The Personal and Occupational Pension Schemes (Pensions Ombudsman) Regulations 1991

Type Statutory-Instrument
Publication 1991-03-11
State In force
Department Queen's Printer of Acts of Parliament
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Made: 11th March 1991

Laid before Parliament: 11th March 1991

Coming into force: 1st April 1991

The Secretary of State for Social Security in exercise of the powers conferred by sections 166(1) to (3A) and 168(1) of, and Schedule 20 to, the Social Security Act 1975[^f00001], sections 59C(3) and (5) and 66(2) of the Social Security Pensions Act 1975[^f00002] and of all other powers enabling him in that behalf, after agreement by the Social Security Advisory Committee that proposals to make these Regulations in so far as they are made under powers In section 59C(5) of the Social Security Pensions Act should not be referred to it, by this instrument, which is otherwise made before the end of a period of 6 months from the coming into force of section 12 of and Schedule 3 to the Social Security Act 1990[^f00003] hereby makes the following Regulations:

Citation, commencement and interpretation

1

and other expressions have the same meaning as in the Pensions Act.

Extension of Pensions Ombudsman’s jurisdiction to employers

2

Exclusion from jurisdiction

3

The Pensions Ombudsman shall not investigate or determine—

other than a complaint or dispute relating to the management of a personal pension scheme;

Time limit for making of complaints and reference of disputes

4

Signed

Signed by authority of the Secretary of State for Social Security.

Henley — Parliamentary Under-Secretary of State, — Department of Social Security — 11th March 1991

Explanatory note

(This note is not part of the Regulations)

These Regulations are made under subsections 59C(3) and (5) of the Social Security Pensions Act 1975 (“the Pensions Act”) as inserted by Schedule 3 to the Social Security Act 1990.

The Regulations make provision in relation to the Pensions Ombudsman established under section 59B(1) of that Act.

Regulation 2 makes provision for the extension of the Ombudsman’s jurisdiction to the employer in relation to an occupational pension scheme.

Regulation 3 excludes from the jurisdiction of the Pensions Ombudsman a complaint or dispute relating to the armed forces pension scheme in a case where there is a right to make a complaint to the Defence Council, disputes of fact or law in respect of public service schemes (other than the National Health Service Superannuation Scheme for England and Wales) and certain complaints and disputes which can be investigated by, or under arrangements made by, a recognised self-regulating organisation or a designated agency under the Financial Services Act 1986.

Regulation 4 makes provision as to the time limits for bringing a case to the Pensions Ombudsman.

These Regulations, except in so far as they are made under the powers in section 59C(5) of the Social Security Pensions Act 1975 are made before the expiry of 6 months from the coming into force of the provisions under which they are made; they are accordingly exempt by section 61(5) of that Act from reference to the Social Security Advisory Committee and have not been so referred.

Footnotes

[^f00001]: 1975 c. 14. Sections 166( 1) to (3A) and 168(1) apply by virtue of section 66(2) of the Social Security Pensions Act 1975 (c. 60) to the exercise of certain powers conferred by that Act.

[^f00002]: 1975 c. 60; section 59C was inserted by section 12(1) of, and Schedule 3 to, the Social Security Act 1990) (c.27).

[^f00003]: 1990 c. 27. See the Social Security Act 1986 (c. 50), section 61 (1)(b) and (5) as substituted by the Social Security Act 1989 (c. 24), Schedule 8, paragraph 12(3). Section 12 of and Schedule 3 to the Social Security Act 1990 were brought into force by S.I. 1900/1446.

[^f00004]: 1986 c. 60. Recognition Orders relevant for these purposes have been made in relation to the Investment Management Regulatory Organisation, the Financial Intermediaries Managers and Brokers Regulatory Association and the Life Assurance and Unit Trust Regulatory Organisation. A certified copy of the register entry relating to any of these recognitions may be obtained from the Security and Investments Board under section 103(5) of the Financial Services Act 1986.

[^f00005]: See the Financial Services Act 1986 (Delegation) Order 1987 (S.I. 1987/942).

[^f00006]: 1972 c. 11; the current regulations are the National Health Service (Superannuation) Regulations 1980 (S.I. 1980/362) to which there are amendments.

[^f00007]: 1955 c. 18.

[^f00008]: 1955 c. 19.

[^f00009]: 1957 c. 53.

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