)

[^key-e4903b292ae7fcdede205a2ec90ff8a0]: S. 13 in force at 15.8.2003 by S.S.I. 2003/384, art. 2(a)

[^key-ae0381da80de34d95503f335b7b1258e]: S. 14 in force at 15.8.2003 by S.S.I. 2003/384, art. 2(a)

[^key-064b0f0f8988565d9063002e9b30f195]: S. 17 in force at 15.8.2003 for specified purposes by S.S.I. 2003/384, art. 2(b)

[^key-832a42a3982963ab283250fae9026e20]: S. 20 in force at 15.8.2003 for specified purposes by S.S.I. 2003/384, art. 2(c)

[^key-0f9b130ce10d69f563392230c82ccc77]: Sch. 4 para. 1 in force at 15.8.2003 by S.S.I. 2003/384, art. 2(d)

[^key-b7c5501bfdc1b460832feb9d2d20816e]: Sch. 4 para. 3(b) in force at 15.8.2003 by S.S.I. 2003/384, art. 2(d)

[^key-513cc89223db46b141f9ea9f8a608403]: Sch. 4 para. 4(e) in force at 15.8.2003 by S.S.I. 2003/384, art. 2(d)

[^key-ed9918ae658373a8c70984d700cd869a]: Sch. 4 para. 7 in force at 15.8.2003 by S.S.I. 2003/384, art. 2(d)

[^key-63c27362e3d584d350e63dfc8977b0d6]: Sch. 4 para. 9 in force at 15.8.2003 by S.S.I. 2003/384, art. 2(d)

[^key-cf3cbfdd06fa222d0a224e50fbb3e812]: Sch. 4 para. 12 in force at 15.8.2003 by S.S.I. 2003/384, art. 2(d)

[^key-ee0d3b0ebc4cfd00647364d0950ac3a3]: Sch. 4 para. 15(b) in force at 15.8.2003 by S.S.I. 2003/384, art. 2(d)

[^key-e018edb152a1c09ab3139df89f6be2bb]: Sch. 4 para. 17(b)(iii) in force at 15.8.2003 by S.S.I. 2003/384, art. 2(d)

[^key-bcd4138c9462d1cd086b763d49964eca]: S. 5(2)-(6) in force at 1.1.2004 by S.S.I. 2003/602, art. 2(1)

[^key-7c66dec42d078ea9474f165f5a9706f8]: S. 7(8) in force at 1.1.2004 by S.S.I. 2003/602, art. 2(1)

[^key-48ccd9fde323c32d041a24853b5c626d]: S. 8 in force at 1.1.2004 by S.S.I. 2003/602, art. 2(1)