1. |
GENERAL |
1.1 |
Interpretation
In these Rules:
"Appellant" means the party serving a Disciplinary Appeal Notice in accordance with Rule 7.9.1;
"Applicant" means a person applying for registration as a Registered Provider;
"Authority" means the Funeral Planning Authority Limited;
"Close relative" in relation to any person, means:
- (1) his spouse,
- (2) his child, parent or sibling (including any step-child, step-parent or step-sibling), or
- (3) the spouse of any person within paragraph (2) and in these Rules 'spouse' includes a person whose relationship with another person (whether or not of the same sex) has the characteristics of the relationship of husband and wife;
"Code of Practice" means any code of practice, as made or amended from time to time, by the Authority in accordance with Rule 3.1;
"Compliance Committee"
means the Compliance Committee appointed by the Authority under
its Articles of Association;
"Connected person"
means, in respect of a Registered Provider, a person who is:
- (1) the Registered Provider, a partner in the Registered Provider or any company which is a member of the same group as, or an associated company of, the Registered Provider;
- (2) a director, officer or employee of the Registered Provider or any company which is a member of the same group as, or an associated company of, the Registered Provider,
- (3) a close relative of a person falling within paragraphs(1) or (2), or
- (4) an agent of any person falling within paragraphs (1) to (3)
- "Defence" means a Defence served in accordance with Rule 7.1.4;
"Direction" means a Direction given in accordance with Rule 6.7;
"Disciplinary Appeal Tribunal" means a Disciplinary Appeal Tribunal appointed in accordance with Rule 7.10;
"Disciplinary Decision" means a Disciplinary Decision issued in accordance with Rule 7.4.1;
"Disciplinary Notice" means a Disciplinary Notice issued in accordance with Rule 7.1.3;
"Disciplinary Panel" means a Disciplinary Panel appointed in accordance with Rule 7.2.1;
"Guidance" means guidance issued by the Authority;
"Independent person" means a person other than:
- (1) a Registered Provider, a partner in a Registered Provider
or a shareholder of a Registered Provider or any
company which is a member of the same group as, or an associated
company of, a Registered Provider;
- (2) a director, officer or employee of a Registered Provider
or any company which is a member of the same
group as, or an associated company of, a Registered Provider,
- (3) a director, officer or employee of the Funeral Planning
Council Limited or an officer or committee member
of the National Association for Pre-Paid Funeral Plans,
- (4) a close relative of a person falling within paragraphs
(1) to (3), or
- (5) an agent of any person falling within paragraphs (1) to
(4), but the reference in paragraph (1) to a shareholder shall
not include a person who is only a shareholder by virtue of
his shareholding in a co-operative society within the meaning
of the Industrial and Provident Societies Acts 1965 to
1978.
"Investigation Notice" means an Investigation Notice issued in accordance with Rule 6.6;
"Misconduct" has the meaning given in Rule 7.1.1;
"Prescribed" means prescribed by the Authority;
"Registered Provider" means a person or business entity that provides funeral plans and is regulated by the Authority;
"Registration" includes periodic re-registration and cognate expressions shall be construed accordingly;
"Registration Appeal Decision" means a Registration Appeal Decision issued in accordance with Rule 2.8.5;
"Registration Appeal Notice" means a Registration Appeal Notice served in accordance with Rule 2.6.1;
"Registration Appeal Tribunal" means a Registration Appeal Tribunal appointed in accordance with Rule 2.7.1;
"Registration Decision Notice" means a Registration Decision Notice served in accordance with Rule 2.5;
"Response" means a Response served in accordance with Rule 2.6.5;
"Respondent" means the party served with a Disciplinary Appeal Notice in accordance with Rule 7.9.1;
"Rules" means these Rules or any of them;
"Serve", "service" "send" and cognate expressions shall be construed in accordance with Rule 1.4;
"Supplementary Registration Appeal Notice" means a Supplementary Registration Appeal Notice served in accordance with Rule 2.6.6;
"Suspension Notice" means a Suspension ice served in accordance with Rule 6.8.2;
"Trustee" means a person who is trustee of a trust under which funds forming part of the plan funds of any funeral plan provided by an Applicant or a Registered Provider are held and"trust" shall be construed accordingly. |
1.2 |
Gender and Number
In these Rules, unless the contrary intention appears: |
1.2.1 |
Words importing the masculine gender include the feminine and vice versa; and |
1.2.2 |
Words in the singular include the plural and vice versa. |
1.3 |
Employees, agents and representatives
The acts or omissions of: |
1.3.1 |
A Registered Provider's employee, within the scope of his employment; or |
1.3.2 |
A Registered Provider's agent or representative (or the
employee of such an agent or representative), within
the scope of his actual or apparent authority;
shall, for the
purpose of the Rules, be taken as the acts or
omissions of the Registered Provider. |
1.4 |
Service of Documents |
1.4.1 |
The service of any notice or document under these Rules
may be effected by post, facsimile, e-mail or
personal service: |
1.4.1.1 |
in the case of a Registered Provider, at or to the
last address, facsimile number or e-mail address for service
for that Registered Provider shown in the Authority's register
of Registered Providers; |
1.4.1.2 |
In the case of a person, business or body corporate
other than a Registered Provider at or to the last
address, facsimile number or e-mail address of the place of
business or registered office of that person,
business or body corporate; and |
1.4.1.3 |
In the case of the Authority, at or to the address
of the Authority's place of business or to its e-mail address. |
1.4.2 |
Where a document is served by post and is proved to have
been posted it shall be presumed to have been
served 4 days from the date of posting. |
1.4.3 |
Where a document is served by leaving, it shall be presumed
to have been served on the date on which it
was left. |
1.4.4 |
Where a document is served by facsimile or e-mail it
shall be presumed to have been served on the date on
which it was transmitted |
1.5 |
Governing law
These Rules are governed by, and shall be construed in accordance
with, English law.
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2. |
REGISTRATION |
2.1 |
Applying for registration
An application for registration or annual re-registration as
a Registered Provider must be made in writing in the
prescribed form and sent to the Authority together with: |
2.1.1 |
The prescribed fee; and |
2.1.2 |
Any other prescribed information. |
2.2 |
Fitness and propriety
An Applicant must satisfy the Authority that: |
2.2.1 |
The Applicant, and |
2.2.2 |
Any Trustee,
are fit and proper persons who will comply with the Rules.
In assessing the fitness and propriety of any person the
matters which the Authority will take into account include
but are not limited to the Applicant's continuing obligation
to meet the requirements of The Financial Services and Markets
Act 2000 (Regulated Activities) Order 2001 so far
as they relate to the provision of funeral plan contracts. |
2.3 |
Registration Decisions
Decisions on applications for registration and annual re-registration
shall be taken by the Compliance Committee.
Before an application is submitted by the Authority to the
Compliance Committee, the Authority may: |
2.3.1 |
Require the Applicant to answer questions or provide
additional information; or |
2.3.2 |
Carry out any enquiries or take account of any information;which
it considers appropriate. |
2.4 |
Decision of the Compliance Committee
The Compliance Committee shall make a decision on an application
taking into account all documents, information
or submissions which it has received from the Applicant and
the Authority. The Compliance Committee may: |
2.4.1 |
Grant the application; |
2.4.2 |
Grant the application
subject to such conditions as it considers appropriate; |
2.4.3 |
Defer making a decision to provide time for further
investigation or the provision of additional information;
or |
2.4.4 |
Refuse the application;
and, subject to any appeal under Rule 2.6, the decision of
the Compliance Committee shall be final and binding on
the Applicant and the Authority. |
2.5 |
Rights of appeal
If the Compliance Committee refuses an application or grants
it subject to conditions, the Authority must send a
Registration Decision Notice to the Applicant which sets out
the Compliance Committee's decision and the reasons
for it and informs the Applicant of the right of appeal. |
2.6 |
Registration Appeals |
2.6.1 |
An Applicant who has been refused registration or granted
registration subject to conditions may serve a
Registration Appeal Notice on the Authority within 28 days
of the Authority serving a Registration Decision
Notice on the Applicant. |
2.6.2 |
A Registration Appeal Notice must be accompanied by
any prescribed sum as an initial contribution towards
the costs of the appeal and that sum may, in the discretion
of the Registration Appeal Tribunal, be returned
to the Applicant on the determination of the appeal. |
2.6.3 |
If a Registration Appeal Notice, accompanied by any
prescribed sum, is not served within the time provided
in Rule 2.6.1 the Compliance Committee's decision shall be
regarded as final and binding. |
2.6.4 |
Any Registration Appeal Notice must set out the grounds
of appeal and must contain a brief statement of all matters relied upon by the Applicant. |
2.6.5 |
The Authority may serve a Response on the Applicant
admitting or denying any or all of the matters relied
upon by the Applicant in the Registration Appeal Notice and
setting out any new matters which the
Authority intends to put before the Registration Appeal Tribunal
but which were unavailable or otherwise
could not be put before the Compliance Committee. |
2.6.6 |
Where a Response includes new matters in accordance
with Rule 2.6.5 the Applicant may, within 14 days of
service of the Response, serve a Supplementary Registration
Appeal Notice on the Authority setting out the
Applicant's submissions on any of the new matters in the Response. |
2.6.7 |
The Authority shall refer any appeal to the Registration
Appeal Tribunal. |
2.7 |
Registration Appeal Tribunal |
2.7.1 |
The Registration Appeal Tribunal shall be appointed
by the Authority and shall comprise a chairman who is a
legally qualified independent person and two other persons,
one of whom shall be an independent person. |
2.7.2 |
No person shall serve on a Registration Appeal Tribunal
if he has a direct personal or financial interest in the
case or has been involved in any preliminary consideration
of that case. |
2.8 |
Registration Appeal Tribunal Procedure |
2.8.1 |
Registration Appeal Tribunal hearings shall be in private. |
2.8.2 |
The chairman of the Registration Appeal Tribunal shall
determine the procedure for hearing an appeal having
regard to the following:-
- (1) the Applicant opening his case;
- (2)the Applicant calling witnesses or producing evidence
in support of the Registration Appeal Notice
and any Supplementary Registration Appeal Notice;
- (3)the Authority calling witnesses and adducing evidence;
- (4) both parties cross-examining and re-examining any witnesses;
- (5)the Authority addressing the panel;
- (6)the Applicant addressing the panel
|
2.8.3 |
The Registration Appeal Tribunal shall not be bound
by any enactment or rule of law relating to the
admissibility of evidence in proceedings before any court of
law. |
2.8.4 |
At a hearing before the Registration Appeal Tribunal
an Applicant may be legally represented and, where the
Applicant is not an individual, may be represented by one of
its officers. |
2.8.5 |
The Registration Appeal Tribunal shall announce its
decision to the parties as soon as practicable and, within
28 days of doing so, shall serve a Registration Appeal Decision
on the parties setting out the reasons for its
decision. |
2.8.6 |
The Registration Appeal Tribunal may allow or dismiss
an appeal and, in allowing an appeal, may impose
such conditions as it thinks fit or vary any condition imposed
by the Compliance Committee. |
2.8.7 |
The decision of the Registration Appeal Tribunal shall
be final and binding upon the Applicant and the
Authority. |
2.9 |
Admission to Registration |
2.9.1 |
If the Compliance Committee (or, on appeal, the Registration
Appeal Tribunal) grants an application for
registration, the Authority shall inform the Applicant of the
decision and the Applicant shall be admitted as a
Registered Provider subject to the Rules for such period as
the Compliance Committee or the Registration
Appeal Tribunal (as the case may be) may determine. |
2.9.2 |
Where registration is made subject to any conditions,
the Registered Provider shall comply with those
conditions during the continuance of registration and the breach
of any such condition by a Registered
Provider shall constitute misconduct. |
2.10 |
Statistics, Fees etc. |
| 2.10.1 |
A Registered Provider must pay any fee, subscription, charge,
levy or other sum within 21 days of it becoming due to
the Authority and the Compliance Committee may terminate registration
if a Registered Provider fails to make
payments in accordance with this Rule. |
| 2.10.2 |
Registered Providers will provide within a reasonable time such statistics as the Board may request. Such statistics shall be provided to the Chief Executive who will ensure that the security of individual Registered Providers statistics is maintained and use the statistics either for the determination of fees or for consolidation into statistics in respect of all Registered Providers. |
2.11 |
Annual re-registration
A Registered Provider must by the prescribed date complete
and send to the Authority information in the
prescribed form and the Compliance Committee may terminate
registration if within 28 days of the prescribed date
a Registered Provider fails to comply with this Rule. |
2.12 |
Withdrawal from Registration
A Registered Provider may withdraw from registration by the
Authority by giving not less than 60 days written notice
or such shorter notice as the Authority may approve and the
notice must be accompanied by such information
concerning the circumstances of withdrawal as, in the opinion
of the Authority, is necessary for it to determine
whether any measures are necessary to protect the clients of
that Registered Provider at the time the withdrawal will
take effect. A Registered Provider that for any reason ceases
to be registered shall not be entitled to the refund of
any subscriptions or other payments made to the Authority.
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3. |
CONDUCT |
3.1 |
Code of Practice
The Authority shall issue a Code of Practice and shall have
the power to vary, amend or revoke any such Code of
Practice as it sees fit. |
3.2 |
Obligation on Registered Providers
In the conduct of business a Registered Provider shall at all
times: |
3.2.1 |
Comply with, and ensure that its employees, agents or
representatives comply with, the Rules and Code of
Practice; |
3.2.2 |
Deal promptly and fairly with the Authority; |
3.2.3 |
Promptly inform the Authority of any matter which the
Authority might reasonably expect to be
disclosed;and shall recognise that conformity with the Rules
and Code of Practice does not absolve the
Registered Provider from the need to ensure that it satisfies
any other requirements imposed by law and
continues to do so. |
3.3 |
Breach of the Code
A breach of the Code of Practice shall be regarded as misconduct
and may be dealt with accordingly.
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4. |
PLAN FUNDS |
4.1 |
Security of Funds
A Registered Provider must ensure that money received from a
Client to pay for a funeral plan is, as soon as
practicable, either: |
4.1.1 |
Applied towards a contract of whole life assurance
on the life of the Client (or other person for whom the
funeral is to be provided), effected and carried out by an
authorised person who has permission to effect
and carry out such contracts of insurance, or |
4.1.2 |
Paid into an account maintained by a trust which has
been approved by the Compliance Committee, where
appropriate arrangements exist to make good any shortfall or
deficiency in those funds, as disclosed by an
actuarial valuation, to ensure that they are sufficient to
discharge the Registered Provider's obligations. |
4.2 |
Approval of insurance arrangements
The Compliance Committee shall satisfy itself that if the sums
paid by the Client are applied towards a contract of
whole life assurance the contract is effected and carried out
by an authorised person who has permission to effect
and carry out such contracts of insurance. |
4.3 |
Approval of trusts
The Compliance Committee shall be responsible for approving
any trust under which plan funds are held and shall
not approve any such trust unless the Authority is satisfied
that: |
4.3.1 |
The trust is established by means of a written instrument; |
4.3.1.1 |
The trust ensures that the following purposes are
- (a) the purpose for which the trust has been
created;
- (b) that its assets are held in relation to customers'
funerals;
- (c) that the assets in the trust fund are
not the assets of the Registered Provider;
- (d) in the event
of the insolvency of either the Registered
Provider or the trust fund, any liquidator/administrator or
other person who may be appointed as a
consequence of the insolvency has no claim against the trust
fund or its assets for purposes other than the
delivery of the customers' funeral.
|
4.3.2 |
The Trustees are fit and proper persons, a majority
of whom are not connected persons and, subject to Rule 4.3.4,
exercise sole control over the funds and are required by the
trust to act by unanimity. Provided that the requirements for
the Trustees to act by unanimity shall not apply:
- (a) in the event that one or more of the Trustees has a conflict
of interest which could result in it being
improper for an individual trustee to participate in the decision;
or
- (b) in the event that:
- (i) not all the Trustees are able to attend a meeting of
the Trustees of which proper notice has
been given, and at which a decision is made; or
- (ii)only a majority of Trustees present at a meeting of
which proper notice has been given,
vote in favour of a decision;the requirements of this Rule
shall be deemed to have been
satisfied if the majority of trustees in favour of the decision
shall be unconnected Trustees.
|
4.3.3 |
All investments forming part of the plan funds are
held in the names, or to the order or account, of the Trustees; |
4.3.4 |
The Trustees are required to appoint, or have appointed,
to manage the funds of the trust an independent
fund manager who is an authorised person as required by Article
60 (1)(b) of the Financial Services and
Markets Act 2000 (Regulated Activities) Order 2001 and is not
a connected person |
4.3.5 |
The Trustees are required to provide the fund manager,
at least annually, with a written statement of
investment principles which the fund manager is required to
follow; |
4.3.6 |
The terms of the trust require the fund manager
to invest cash and other assets comprising the trust fund
prudently with a view to minimising the risk that the assets
will be insufficient to meet the liabilities of the
trust fund; |
4.3.7 |
The terms of the trust prohibit the funds from being
invested in matters in which any connected person has a
material interest including, but not limited to, investing
in or providing loans to the Registered Provider or
any business of or associated with the Registered Provider
or any director of or partner in the Registered
Provider; |
4.3.8 |
The terms of the trust restrict payments from the
trust funds to payment on production of appropriate
evidence of entitlement or to meet taxes, expenses or disbursements
authorised under the trust
arrangements; |
4.3.9 |
The terms of the trust set out the Registered Provider's
entitlement to any surplus of funds and the
circumstances in which payment of any such surplus may be made
to the Registered provider; |
4.3.10 |
The funds of the trust are: |
4.3.10.1 |
Audited and accounts with respect to the assets
and liabilities of the trust are prepared annually in
accordance with current generally accepted accounting practice
by a person eligible for appointment as an
auditor under section 25 of the Companies Act 1989, such accounts
to be prepared as at a date not more
than 9 months prior to the date of application for registration
or re-registration, as the case may be; and |
4.3.10.2 |
Determined, calculated and verified annually (or
at such other intervals not exceeding 3 years, as the
Authority may determine), to a date not more than 9 months
prior to the date of application for registration
or re-registration, as the case may be, by an actuary who is
a fellow of the Institute of Actuaries or of the
Faculty of Actuaries. Each such determination, calculation
and verification shall be based upon Guidance
Note 38 or any other Guidance Note or Notes issued from time
to time by the Institute of Actuaries or the
Faculty of Actuaries, and if such Guidance Note or Guidance
Notes are not followed in any respect, the
actuary shall provide a written statement explaining the reason
for failing to do so; |
4.3.10.3 |
Provided that if it is not reasonably practical
to comply with the 9 month requirement in either 4.3.10.1 or
4.3.10.2 the Compliance Committee may, at its discretion, specify
the date by which the audited accounts or
actuarial valuation (as the case may be) shall be provided. |
4.3.11 |
The trust and trustees are covered by insurance
against loss of plan funds as a consequence of
fraud or negligence and the trustees have confirmed the adequacy of such insurance. |
4.3.12 |
The terms of the trust make adequate provision for
the administration of plan funds in the event that the
Registered Provider becomes insolvent or ceases trading. |
4.4 |
Transitional and provisional arrangements |
4.4.1 |
Subject to Rule 4.4.2 and 4.4.3, in the application
of the Rules to any particular application to become a
Registered Provider the Compliance Committee may, in its discretion,
waive or vary any Rule for such time
and subject to such conditions as it considers appropriate. |
4.4.2 |
In the exercise of the power conferred by Rule 4.4.1
the Compliance Committee may register as a
Registered Provider an Applicant whose arrangements for the
security of plan funds do not comply with all
of the provisions of Rule 4.3 but only if: |
4.4.2.1 |
The Applicant will, if registered, be able to comply
with the requirements of Rule 4.3 within a period not
exceeding 24 months; and |
4.4.2.2 |
The Compliance Committee is satisfied that the arrangements
which the Applicant has, or by complying with
any condition imposed by the Compliance Committee will have,
for the security of plan funds provides a
level of protection for consumers substantially similar to
that required by Rule 4.3. |
4.4.3 |
Nothing in Rule 4.4.1 shall authorise the Compliance
Committee to waive or vary any Rule to the extent
that it would permit an Applicant in breach of an obligation
under Articles 60 (1) (a) or (b) or 60 (2) of the
Financial Services and Markets Act 2000 (Regulated Activities)
Order 2001 to be registered as a Registered
Provider. |
4.5 |
Record keeping
A Registered Provider must take reasonable steps to ensure
that sufficient information is recorded and retained
about its business and compliance with the Authority's regulatory
system. Any records which the Authority requires a
Registered Provider to maintain may be inspected by a person
appointed for the purpose by the Authority and must
be produced promptly to that person on request
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5. |
COMPLAINTS
The Authority provides an independent conciliation and arbitration
service through The Chartered Institute of
Arbitrators in an endeavour to resolve any complaint or dispute
which arises between a Registered Provider and a
client, another Registered Provider or a third party. The procedure
to resolve disputes is:
resolution with the Registered Provider;
referral to the
Authority's conciliation service with the conciliator being
appointed by The Chartered Institute of Arbitrators;
referral
to the Authority's arbitration service with the arbitrator
being appointed by The Chartered Institute of Arbitrators. |
5.1 |
Client Complaints to Registered Providers
If a client is dissatisfied with the service he has received
from a Registered Provider, the client is expected in the first
instance to inform the Registered Provider, at which time the
Registered Provider will deal with the complaint in
accordance with the Registered Provider's written complaints
procedure. The Registered Provider must reply to a
client in writing within seven working days of receiving a complaint. |
5.2 |
Registered Provider's Complaints Procedures
A Registered Provider must provide the Compliance Committee
with a copy of the Registered Provider's written
procedures for ensuring that complaints from clients are promptly
and effectively dealt with and which, in particular,
must ensure that: |
5.2.1 |
The Registered Provider's employees, agents and representatives
are fully aware of, have received adequate
training in and comply with, the procedure; |
5.2.2 |
The procedure
provides for complaints to be dealt with by a person of appropriate
seniority; |
5.2.3 |
All appropriate action is taken to remedy
a complaint; |
5.2.4 |
The Registered Provider shall offer maximum
co-operation with local consumer advisers or any other
intermediary consulted by the client; |
5.2.5 |
Where a complaint is not remedied the client is advised
of how the complaint may be pursued further; |
5.2.6 |
Appropriate records are made; |
5.2.7 |
The Registered Provider shall not refuse
to allow a complaint to be considered elsewhere if the
client so chooses.
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6. |
MONITORING, COMPLIANCE AND ENFORCEMENT |
6.1 |
Monitoring
The Compliance Committee shall monitor: |
6.1.1 |
The Registered Provider's compliance with the Rules
and the Code of Practice; and |
6.1.2 |
The conduct of Registered Providers to ensure that
they remain fit and proper persons. |
6.2 |
Compliance powers
For the purposes of Rule 6.1 the Compliance Committee may: |
6.2.1 |
Upon reasonable notice, cause an authorised member
or officer of that committee to enter a Registered
Provider's business premises; |
6.2.2 |
Upon reasonable notice, require a Registered Provider
to attend, or to take all reasonable steps to procure
that an employee, agent or representative of the Registered
Provider attends, at a specified date, time and
place to answer questions and explain any matter that the Compliance
Committee considers relevant for the
purposes of the Rule; |
6.2.3 |
Interview a Registered Provider or an employee, agent
or representative of the Registered Provider and
require them to answer questions and give explanations for
the purpose of enabling the Compliance
Committee to obtain information about any matter which it considers
relevant to its monitoring function; |
6.2.4 |
Require the production by a Registered Provider or
an employee, agent or representative of the Registered
Provider, of documents and records where information is held
other than in legible form, to require the
production of that information as a legible document or record. |
6.3 |
Legal professional privilege
Nothing in Rule 6.2 shall require the production by a Registered Provider or an employee, agent or representative of
the Registered Provider of a document or record or the provision
of any information which is the subject of legal
professional privilege. |
6.4 |
Disclosure of Information |
6.4.1 |
The Authority and members of the Compliance Committee
shall treat as confidential any information which
they obtain under the Rules and which relates to the affairs
of an individual or particular business entity and
shall not disclose or use such information without the consent
of the person or business entity concerned. |
6.4.2 |
Rule 6.4.1 shall not apply to any disclosure of information
made by the Authority: |
6.4.2.1 |
For the purpose of facilitating the performance of
any function of the Authority or any committee, officer or
person appointed by it; |
6.4.2.2 |
With a view to the institution of, or otherwise
for the purposes of, any disciplinary proceedings; |
6.4.2.3 |
In connection with the investigation of any criminal
offence triable in the United Kingdom or any criminal
proceedings before a United Kingdom court; |
6.4.2.4 |
At the request of the Financial Services Authority
when exercising its powers under the Financial Services and
Markets Act 2000, the Director General of Fair Trading, the
Competition Commission or a Government
Department when exercising a statutory function; |
6.5 |
Investigations
The Compliance Committee may investigate any matter including
(but not limited to): |
6.5.1 |
The fitness and propriety of a Registered Provider; |
6.5.2 |
The fitness and propriety of the trustees of a funeral
plan trust; |
6.5.3 |
An alleged breach or anticipated breach of the Rules
or the Code of Practice by a Registered Provider; |
6.6 |
Notice of investigations
Where the Compliance Committee commences an investigation it
must serve on the Registered Provider concerned
an Investigation Notice which states that an investigation
has been commenced and contains a brief description of the
matter under investigation. Following the service of an Investigation
Notice, the Compliance Committee may require
a Registered Provider to appear before it at a specified date,
time and place to answer questions and explain any
matter which the Compliance Committee consider relevant to
the investigation. The Compliance Committee shall
send copies of any Investigation Notice to the directors of
the Authority. |
6.7 |
Directions |
6.7.1 |
If it appears to the Compliance Committee that a Registered
Provider has ceased to be a fit and proper
person or has failed, or intends or is likely to fail to comply
with the Rules or the Code of Practice the
Compliance Committee may serve a Direction on that Registered
Provider specifying: |
6.7.1.1 |
The circumstances that have caused the Compliance
Committee to believe that the Registered Provider has
ceased to be a fit and proper person; |
6.7.1.2 |
The act or omission which the Compliance Committee
believes constitutes, or would constitute failure to
comply with the Rules or the Code of Practice; and |
6.7.1.3 |
The action which the Compliance Committee requires
the Registered Provider to take to meet the
requirement of fitness and propriety or to remedy or avoid the
failure to comply and the date and time at
or by which action must be taken. |
6.7.2 |
A Registered Provider may within 14 days of service
of a Direction make representations to the Compliance
Committee to vary or revoke the terms of the Direction and
the Compliance Committee shall consider any
representations made and may confirm, vary or revoke the Direction. |
6.7.3 |
The Compliance Committee may at any time vary or revoke
a Direction by written notice to the Registered
Provider. |
6.7.4 |
A Registered Provider on whom a Direction has been
served shall not without reasonable excuse act in
breach of it and the burden of proving such reasonable excuse
shall be on the Registered Provider. |
6.8 |
Suspension of Registration |
6.8.1 |
If it appears to the Compliance Committee that a Registered
Provider: |
6.8.1.1 |
Has ceased to be a fit and proper person or has
committed, or is likely to commit, an act of misconduct; and |
6.8.1.2 |
That, in consequence, it is necessary for the protection
of consumers to do so;
the Compliance Committee may suspend the registration of that
Registered Provider. |
6.8.2 |
Suspension of registration in accordance with Rule
6.8.1 shall be effected by means of a Suspension Notice
which shall be in writing and shall specify: |
6.8.2.1 |
The matters, acts, or omissions which lead the Compliance
Committee to consider that the Registered
Provider has ceased to be a fit and proper person or has committed,
or is likely to commit, an act of
misconduct; |
6.8.2.2 |
The reasons why the Compliance Committee consider that
suspension of registration is necessary for the
protection of consumers; |
6.8.2.3 |
The time and date from which suspension will take
effect and the period (if any) for which it will operate. |
6.8.3 |
A Registered Provider on whom a Suspension Notice is
served may: |
6.8.3.1 |
Appeal against the issue of the Suspension Notice
to the Disciplinary Panel as if the Suspension Notice was a
Disciplinary Notice; and |
6.8.3.2 |
If the registered provider so chooses, apply for
the operation of the Suspension Notice to be stayed pending
the outcome of that appeal. |
6.8.4 |
An application to stay the operation of a Suspension
Notice shall be made to the chairman of the
Disciplinary Panel and the Authority shall make arrangements
for such applications to be heard promptly and
in any event within 48 hours of a Suspension Notice coming
into operation. |
6.9 |
Urgent Action |
6.9.1 |
If it appears to the Chairman of the Compliance Committee
that urgent action needs to be taken in respect
of any matter relating to a Registered Provider, he shall be
authorised to exercise such powers of the
Compliance Committee as he considers appropriate. |
6.9.2 |
Where the Chairman of the Compliance Committee takes
any action in accordance with Rule 6.9.1 he shall
give written notice to the other members of the Compliance
Committee within 24 hours of doing so and at
the same time shall give notice of a meeting of the Compliance
Committee (which shall be held within 7
days of the date of that notice) at which the other members
of the Compliance Committee may receive a
full report from the Chairman and, if appropriate, ratify the
action he has taken. |
6.10 |
Reports to the Authority
The Compliance Committee shall within 7 days of: |
6.10.1 |
Exercising its compliance powers; |
6.10.2 |
Concluding any investigation; or |
6.10.3 |
Serving any Direction or Suspension Notice;
give written
notice to the Directors of the Authority so that they
are aware of the action taken and can decide whether it is
appropriate to commence disciplinary
proceedings against the Registered Provider concerned.
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7. |
DISCIPLINE |
7.1 |
Disciplinary proceedings |
7.1.1 |
The Authority may institute disciplinary proceedings
against a Registered Provider where it considers that the
Registered Provider: |
7.1.1.1 |
Is guilty of misconduct; or |
7.1.1.2 |
Has ceased to be a fit and proper person;
and in these Rules "misconduct" means a breach of the
Rules or Code of Practice, breach of any condition
of registration, failure to comply with a Direction or the provision
to the Authority of information (including
information for the purposes of obtaining registration) which
is false, misleading or inaccurate in a material
particular. |
7.1.2 |
A Registered Provider has a continuing obligation
to be able to satisfy the Authority that it is and remains
fit and proper. |
7.1.3 |
Where the Authority decides to institute disciplinary
proceedings it shall serve a Disciplinary Notice on the
Registered Provider concerned setting out the acts of misconduct
or reasons why the Registered Provider
has ceased to be fit and proper together with a summary of
the facts relied upon. |
7.1.4 |
The Registered Provider may, within 28 days from service
of a Disciplinary Notice, serve on the Authority a
Defence responding to all or any of the allegations in the
Disciplinary Notice and giving reasons and if within
that period the Registered Provider has not served a Defence
the Disciplinary Notice shall be deemed to be
accepted by that Registered Provider. |
7.2 |
Disciplinary Panel |
7.2.1 |
The Disciplinary Panel shall be appointed by the Authority
and shall comprise a chairman who is a legally
qualified independent person and two other persons, one of
whom shall be an independent person. |
7.2.2 |
No person shall serve on an Disciplinary Panel if he
has a direct personal or financial interest in the case or
has been involved in any preliminary consideration of that
case. |
7.3 |
Disciplinary Panel Procedure |
7.3.1 |
Disciplinary Panel hearings shall be in private. |
7.3.2 |
The chairman of the Disciplinary Panel shall determine the procedure for hearing an appeal having regard to the following:-
- (1) the Authority opening its case;
- (2) the Authority calling witnesses or producing evidence
in support of the Disciplinary Notice;
- (3) the Registered Provider calling witnesses and adducing
evidence;
- (4) both parties cross-examining and re-examining
any witnesses;
- (5) the Authority addressing the panel;
- (6) the Registered Provider addressing the panel.
|
7.3.3 |
Except
where otherwise provided in the Rules, in
proceedings before the Disciplinary Panel the burden of proof
shall be on the Authority. |
7.3.4 |
The Disciplinary Panel shall not be bound by any enactment
or rule of law relating to the admissibility of
evidence in proceedings before any court of law. |
7.3.5 |
At a hearing before the Disciplinary Panel a Registered
Provider may be legally represented and, where the
Registered Provider is not an individual, may be represented
by one of its officers. |
7.4 |
Decision |
7.4.1 |
Within 28 days of announcing its decision the Disciplinary
Panel shall serve a Disciplinary Decision on the
parties setting out its findings of fact, the reasons for its
decision and any penalty to be imposed on the
Registered Provider. |
7.4.2 |
The Disciplinary Decision Notice shall inform the parties
of their right of appeal. |
7.4.3 |
Where the Disciplinary Panel is satisfied that the
Registered Provider has committed an act of misconduct it
shall take into account any representations made by the parties
before deciding the penalty to be imposed,
whether registration should be terminated or continue subject
to conditions and the terms and conditions,
compensation and costs to be imposed or ordered. |
7.4.4 |
Where the Disciplinary Panel is satisfied that the
Registered Provider is no longer fit and proper it shall take
into account any representations made by the parties before
deciding whether the termination of registration
should be subject to conditions and the terms and conditions,
compensation and costs to be imposed or
ordered. |
7.5 |
Penalties |
7.5.1 |
The Disciplinary Panel may impose one or more of the
penalties set out below taking into account any
material antecedent history of the Registered Provider and
any acts of misconduct other than those charged
which the Registered Provider admits and wishes to take into
consideration. The penalties are: |
7.5.1.1 |
A reprimand; |
7.5.1.2 |
A fine of up to £5,000; |
7.5.2 |
Where the Disciplinary Panel is satisfied that a Registered
Provider is no longer fit and proper it shall
terminate the registration of that Registered Provider. |
7.5.3 |
The Disciplinary Panel may impose such conditions
as appropriate and may include a requirement that a
Registered Provider takes steps to remedy or avoid a breach
of the Rules or a condition on the registration
of that Registered Provider. |
7.5.4 |
Unless the Disciplinary Panel determines otherwise,
any penalty imposed shall come into effect upon service
of the Disciplinary Decision Notice. |
7.6 |
Compensation |
7.6.1 |
The Disciplinary Panel may make an order requiring
a Registered Provider to pay compensation to a client
where, on an application made by or on behalf of the client,
the Disciplinary Panel is satisfied that the client
has suffered a quantifiable financial loss as a consequence
of the Registered Provider's misconduct. |
7.6.2 |
The amount of compensation to be paid by the Registered
Provider shall be such amount (not exceeding
£5,000) as the Disciplinary Panel considers appropriate
in all the circumstances of the case, having regard to
the financial loss sustained. |
7.7 |
Costs |
7.7.1 |
The Disciplinary Panel may order any party to the proceedings
to pay costs and such costs may include but
shall not be limited to the remuneration of members of the
Disciplinary Panel, administrative costs and costs
incurred in the investigation, preparation and presentation
of the case. |
7.7.2 |
Costs may be awarded against the Authority but only
if, in the opinion of the Disciplinary Panel, the
Authority has behaved unreasonably in the commencement or conduct
of the proceedings. |
7.8 |
Rights of appeal
A Registered Provider or the Authority may appeal to the
Disciplinary Appeal Tribunal against a decision by the
Disciplinary Panel or any term or condition set out in a Disciplinary
Decision |
7.9 |
Disciplinary Appeals |
7.9.1 |
A party to a Disciplinary Decision ("the Appellant")
may serve a Disciplinary Appeal Notice on the other
party ("the Respondent") within 14 days of the service
of that Disciplinary Decision. |
7.9.2 |
If a Disciplinary Appeal Notice is not served within
the time provided in Rule 7.9.1 the Disciplinary Decision
shall be regarded as final and binding on the parties. |
7.9.3 |
Any Disciplinary Appeal Notice must set out the grounds
of appeal and must contain a brief statement of all
matters relied upon by the Appellant |
7.9.4 |
The grounds of appeal may be any one or more of the
following: |
7.9.4.1 |
That the Disciplinary Panel misdirected
itself; |
7.9.4.2 |
That the Disciplinary Panel's decision was
one that no reasonable Disciplinary panel could have reached; |
7.9.4.3 |
That the Disciplinary Panel's decision was not supported
by the evidence or was against the weight of the
evidence; |
7.9.4.4 |
That the Disciplinary Panel's decision was based
upon an error of law or a misinterpretation of the Rules; |
7.9.4.5 |
That the penalty imposed or compensation awarded
by the Disciplinary Panel was excessive or, where the
Appellant is the Authority, was insufficient. |
7.9.5 |
The Disciplinary Appeal Tribunal shall consider submissions
made by the parties but, subject to Rule 7.9.6,
shall hear no new evidence. |
7.9.6 |
Where the Appellant is a
Registered Provider he may appeal on the ground that fresh
evidence is available which he could not by reasonable diligence
have adduced before the Disciplinary Panel but, had it been
adduced, the Disciplinary Panel could reasonably have come
to a different decision. |
7.10 |
Disciplinary Appeal Tribunal |
7.10.1 |
The Disciplinary Appeal Tribunal shall be appointed
by the Authority and shall comprise a chairman who is a
legally qualified independent person and two other persons,
one of whom shall be an independent person. |
7.10.2 |
No person shall serve on a Disciplinary Appeal Tribunal
if he has a direct personal or financial interest in the
case or has been involved in any preliminary consideration
of that case. |
7.11 |
Disciplinary Appeal Tribunal Procedure |
7.11.1 |
Disciplinary Appeal Tribunal hearings shall be in
private. |
7.11.2 |
The chairman of the Disciplinary Appeal Tribunal
shall determine the procedure for hearing an appeal having
regard to the following:-
- (1) the Appellant opening his case;
- (2) where fresh evidence is adduced under Rule 7.9.6, the
Appellant presenting that evidence;
- (3) the Respondent cross-examining any witnesses called by
the Appellant;
- (4) the Appellant re-examining any such witnesses;
- (5) the Respondent making closing submissions;
- (6) the Appellant making closing submissions.
|
7.11.3 |
The Disciplinary Appeal Tribunal shall not be bound
by any enactment or rule of law relating to the
admissibility of evidence in proceedings before any court of
law. |
7.11.4 |
At a hearing before the Disciplinary Appeal Tribunal
a party may be legally represented and, where the party
is not an individual, may be represented by one of its officers. |
7.11.5 |
The Disciplinary Appeal Tribunal shall announce its
decision to the parties as soon as practicable and, within
28 days of doing so, shall serve a Registration Appeal Decision
on the parties setting out the reasons for its
decision. |
7.11.6 |
The Disciplinary Appeal Tribunal may dismiss
or allow an appeal, may increase or decrease any penalty
imposed or the amount of compensation awarded and, in allowing
an appeal, may impose such conditions as
it thinks fit or vary any condition imposed by the Disciplinary
Panel. |
7.11.7 |
Rule 7.7 relating to costs shall apply to the Disciplinary
Appeal tribunal as it applies to the Disciplinary Panel. |
7.11.8 |
The decision of the Disciplinary Appeal Tribunal shall
be final and binding upon the parties. |
8. |
PLEDGE TO CUSTOMERS
Registered Providers shall co-operate in the delivery of the
Authority's "Pledge to Customers" by which, in the
event of
the insolvency of a Registered Provider, the other Registered
Providers will examine ways in which the Authority might
assist in arranging delivery of the funerals of customers of
the insolvent Registered Provider. The extent of this cooperation
will be at the discretion of the individual Registered Providers.
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