Memorandum of Understanding. between. Solicitors Regulation Authority. and. The Claims Management Regulation Unit (CMR)

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Transcription:

Memorandum of Understanding between Solicitors Regulation Authority and The Claims Management Regulation Unit (CMR)

Introduction 1. The Claims Management Regulation Unit (CMR) and the Solicitors Regulation Authority (SRA) ( the parties ) are committed to working together to achieve appropriate public interest outcomes in the regulation of claims management services in the provision of legal services. In support of that aim, this Memorandum of Understanding (MoU) sets out the framework for effective liaison and communications between CMR and the SRA. 2. This MOU is a bilateral agreement sitting beneath a Framework Memorandum of Understanding (MoU) dated 2 May 2012. As signatories to the Framework MoU, the parties have regard to its key principles. The aims of this MoU include: 2a. The facilitation of each party s commitment to the requirements of section 54 LSA 2007 to make such provision as is reasonably practicable and, in all the circumstances, appropriate: a. to prevent external regulatory conflicts; b. to provide for the resolution of any external regulatory conflicts which arise; and c. to prevent unnecessary duplication of regulatory provisions made by an external regulatory body. 2b. In so far as possible, provide a mechanism to resolve overlaps in ways which: a. provide the best form of consumer protection and redress; b. minimise confusion for market participants; and c. reduce/remove conflict in the future. 2c. A commitment by the parties to exercise their respective functions automously and provide a framework to: a. assist the parties in their regulatory roles in the public interest so far as such assistance is lawful; and b. provide a mechanism for the lawful flow of information between the SRA and the CMR. Legal status and effect 3. Nothing in this MoU shall, or is intended to: a. create any legal procedural right or obligation which is enforceable by either of the parties against the other; or b. create any legal or procedural right or obligation which is enforceable by any third party against either of the parties, or against any other third party; or c. prevent either of the parties from complying with any law which applies to them; or

d. fetter or restrict in any way whatsoever the exercise of any discretion which the law requires or allows the parties to exercise; or e. create any legitimate expectation on the part of any person that either of the parties will do any act (either at all, or in any particular way, or at any particular time), or will refrain from doing any act. It provides a framework for co-operation, co-ordination and exchange of information in order to facilitate effective public protection and working relationships. Roles and responsibilities 4. The CMR, within the Ministry of Justice (MOJ), was established in 2007 under the provision of Part 2 of the Compensation Act 2006 and its associated rules, regulations and orders. The overriding objective of regulation is to provide better safeguards and protections to consumers and to promote access to justice. 5. The CMR is responsible for regulating the activities of businesses providing claims management services in England and Wales. The sectors regulated by the CMR are Personal Injury, Financial Products and Services, Criminal Injuries, Employment matters, Housing Disrepair and Industrial Injuries Disablement. The CMR is responsible for regulating the activities of businesses providing claims management services under Part 2 of the Compensation Act 2006. The Compensation Act defines claims management services as advice or other services in relation to the making of a claim. Businesses providing these types of services are most commonly known as claims management companies. Any business providing regulated claims management services in England and Wales, unless exempt, requires authorisation by the CMR. 6. The overriding objective of regulation is to provide better safeguards and protections to consumers and to promote access to justice. The Conduct of Authorised Persons Rules govern the regulation of Claims Management Companies and are prescribed under Regulation 22 of the Compensation (Claims Management Services) Regulation 2006. www.gov.uk/moj/cmr. The CMR use a range of outcomes including advice, warnings and statutory action including cancellation or suspension of a licence. 7. Further information on the CMR s approach to enforcement can be found at www.gov.uk/moj/cmr. 8. The SRA is the independent regulatory body established by the Law Society for the regulation of legal services by law firms and solicitors in England & Wales. The SRA s powers arise from various statues and regulations including the Solicitors Act 1974, the Administration of Justice Act 195, the Courts and Legal Services Act 1990, the Legal Services Act 2007 and the SRA s Handbook: http://www.sra.org.uk/solicitors/handbook/welcome.page. 9. The SRA has statutory and rule-based powers to require the production of documents or information, such as section 44B of the Solicitors Act 1974 and section 93 of the Legal Services Act 2007.

10. The SRA may inspect material that is subject to a law firm s client s legal professional privilege (LPP) or confidentiality but may only use such material for its regulatory purposes. The SRA also protects the LPP and confidentiality of clients. LPP material will not be disclosed by the SRA to any other person other than where necessary for its regulatory purposes. Material that is not subject to LPP may be disclosable in the public interest, in the absolute discretion of the SRA, including material comprising communications in furtherance of crime or fraud. Information sharing 11. Where it is lawful and in the public interest to do so, the parties agree to disclose information to the other: a. to enable the assessment of risk to the public such as to: minimise risks to consumer detriment; and/or ensure access to justice; b. so that alleged breaches of the Compensation Act 2006, the Legal Aid Sentencing and Punishment of Offenders Act 2012, misconduct, breach of the SRA principles, or other failures are properly investigated and decided upon; c. to enable the proper processing of claims or applications for redress or compensation of any description; and d. for the purposes of regulatory, disciplinary or other legal proceedings, whether in public or not provided that the recipient is reasonably considered able to take regulatory or other proper action upon the information. 12. The recipient of information from the other party will: a. comply at all times with the Data Protection Act 1998 and any related or analogous legislation; b. keep the information secure; c. use the information only for proper purposes, such as regulatory, disciplinary or other legal investigations or proceedings; and d. liaise or co-operate where appropriate to avoid action that prejudices or may prejudice an investigation by another party or person. 13. Proper purposes may also include further lawful disclosure of the information such as to persons under investigation, witnesses, legal advisers, other regulators, professional bodies, prosecuting bodies, and law enforcement agencies including the police (or any body that in future carries out the functions of such bodies). 14. The disclosing party also agrees to notify the recipient of: a. any restrictions on the use to which the information can be put; b. any restrictions which apply to the onward disclosure of the information; and

c. in the absence of such notification, the receiving party may assume that there are no such restrictions (in addition to any restrictions that apply as a matter of law). Practical exchange of information 15. The SRA has a Fraud and Confidential Intelligence Bureau (FCIB) whose role includes the lawful facilitation of intelligence and information sharing with other bodies. 16. The SRA may seek information from the CMR pursuant to section 44BB of the Solicitors Act 1974 of any analogous or replacement power. 17. All information exchanged between the parties should be passed via the nominated Single Point of Contact (SPOC). The nominated SPOC for the CMR is Herinder Bassi, Intel analyst. The nominated SPOC for the SRA is Stephen Wilmott of the FCIB. Additional assistance and co-operation 18. Either of the parties may request additional co-operation in the following areas, and such requests shall be given due consideration: a. sharing subject-matter expertise; and b. supplying witness statements, expert advice or oral evidence of use or potential use in court or tribunal proceedings. 19. Where necessary the parties will identify and endeavour to agree any areas of unnecessary duplication of investigation and will seek to co-ordinate work where appropriate, in particular to ensure consistency in approach. In doing so the parties will take account of: any potential prejudice to the regulatory work of either party; the need for a consistent approach, in particular where issues of fact are the same or similar; the evidence obtained by one regulatory and its admissibility in action by the other regulator; the timing of matters where relevant, including any previous formal findings of each regulator; and the regulatory costs involved. Security and assurance 20. The parties agree to: a. only use the data for the purposes for which they have received it; b. store data securely;

c. ensure that only people who have a genuine business need to see that date will have access to it; d. report data losses or wrongful disclosure to the SPOCs; e. only hold it while there is a business need to keep it; f. destroy it in line with applicable guidelines; and g. provide assurance that they have complied with these principles, upon request Data Protection Act 1998 (DPA) and, Human Rights Act 1998 (HRA) 21. Both parties undertake to comply with the requirements of the DPA and the HRA in the operation of this agreement. Freedom of Information (FoI) Act 2000 22. If a FoI request is received in relation to the other party s information then the receiving party will inform the other party, and invite representations on the potential impact of disclosure. Costs/charges 23. No charges will be made by either the SRA or the CMR. Resolving problems 24. Problems that arise between the parties will be resolved through discussion by the SPOCs, with escalation to more senior managers where necessary. Reporting and review arrangements 25. This MoU will remain in force until terminated by either party. The parties will use their best endeavours to review its operation every two years. 26. Any changes to this MoU may be agreed in writing. Transparency 27. This Memorandum is a public document and the parties may publish it as they separately see fit.

Signatories... for CMR Date 28 June 2016 Name: Kevin Rousell Description: Head of CMR... for SRA Date 23 June 2016 Name: Carol Westrop Description: Head of Legal Policy