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Statutory Instrument

The Provision of Services (Insolvency Practitioners) Regulations 2009

Citation
S.I. 2009/3081
As at
Sections
14
Section 1Citation and commencement

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Section 2Amendments to the Insolvency Act 1986

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Section 3Amendment to article 3 of the Insolvency Practitioners and Insolvency Services Account (Fees) Order 2003

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Section 4Amendments to the Insolvency Practitioners Regulations 2005

The Insolvency Practitioners Regulations 2005 are amended as set out in the Schedule to these Regulations.

Section 5Transitional provision

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Section 1

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Section 2

The principal Regulations are amended as set out in paragraphs 3 to 9 of this schedule.

Section 3Amendment to regulation 7

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Section 4Amendments to regulation 8

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Section 5Amendment to regulation 10

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Section 6Amendment to regulation 11

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Section 7Amendment to regulation 12

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Section 8Amendments to Schedule 2

(1) Schedule 2 (requirements for security or caution and related matters) is amended as follows.

(2) In paragraph 1 (interpretation) after the definition of “insolvent’s assets” insert—

“professional liability insurance” means insurance taken out by the insolvency practitioner in respect of potential liabilities to the insolvent and third parties arising out of acting as an insolvency practitioner;

(3) After paragraph 2 add—

Requirement for bond or professional liability insurance

(2A) Where an insolvency practitioner is appointed to act in respect of an insolvent there must be in force—

(a) a bond in a form approved by the Secretary of State which complies with paragraph 3; or

(b) where the insolvency practitioner is already established in another EEA state and is already covered in that state by professional liability insurance or a guarantee, professional liability insurance or a guarantee which complies with paragraph 8A.

(4) In paragraph 3 (requirement for bonding–terms of the bond)—

(a) for the title substitute “ Terms of the bond ”; and

(b) for sub-paragraph (1) substitute—

(1) The bond must—

(a) be in writing or in electronic form;

(b) contain provision whereby a surety or cautioner undertakes to be jointly and severally liable for losses in relation to the insolvent caused by—

(i) the fraud or dishonesty of the insolvency practitioner whether acting alone or in collusion with one or more persons; or

(ii) the fraud or dishonesty of any person committed with the connivance of the insolvency practitioner; and

(c) otherwise conform to the requirements of this paragraph and paragraphs 4 to 8.

(5) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

(6) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

(7) In paragraph 10 (retention of bond by recognised professional body or competent authority)—

(a) for “The bond referred to in paragraph 3 shall” substitute “(1) The documents in sub-paragraph (2) or a copy must”; and

(b) after sub-paragraph (b) add—

(2) The documents in this sub-paragraph are—

(a) the bond referred to in paragraph 3;

(b) where the Secretary of State has determined under paragraph 8B(4)—

(i) the document in paragraph 8B(1)(a) and (b); and

(ii) the notice under paragraph 8B(4);

(c) where the Secretary of State has determined under paragraph 8C(4)

(i) the documents in paragraphs 8B(1)(a) and (b) and 8C(1)(a) and (b);and

(ii) the notice under paragraph 8C(3).

(3) The document in sub-paragraph (2) or a copy of it may be sent electronically.

(8) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

Section 9Amendments to Schedule 3

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14 sections

Cite this legislation

The Provision of Services (Insolvency Practitioners) Regulations 2009 (legislation.gov.uk, OGL v3.0). Retrieved via LawPlayer, https://lawplayer.com/uk/act/uksi-2009-3081

Contains public sector information licensed under the Open Government Licence v3.0.

OGL-3

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