Legislation – Regulation of Legal Services (Scotland) Act 2025

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Introduction

Part 1
Regulatory framework

Chapter 1 Objectives, principles and key definitions

Overview of Part

1 Overview of the regulatory framework

Regulatory objectives

2 Regulatory objectives

3 Application of the regulatory objectives

Professional principles

4 Professional principles

Meaning of key expressions

5 Meaning of “legal services” and “legal services provider”

6 Meaning of regulatory functions

Chapter 2 regulators

Regulatory categories

7 Regulatory categories

Requirements of category 1 regulators

8 Exercise of regulatory functions

9 Regulatory committee: composition and membership

10 Regulatory committee: lay and legal members

11 Regulatory committee: convener, sub-committees and minutes

12 Annual reports of category 1 regulators

13 Compensation funds

Requirements of category 2 regulators

14 Exercise of regulatory functions

15 Annual reports of category 2 regulators

Requirements of both category 1 and category 2 regulators

16 Register of regulated legal services providers

17 Professional indemnity insurance

Powers of the Lord President in relation to regulators

18 Review of regulatory performance by the Lord President

19 Measures open to the Lord President

Special rule changes

20 Power to direct special rule changes

21 Powers to amend or revoke directions

22 Register of directions

Chapter 3 New regulators of legal services

Applications

23 Right to provide legal services

24 Regulatory scheme

25 Regulatory scheme – additional matters to be included: further provision

26 Publication of draft regulatory scheme and representations

Consideration and grant

27 Consideration of applications

28 Approval of application and giving effect to the regulatory scheme

Exercise of the acquired rights

29 Exercise of rights to provide legal services

30 Surrender of rights

31 Offence of pretending to have acquired rights

Review of regulatory scheme

32 Review of regulatory scheme on initiative of accredited regulator

33 Review of regulatory schemes

34 Revocation of acquired rights

Miscellaneous

35 Replacement regulatory arrangements for authorised providers

36 Consequential amendments and repeals

37 Transitional and saving provision for regulators approved under the 1990 Act

Part 2
Regulation of legal businesses

38 Overview of Part

39 Requirement for legal businesses to be authorised to provide legal services

40 Offence of pretending to be an authorised legal business

41 Rules for authorised legal businesses

42 Authorisation rules

43 Appeals in relation to authorisation decisions

44 Practice rules

45 Financial sanctions

46 Reconciling different rules

47 Monitoring of performance of authorised legal businesses

48 Law Society of Scotland

49 Entities changing regulatory regime

Part 3
Complaints

50 Receipt of complaints: preliminary steps

51 Complaints initiated by, or continued by, the Commission

52 Ineligible or premature complaints

53 Commission process relating to complaints

54 Commission’s duty to investigate and determine services complaints

55 Regulatory complaints against authorised legal businesses

56 Services complaint: sanctions

57 Commission decision making and delegation

58 Commission review committee

59 Disclosure of information by practitioners etc. to the Commission and relevant professional organisations

60 Power of Commission to request practitioner’s details in connection with complaints

61 Services complaints: special provision for complaints against unregulated persons

62 Handling complaints

63 Annual general levy and complaints levy

64 Unregulated providers of legal services: register, annual contributions and complaints contributions

65 Commission rules as to practice and procedure

66 Conduct or regulatory complaint raised by relevant professional organisation

67 Conduct or regulatory complaint appears to relevant professional organisation during investigation to be services complaint

68 Conduct complaints: consideration by relevant professional organisations

69 Complaints: monitoring and setting of minimum standards by the Commission

70 Compensation funds: setting of minimum standards by the Commission

71 Enforcement of minimum standards

72 Obtaining information from practitioners

73 Power to disclose information about complaints: Commission

74 Restriction on disclosure of information: Commission

75 Power to disclose information about complaints: relevant professional organisations

76 Restriction on disclosure of information: relevant professional organisations

77 Conduct complaints: power to impose unlimited fine and removal of power to award compensation

78 Faculty of Advocates: complaint of professional misconduct and publication of decision

79 Commission membership

80 Role of the independent advisory panel

81 Commission reports

82 Minor and consequential amendments

Part 4
Miscellaneous

83 Financial sanctions

84 Licensing rules: fees

85 Removal of requirement to act for fee, gain or reward

86 Eligibility criteria: law centres

87 Majority ownership

88 Non-solicitor investors: factors as to fitness

89 Removal of practising restrictions: law centres, citizens advice bodies and charities

90 Offence of taking or using the title of lawyer

91 Offence of pretending to be a regulated legal services provider

92 Offence of pretending to be a member of Faculty of Advocates

93 Time limit for prosecution of offences

94 Power of the Scottish Ministers to adjust restricted legal services

95 Lord President’s functions under Parts 1 and 2: rule-making making power

96 Modification of other enactments

97 Review of Act

Part 5
General

98 Individual culpability for offending by an organisation

99 Civil enforcement in relation to offences

100 Regulations

101 Ancillary provision

102 Interpretation

103 Commencement

104 Short title

SCHEDULES

Schedule 1 Law Society of Scotland

Schedule 2 Further provision about measures open to the Lord President

Schedule 3 Minor and consequential modifications of enactments

Part 1Regulatory framework

Chapter 2regulators

Powers of the Lord President in relation to regulators

18Review of regulatory performance by the Lord President

(1)

If the condition in subsection (2) is met, the Lord President may review the performance of a category 1 or category 2 regulator’s regulatory functions—

(a)

on the Lord President’s own initiative, or

(b)

if the Lord President is requested to do so by—

(i)

the Scottish Parliament following a resolution of the Parliament that the request should be made (whether or not following consideration of the regulator’s annual report),

(ii)

the independent advisory panel of the Commission, or

(iii)

Consumer Scotland.

(2)

The condition is that the Lord President is concerned that the regulator is failing or is likely to fail—

(a)

to exercise its regulatory functions in a manner that is compatible with the regulatory objectives, or

(b)

to comply with the requirements imposed on the regulator under this Act or any other enactment.

(3)

A request for a review may be made under subsection (1)(b) by a requesting body only where the requesting body—

(a)

is concerned that the regulator may be failing, or may be likely to fail—

(i)

to exercise its regulatory functions in a manner that is compatible with the regulatory objectives, or

(ii)

to comply with the requirements imposed on the regulator under this Act or any other enactment, and

(b)

has—

(i)

given notice to the regulator of its reasons for proposing to make the request based on its concerns, and

(ii)

given the regulator a reasonable opportunity (which must be no fewer than 28 days from the date of the notice) to respond to the notice and address the requesting body’s concerns (or commit to addressing those concerns).

(4)

A request for a review made under subsection (1)(b)—

(a)

must specify each regulatory function or other function of the regulator to which the request relates, and

(b)

must be accompanied by—

(i)

a copy of the requesting body’s notice sent to the regulator under subsection (3), and

(ii)

either—

(A)

a copy of any written response (or a written summary of any verbal response) by the regulator to the notice given under subsection (3) which the requesting body considers to be insufficient to address its reasons for proposing to make a request for a review, or

(B)

written confirmation from the requesting body that the regulator has failed to respond to its notice given under subsection (3) within the required period for a response.

(5)

Reviewing the performance of a category 1 or category 2 regulator includes (in particular) doing so by reference to—

(a)

its compliance with the regulatory objectives,

(b)

the exercise of its regulatory functions,

(c)

its compliance with the requirements imposed on it under this Act or any other enactment,

(d)

the operation of its regulatory committee (if any) or other internal governance arrangements,

(e)

its compliance with—

(i)

any direction to it by the Commission under the 2007 Act, or

(ii)

any measures applying to it by virtue of section 19(4).

(6)

A category 1 or 2 regulator must—

(a)

provide such information about its performance of its regulatory functions as the Lord President may reasonably request (whether in connection with a review under subsection (1) or a decision as to whether to conduct such a review), and

(b)

do so within the period of 28 days beginning with the date of the request (or such longer period as the Lord President may allow).

(7)

Subsection (8) applies if—

(a)

the Lord President requests information from a category 1 or category 2 regulator in connection with an existing review under subsection (1) relating to the regulator, and

(b)

the regulator fails, without a reasonable excuse, to provide some or all of the requested information within the 28 day period mentioned in subsection (6) (or within such longer period allowed by the Lord President to respond).

(8)

The Lord President may add the failure to the matter (or matters) being considered as part of the existing review but, before doing so, the Lord President must notify the regulator in writing of the proposal and give the regulator an opportunity to respond within the period specified in the notice (which must be no fewer than 14 days from the date of the notice) to—

(a)

provide all of the information requested under subsection (6), or

(b)

provide a reasonable excuse for the failure to provide all of the requested information within the period specified in that subsection (or within such longer period allowed by the Lord President to respond to the notice under that subsection).

(9)

If the Lord President considers that any person other than a category 1 or category 2 regulator may hold information relating to the performance of a category 1 or category 2 regulator’s regulatory functions—

(a)

the Lord President may ask the person to confirm whether they hold such information as the Lord President may specify in the request, and

(b)

the person must respond to the request as soon as practicable and the response must include—

(i)

confirmation of whether or not the person holds the information specified in the request, and

(ii)

if any such information is held by the person, details of the nature of the information that is held.

(10)

Any person other than a category 1 or category 2 regulator who holds information relating to the performance of a category 1 or category 2 regulator’s regulatory functions must—

(a)

provide such of that information as the Lord President may reasonably request, and

(b)

do so within the period of 28 days beginning with the date of the request (or such longer period as the Lord President may allow).

(11)

In conducting a review under subsection (1), the Lord President must consult such persons or bodies as the Lord President considers appropriate.

(12)

Following a review under subsection (1), the Lord President must—

(a)

prepare a report detailing the Lord President’s findings and any measures the Lord President intends to take under section 19,

(b)

publish the report in such manner as the Lord President considers appropriate (having regard to the desirability of it being accessible to those likely to have an interest in the report), and

(c)

send a copy of the report to—

(i)

the regulator to which the review relates, and

(ii)

if the review was conducted following a request under subsection (1)(b), the requesting body.

(13)

If a request for a review is made under subsection (1)(b) and the Lord President decides not to conduct a review under subsection (1), the Lord President must inform the requesting body in writing of the reasons for the Lord President’s decision.