Dataset Viewer
Auto-converted to Parquet Duplicate
text
stringlengths
1.75k
441k
[uk-legislation-uksi][uksi] 2025-10-27 The Court and Public Guardian Fees (Miscellaneous Amendments) Order 2025 http://www.legislation.gov.uk/uksi/2025/1126/made http://www.legislation.gov.uk/uksi/2025/1126/made The Court and Public Guardian Fees (Miscellaneous Amendments) Order 2025 King's Printer of Acts of Parliament 2025-10-27 COUNTY COURT, ENGLAND AND WALES MENTAL CAPACITY, ENGLAND AND WALES SENIOR COURTS OF ENGLAND AND WALES This Order amends the Non-Contentious Probate Fees Order 2004 (S.I. 2004/3120), the Public Guardian (Fees, etc) Regulations 2007 (S.I. 2007/2051) and the Civil Proceedings Fees Order 2008 (S.I. 2008/1053). 2025 No. 1126 COUNTY COURT, ENGLAND AND WALES MENTAL CAPACITY, ENGLAND AND WALES SENIOR COURTS OF ENGLAND AND WALES The Court and Public Guardian Fees (Miscellaneous Amendments) Order 2025 Made at 12.45 p.m. on 27th October 2025 Laid before Parliament 27th October 2025 Coming into force in accordance with article 2 The Lord Chancellor makes this Order in exercise of the powers conferred by— section 415 of the Insolvency Act 1986 , section 92 of the Courts Act 2003 , section 58(3) and (4) of the Mental Capacity Act 2005 , and section 180(1) of the Anti-social Behaviour, Crime and Policing Act 2014 . The Lord Chancellor has had regard to the matters referred to in section 92(3) of the Courts Act 2003 and section 180(3) of the Anti-social Behaviour, Crime and Policing Act 2014. The Lord Chancellor has obtained the sanction of the Treasury in accordance with section 415(1) of the Insolvency Act 1986. The Lord Chancellor has obtained the consent of the Treasury in accordance with section 92(1) of the Courts Act 2003 and section 180(1) of the Anti-social Behaviour, Crime and Policing Act 2014. The Lord Chancellor has consulted the Lady Chief Justice, the Master of the Rolls, the President of the King's Bench Division, the President of the Family Division, the Chancellor of the High Court, the Head of Civil Justice, the Deputy Head of Civil Justice and the Civil Justice Council in accordance with section 92(5) and (6) of the Courts Act 2003. Citation and extent 1 1 This Order may be cited as the Court and Public Guardian Fees (Miscellaneous Amendments) Order 2025. 2 This Order extends to England and Wales. Commencement 2 1 This Order comes into force on 17th November 2025, subject as follows. 2 Article 6 (1) comes into force at the same time as section 61 (1) of the Victims and Prisoners Act 2024 comes into force. 3 Article 6 (2) comes into force at the same time as section 62 (1) of the Victims and Prisoners Act 2024 comes into force. Fees payable in relation to non-contentious probate 3 1 The Non-Contentious Probate Fees Order 2004 is amended as follows. 2 Before article 8 insert— Special exemption – emergency service personnel and armed forces 7A No fee is payable on an application for a grant relating to an estate where reliefs apply under one of the following sections of the Inheritance Tax Act 1984 — a section 153A (death of emergency service personnel etc.); b section 154 (death on active service, etc.); c section 155A (death of constables and service personnel targeted because of their status). . 3 In Schedule 1 for the entries relating to fee 8 (copy documents) substitute— 8 Copy documents On a request for— (a) a copy of a document of a specific individual named in the request; £16 (for each copy provided, whether or not as a certified copy) (b) copies of documents of individuals not named in the request, where the copies are made available in electronic form. £1.50 (for each copy made available, whether or not as a certified copy) . Fees payable to the Public Guardian 4 1 The Public Guardian (Fees, etc) Regulations 2007 are amended as follows. 2 In the Schedule— a in the entry for “Fee for application to register an enduring power of attorney (regulation 4)” for “£82” substitute “£92” ; b in the entry for “Fee for application to register a lasting power of attorney (regulation 5)” for “£82” substitute “£92” ; c in the entry for “Reduced fee for repeat application to register a lasting power of attorney (regulation 5)” for “£41” substitute “£46” . Fees exemption for civil proceedings relating to insolvency and persons at risk of violence 5 1 The Civil Proceedings Fees Order 2008 is amended as follows. 2 After article 3E insert— Exemption related to insolvency and persons at risk of violence 3F No fee is payable in respect of an application for an order for non-disclosure of information under rule 20.2, 20.3, 20.4, 20.5 or 20.6 of the Insolvency (England and Wales) Rules 2016 . . Fees exemptions for civil proceedings relating to referrals of decisions to release prisoners on parole 6 1 In the Civil Proceedings Fees Order 2008 , after article 3F (as inserted by article 5(2)) insert— Exemption related to referrals to High Court of decisions to release prisoners (life sentence) on parole 3G No fee is payable for making a referral of a prisoner’s case (life sentence) to the High Court under section 32ZAA (2) of the Crime (Sentences) Act 1997 . . 2 In the Civil Proceedings Fees Order 2008 , after article 3G (as inserted by paragraph (1)) insert— Exemption related to referrals to High Court of decisions to release prisoners (fixed-term sentence) on parole 3H No fee is payable for making a referral of a prisoner’s case (fixed-term sentence) to the High Court under section 256AZBA (2) of the Criminal Justice Act 2003 . . Signed on behalf of the Lord Chancellor Sarah Sackman Minister of State Ministry of Justice 23rd October 2025 We consent Stephen Morgan Lilian Greenwood Two of the Lords Commissioners of His Majesty's Treasury at 12.45 p.m. on 27th October 2025 Explanatory Note (This note is not part of the Order) This Order amends the Non-Contentious Probate Fees Order 2004 ( S.I. 2004/3120 ), the Public Guardian (Fees, etc) Regulations 2007 ( S.I. 2007/2051 ) and the Civil Proceedings Fees Order 2008 ( S.I. 2008/1053 ). Article 3 exempts fees from being payable under the Non-Contentious Probate Fees Order 2004 in relation to emergency service personnel and armed forces personnel where inheritance tax reliefs apply. Article 3 also increases Fee 8 in Schedule 1 to that Order. Fee 8, which relates to requests for copies of documents, including grants or wills, is increased from £1.50 to £16, where the request is for a copy of a document of a specific individual named in the request. Article 4 applies inflation-based increases to fees for applications relating to lasting and enduring powers of attorney in the Public Guardian (Fees, etc) Regulations 2007 from £82 to £92 and the fee to resubmit an application to register a lasting power of attorney from £41 to £46. Article 5 exempts fees from being payable for applications relating to insolvency and persons at risk of violence under the Civil Proceedings Fees Order 2008. Article 6 exempts fees from being payable for making referrals to the High Court of decisions to release prisoners on parole under the Civil Proceedings Fees Order 2008. A full impact assessment of the effect that this instrument will have on the costs of business, the voluntary sector and the public sector is available at https://legislation.gov.uk or by writing to the Ministry of Justice, Fees Policy and Administrative Justice Team, 102 Petty France, Area 5.20, Westminster, London, SW1H 9AJ. 1986 c. 45 , amended by the Corporate Insolvency and Governance Act 2020 (c. 12) . There are other amendments but none is relevant. 2003 c. 39 , amended by the Constitutional Reform Act 2005 (c. 4) . There are other amendments but none is relevant. 2005 c. 9 . 2014 c. 12 . 2024 c. 21 . S.I. 2004/3120 , amended by S.I. 2019/1063 , 2020/720 , 2024/476 , 2025/351 . There are other amending instruments but none is relevant. 1984 c. 51 , amended by the Armed Forces Act 2006 (c. 52) and the Finance Act 2015 (c. 11) . There are other amendments but none is relevant. S.I. 2007/2051 , amended by S.I. 2009/514 , 2011/2189 , 2017/503 . There are other amending instruments but none is relevant. S.I. 2008/1053 , amended by S.I. 2024/538 . The insertion of article 3E by S.I. 2024/538 is a prospective amendment. There are other amendments but none is relevant. S.I. 2016/1024 , to which there are amendments not relevant to these Regulations. 1997 c. 43 . The insertion of section 32ZAA is a prospective amendment in section 61 (1) of the Victims and Prisoners Act 2024 (c. 21). 2003 c. 44 . The insertion of section 256AZBA is a prospective amendment in section 62 (1) of the Victims and Prisoners Act 2024 .
[uk-legislation-uksi][uksi] 2025-10-28 The Byers Gill Solar (Correction) Order 2025 http://www.legislation.gov.uk/uksi/2025/1124/made http://www.legislation.gov.uk/uksi/2025/1124/made The Byers Gill Solar (Correction) Order 2025 King's Printer of Acts of Parliament 2025-10-28 INFRASTRUCTURE PLANNING This Order corrects errors in the Byers Gill Solar Park Order 2025 (S.I. 2025/934), a development consent order made under the Planning Act 2008, following a request made under paragraph 1(5)(a) of Schedule 4 to that Act. 2025 No. 1124 INFRASTRUCTURE PLANNING The Byers Gill Solar (Correction) Order 2025 Made 24th October 2025 Coming into force 27th October 2025 The Byers Gill Solar Order 2025 (“ the Byers Gill Order ”), which granted development consent within the meaning of the Planning Act 2008 (“ the Act ”) contains correctable errors within the meaning of paragraph 1 of Schedule 4 to the Act. In accordance with paragraph 1(5)(a) of Schedule 4 to the Act, before the end of the relevant period , the Secretary of State received a written request from the applicant for the correction of errors and omissions in the Byers Gill Order. In accordance with paragraph 1(7) of Schedule 4 to the Act, the Secretary of State has informed each relevant local planning authority for the area in which the land to which the Byers Gill Order relates is situated that the request has been received. The Secretary of State, in exercise of the powers conferred by paragraphs 1(4) and 1(8) of Schedule 4 to, the Act, makes the following Order: Citation and commencement 1 This Order may be cited as the Byers Gill Solar (Correction) Order 2025 and comes into force on 27th October 2025. Corrections 2 The Byers Gill Order is corrected as set out in the table in the Schedule to this Order, where— a column 1 sets out where the correction is to be made; b column 2 sets out how the correction is to be made; and c column 3 sets out the text which is to be substituted, inserted, or omitted. Signed by authority of the Secretary of State for Energy Security and Net Zero John Wheadon Head of Energy Infrastructure Planning and Innovation Department for Energy Security and Net Zero 24th October 2025 Schedule Corrections Article 2 Table 1 (1) Where the correction is to be made (2) How the correction is to be made (3) Text to be substituted, inserted, or omitted Part 3, Article 10(3) For “paragraph (3)” substitute “ paragraph (4) ” Part 3, Article 10(4)(b) For “paragraph (4)” substitute “ paragraph (5) ” Part 3, Article 10(4)(m) After “route” insert “ ) ” Part 3, Article 10(4)(n) For “(a) to (g)” substitute “(a) to (m)” Part 3, Article 13(4) After “(public rights of way” insert “ to be closed) ” Part 3, Article 13(8) For “paragraph (9)” substitute “ paragraph (7) ” Part 3, Article 13(9) For “paragraph (10)” substitute “ paragraph (8) ” Part 3, Article 13(9) For “paragraph (9)” substitute “ paragraph (7) ” Part 3, Article 14(1) For “(public rights of way to be stopped up)” substitute “ (public rights of way to be closed) ” Schedule 2, Part 1, paragraph 13(1) For “11” substitute “12” Schedule 2, Part 2, paragraph 25(1) For “23” substitute “24” Schedule 2, Part 2, paragraph 26(3) For “25(2)(c)” substitute “26(2)(c)” Schedule 2, Part 2, paragraph 26(5) For “25(4)” substitute “26(4)” Schedule 2, Part 2, paragraph 26(5) For “24(2)(c) to (e)” substitute “26(2)(c) to (e)” Schedule 5, Part 2 Title For “public rights of way to be permanently closed” substitute “public rights of way to be permanently stopped up” Schedule 11, Part 3, paragraph 19(3)(b) After “(1)” insert “ ) ” Schedule 11, Part 5, paragraph 54(3) For “paragraph 15” substitute “ paragraph 59 (arbitration) of this Part of this Schedule ” Explanatory Note (This note is not part of the Order) This Order corrects errors in the Byers Gill Solar Park Order 2025 ( S.I. 2025/934 ), a development consent order made under the Planning Act 2008, following a request made under paragraph 1(5)(a) of Schedule 4 to that Act. S.I. 2025/934 . 2008 c. 29 . Paragraph 1 of Schedule 4 to the Act was amended by paragraph 70 of Schedule 13 to the Localism Act 2011 (c. 20) . There are other amendments to the Act which are not relevant to this Order. The relevant period is defined in paragraph 1(6)(a) of Schedule 4 to the Act. The term “applicant” is defined in paragraph 4 of Schedule 4 to the Act. As defined in paragraph 4 of Schedule 4 to the Act.
[uk-legislation-uksi][uksi] 2025-10-28 The Mona Offshore Wind Farm (Correction) Order 2025 http://www.legislation.gov.uk/uksi/2025/1123/made http://www.legislation.gov.uk/uksi/2025/1123/made The Mona Offshore Wind Farm (Correction) Order 2025 en King's Printer of Acts of Parliament 2025-10-28 INFRASTRUCTURE PLANNING This Order corrects errors in the Mona Offshore Wind Farm Order 2025 (S.I. 2025/870), a development consent order made under the Planning Act 2008, following a request made under paragraph 1(5)(a) of Schedule 4 to that Act. 2025 No. 1123 Infrastructure Planning The Mona Offshore Wind Farm (Correction) Order 2025 Made 23rd October 2025 Coming into force 24th October 2025 The Mona Offshore Wind Farm Order 2025 (“ the Mona Offshore Wind Order ”), which granted development consent within the meaning of the Planning Act 2008 (“ the Act ”) contains correctable errors within the meaning of paragraph 1 of Schedule 4 to the Act. In accordance with paragraph 1(5)(a) of Schedule 4 to the Act, before the end of the relevant period , the Secretary of State received a written request from the applicant for the correction of errors and omissions in the Mona Offshore Wind Farm Order. In accordance with paragraph 1(7) of Schedule 4 to the Act, the Secretary of State has informed each relevant local planning authority for the area in which the land to which the Mona Offshore Wind Farm Order relates is situated that the request has been received. The Secretary of State in exercise of the powers conferred by paragraphs 1(4) and (8) of Schedule 4 to the Act makes the following Order. Citation and commencement 1 This Order may be cited as the Mona Offshore Wind Farm (Correction) Order 2025 and comes into force on 24 th October 2025. Correction of original order 2 1 The Mona Offshore Wind Farm Order 2025 is corrected as set out in the table in the Schedule to this Order, in which— a column 1 sets out where the correction is to be made; b column 2 sets out how the correction is to be made; and c column 3 sets out the text to be substituted, inserted, or omitted. Signed by authority of the Secretary of State for Energy Security and Net Zero John Wheadon Head of Energy Infrastructure Planning Delivery & Innovation Department of Energy Security and Net Zero 23rd October 2025 SCHEDULE Article 2 (1) Where the correction is to be made (2) How the correction is to be made (3) Text to be substituted, inserted, or omitted Article 2(1) For the defined term “gravity base” substitute “gravity base foundation” Article 2(1) In the definition of “mean high water springs” after “which” insert “spring” Article 2(1) In the definition of “mean low water springs” after “that” insert “spring” Article 7(3) After “agreed,” insert on a new line “except where paragraph (6) applies, in which case no consent of the Secretary of State is required.” Article 35(2) After “authorised project that” insert “is specified in Schedule 11, Part 3 (trees subject to tree preservation orders) or” Article 35(2) For “21 February 2024” substitute “,” “21 February 2024,” Article 35(3) For “paragraph (1)” substitute “paragraph (2)” Schedule 2, paragraph 2(2) For “parameters in Table 2 do not allow works in relation to wind turbine generators that” substitute “undertaker may not undertake Work No. 1 in a manner which would” Schedule 2, paragraph 2(2) For “based upon the two assessed scenarios set out in Table 3.5 of the environmental statement” substitute “and in particular may not exceed the maximum rotor swept area as identified in Table 2” Schedule 2, paragraph 9(2)(c) For “. The plan shall” substitute “which must” Schedule 2, paragraph 9(2)(c) For “levels.” substitute “levels;” Schedule 2, paragraph 9(2)(p) After “outline” insert “onshore” Schedule 2, paragraph 10(2) For “plan,” substitute “plan.” Schedule 2, paragraph 23(2)(c) For “5” substitute “4” Schedule 2, paragraph 23(5) In the defined term “appropriate radar mitigation scheme” for “appropriate” substitute “approved” Schedule 2, paragraph 23(5) In the definition of “Ministry of Defence” after “means” insert “the Ministry of Defence” Schedule 2, paragraph 23(5) In the definition of “operator” for “means BAE Systems (Operations) Limited incorporated under the Companies Act 2006 (Company Number 01996687) whose registered office is Warwick House, PO Box 87, Farnborough Aerospace Centre, Farnborough, Hants, GU14 6YU or such other organisation as is licensed from time to time under sections 5 and 6 of the Transport Act 2000 to provide air traffic services for Warton Aerodrome or any other organisation employed by BAE Systems (Operations) Limited to provide an air traffic service at Warton Aerodrome;” substitute “means BAE Systems (Operations) Limited (incorporated in England and Wales with company number 01996687 whose registered office is at Victory Point, Lyon Way, Frimley, Camberley, Surrey, GU16 7EX) or such other organisation as is licensed from time to time under sections 5 and 6 of the Transport Act 2000 to provide air traffic services at Warton Aerodrome or any other organisation employed by BAE Systems (Operations) Limited to provide an air traffic service at Warton Aerodrome;” Schedule 2, paragraph 27(3)(a) After “generator” omit “or any offshore substation platform” Schedule 2, paragraph 27(4) In the definition of “Approved ATS mitigation scheme” for “sub-paragraph (1)(a).” substitute “paragraph (1)(b)(i);” Schedule 2, paragraph 27(4) In the definition of “operator” for “Surrey” substitute “Surrey,” Schedule 2, paragraph 28(3)(a) After “generator” omit “or any offshore substation platform” Schedule 2, paragraph 28(4) In the definition of “approved ATS mitigation scheme” for “paragraph (1)(a)” substitute “paragraph (b)(i)” Schedule 2, paragraph 28(4) In the definition of “ATS mitigation scheme” sub-paragraph (a) for “The” substitute “the” Schedule 2, paragraph 28(4) In the definition of “ATS mitigation scheme” paragraph (a)(i) for “National” substitute “national” Schedule 2, paragraph 28(4) In the definition of “ATS mitigation scheme” paragraph (a)(ii) for “Safe” substitute “safe” Schedule 2, paragraph 28(4) In the definition of “ATS mitigation scheme” paragraph (a)(iii) for “Any” substitute “any” Schedule 2, paragraph 28(4) In the definition of “ATS mitigation scheme” sub-paragraph (b) for “The” substitute “the” Schedule 2, paragraph 28(4) In the definition of “operator” after “any” omit “other” Schedule 2, paragraph 28(4) In the definition of “operator” after “Aerodrome;” omit “and” Schedule 2, paragraph 28(4) In the definition of “UHF” after “frequency;” insert “and” Schedule 2, paragraph 32 For “person responsible for the original approval” substitute “relevant discharging authority” Schedule 8 (heading) In the Article cross- reference after “Article” for “22” substitute “21” Schedule 9, paragraph 5(7) For “24(4)” substitute “26(4) (modification of Part 1 of the 1965 Act)” Schedule 10, Part 3, paragraph 18(2) For “7 and 8” substitute “22 and 23” Schedule 10, Part 3, paragraph 20(6) For “8” substitute “23” Schedule 10, Part 3, paragraph 22(1) For “2” substitute “17” Schedule 10, Part 3, paragraph 23(4) For “8” substitute “23” Schedule 10, Part 3, paragraph 23(4) For “2” substitute “17” Schedule 10, Part 3, paragraph 24(5) For “9” substitute “24” Schedule 10, Part 4, paragraph 29(1) For “4” substitute “28” Schedule 10, Part 5 paragraph 39 In the definition of “protective works” for “8” substitute “45” Schedule 10, Part 5 paragraph 39 In the definition of “specified work” sub-paragraph (a) for “6” substitute “43” Schedule 10, Part 6 paragraph 59 For “10” substitute “58” Schedule 10, Part 7 paragraph 79(3) For “11” substitute “94” Schedule 10, Part 7 paragraph 84(1) For “21” substitute “98” Schedule 10, Part 7 paragraph 87(1) For “9” substitute “92” Schedule 10, Part 7 paragraph 90(2) For “8” substitute “91” Schedule 10, Part 7 paragraph 92(9) For “7” substitute “90” Schedule 10, Part 7 paragraph 99 For “97” substitute “92” Schedule 10, Part 8 paragraph 100 For “114” substitute “113” Schedule 10, Part 8 paragraph 104(5)(a) For “5” substitute “104” Schedule 10, Part 8 paragraph 109(10) For “9” substitute “108” Schedule 10, Part 9 paragraph 135(4) For “16” substitute “135” Schedule 15, Table 7, Document Reference Number J26 In column 1 for “J26” substitute “S_RFI1_03” Schedule 15, Table 7, Document Reference Number J26 In column 2 for “REP6-034” substitute “C1-008c” Schedule 15, Table 7, Document Reference Number J26 In column 4 for “F05” substitute “F01” Schedule 15, Table 7, Document Reference Number J26 In column 5 for “December 2024” substitute “May 2025” Schedule 15, Table 7, Document Reference Number J26.3 In column 1 for “J26.3” substitute “S_RFI1_04” Schedule 15, Table 7, Document Reference Number J26.3 In column 2 for “REP6-040” substitute “C1-008e” Schedule 15, Table 7, Document Reference Number J26.3 In column 4 for “F05” substitute “F01” Schedule 15, Table 7, Document Reference Number J26.3 In column 5 for “December 2024” substitute “May 2025” Schedule 15, Table 7, Document Reference Number J26.13 In column 1 for “J26.13” substitute “S_RFI1_05” Schedule 15, Table 7, Document Reference Number J26.13 In column 2 for “REP6-060” substitute “C1-008g” Schedule 15, Table 7, Document Reference Number J26.13 In column 4 for “F04” substitute “F01” Schedule 15, Table 7, Document Reference Number J26.13 In column 5 for “December 2024” substitute “May 2025” Schedule 15, Table 7, Document Reference Number J26.15 In column 1 for “J26.15” substitute “S_RFI1_06” Schedule 15, Table 7, Document Reference Number J26.15 In column 2 for “REP4-019” substitute “C3-004, pdf pages 22 to 37” Schedule 15, Table 7, Document Reference Number J26.15 In column 4 for “F03” substitute “F02” Schedule 15, Table 7, Document Reference Number J26.15 In column 5 for “November 2024” substitute “June 2025” Schedule 15, Table 7, Document Reference Number J26.16 In column 1 for “J26.16” substitute “S_RFI1_07” Schedule 15, Table 7, Document Reference Number J26.16 In column 2 for “REP6-062” substitute “C1-008k” Schedule 15, Table 7, Document Reference Number J26.16 In column 4 for “F03” substitute “F01” Schedule 15, Table 7, Document Reference Number J26.16 In column 5 for “December 2024” substitute “May 2025” EXPLANATORY NOTE (This note is not part of the Order) This Order corrects errors in the Mona Offshore Wind Farm Order 2025 ( S.I. 2025/870 ), a development consent order made under the Planning Act 2008, following a request made under paragraph 1(5)(a) of Schedule 4 to that Act. S.I. 2025/870 . 2008 c. 29 . Paragraph 1 of Schedule 4 was amended by paragraph 70 of Schedule 13, and Part 20 of Schedule 25, to the Localism Act 2011 (c. 20) . There are other amendments to paragraph 1 that are not relevant to this Order. The relevant period is defined in paragraph 1(6)(a) of Schedule 4 to the Act. The term “applicant” is defined in paragraph 4 of Schedule 4 to the Act. As defined in paragraph 4 of Schedule 4 to the Act.
[uk-legislation-uksi][uksi] 2025-10-30 The Compensation for Miscarriages of Justice (Alteration of Overall Compensation Limits) Order 2025 http://www.legislation.gov.uk/uksi/2025/1139/made http://www.legislation.gov.uk/uksi/2025/1139/made The Compensation for Miscarriages of Justice (Alteration of Overall Compensation Limits) Order 2025 King's Printer of Acts of Parliament 2025-10-30 CRIMINAL LAW, ENGLAND AND WALES CRIMINAL LAW, NORTHERN IRELAND DEFENCE This Order increases the overall compensation limits that apply to compensation payable by the Secretary of State under section 133 of the Criminal Justice Act 1988 (“the 1988 Act”) and section 276 of the Armed Forces Act 2006 (“the 2006 Act”) for a particular miscarriage of justice. The Compensation for Miscarriages of Justice (Alteration of Overall Compensation Limits) Order 2025 2025 No. 1139 CRIMINAL LAW, ENGLAND AND WALES CRIMINAL LAW, NORTHERN IRELAND DEFENCE The Compensation for Miscarriages of Justice (Alteration of Overall Compensation Limits) Order 2025 Made 28th October 2025 Coming into force 29th October 2025 The Secretary of State makes this Order in exercise of the powers conferred by section 133A(7) of the Criminal Justice Act 1988 and section 276A(7) of the Armed Forces Act 2006 . In accordance with section 133A(8) of the Criminal Justice Act 1988 and section 373(3)(a) of the Armed Forces Act 2006 , a draft of this Order has been laid before, and approved by a resolution of, each House of Parliament. Citation, commencement and extent 1 1 This Order may be cited as the Compensation for Miscarriages of Justice (Alteration of Overall Compensation Limits) Order 2025. 2 This Order comes into force on the day after the day on which it is made. 3 Subject to paragraphs (4) and (5), this Order extends to England and Wales, Scotland and Northern Ireland. 4 Articles 2 and 4(1) extend to England and Wales and Northern Ireland only. 5 In section 384 of the Armed Forces Act 2006 (extent to Channel Islands, Isle of Man etc), any reference to that Act includes a reference to— a that Act as amended by article 3, and b article 4(2). Amendment to section 133A(5) of the Criminal Justice Act 1988 2 1 The Criminal Justice Act 1988 is amended as follows. 2 In section 133A (miscarriages of justice: amount of compensation)— a in subsection (5), after “overall compensation limit.” for “That” substitute “In the case of compensation payable by the Department of Justice in Northern Ireland, that” ; b after subsection (5) insert— 5A In the case of compensation payable by the Secretary of State, the overall compensation limit for the purposes of subsection (5) is— a £1,300,000 in a case to which section 133B applies, and b £650,000 in any other case. . Amendment to section 276A(5) of the Armed Forces Act 2006 3 1 The Armed Forces Act 2006 is amended as follows. 2 In section 276A (miscarriages of justice: amount of compensation)— a in subsection (5)(a), for “£1 million” substitute “£1,300,000” ; b in subsection (5)(b), for “£500,000” substitute “£650,000” . Transitional provisions 4 1 Article 2 has effect in relation to— a any application for compensation made under section 133(2) of the Criminal Justice Act 1988 on or after the date on which this Order comes into force, and b any application for compensation made under that section before the date on which this Order comes into force, but for which the assessor has not yet made an assessment of the amount of compensation under sections 133(4) and 133A of the Criminal Justice Act 1988. 2 Article 3 has effect in relation to— a any application for compensation made under section 276(3) of the Armed Forces Act 2006 on or after the date on which this Order comes into force, and b any application for compensation made under that section before the date on which this Order comes into force, but for which the assessor has not yet made an assessment of the amount of compensation under sections 276(5) and 276A of the Armed Forces Act 2006. Signed by authority of the Secretary of State Alex Davies-Jones Parliamentary Under Secretary of State Ministry of Justice 28th October 2025 Explanatory Note (This note is not part of the Order) This Order increases the overall compensation limits that apply to compensation payable by the Secretary of State under section 133 of the Criminal Justice Act 1988 (“ the 1988 Act ”) and section 276 of the Armed Forces Act 2006 (“ the 2006 Act ”) for a particular miscarriage of justice. Section 133 of the 1988 Act, which extends throughout the United Kingdom, makes provision for the payment of compensation to those who have suffered a miscarriage of justice following conviction in the civilian justice system. Section 133A(5), which extends to England and Wales and Northern Ireland only, specifies that the total amount of compensation payable must not exceed the overall compensation limit. Article 2 of this Order amends section 133A(5) to increase the overall compensation limit that applies to compensation payable by the Secretary of State from £1 million to £1,300,000 in cases where the person has been detained for at least 10 years and £500,000 to £650,000 in any other case. Compensation is payable by the Secretary of State in relation to eligible England and Wales cases and eligible Northern Ireland cases that are determined by the Secretary of State on national security grounds. This Order does not change the overall compensation limit specified in section 133A(5) that applies to compensation payable by the Department of Justice in Northern Ireland in the remainder of eligible Northern Ireland cases. Section 276 of the 2006 Act makes provision for the payment of compensation to those who have suffered a miscarriage of justice following conviction by the Court Martial. Article 3 of this Order amends section 276A(5) to increase the overall compensation limit that applies to compensation payable by the Secretary of State by the same amounts referred to above. A full impact assessment has not been produced for this instrument as no, or no significant, impact on the private, voluntary or public sector is foreseen. 1988 c. 33 . Section 133A was inserted by section 61(1), (7) and (9) of the Criminal Justice and Immigration Act 2008 (c. 4) and has been amended by S.I. 2010/976 . 2006 c. 52 . Section 276A was inserted by paragraphs 10 and 30 of Schedule 25 to the Criminal Justice and Immigration Act 2008 (c. 4) . Section 373(3)(a) was amended by paragraphs 10 and 31 of Schedule 25 to the Criminal Justice and Immigration Act 2008 (c. 4) . Section 384 was amended by section 13(3) of the Armed Forces Act 2016 (c. 21) and S.I. 2012/2404 . Section 133B was inserted by section 61(1), (7) and (9) of the Criminal Justice and Immigration Act 2008 (c. 4) . Section 133 was amended by paragraph 16(4) of Schedule 2 and Schedule 3 to the Criminal Appeal Act 1995 (c. 35) , section 7(8) of the Terrorism Act 2000 (c. 11) , section 12(8) of the Prevention of Terrorism Act 2005 (c. 2) , paragraph 1 of Schedule 11 to the Constitutional Reform Act 2005 (c. 4) , paragraph 6(1) of the Schedule to the Criminal Proceedings etc. (Reform) (Scotland) Act 2007 (asp 6) , section 61(1), (2), (3), (4), (5), (6) and (9) of the Criminal Justice and Immigration Act 2008 (c. 4) , section 29(3) and paragraph 3 of Schedule 7 to the Terrorism Prevention and Investigation Measures Act 2011 (c. 23) , section 175(1) of the Anti-social Behaviour, Crime and Policing Act 2014 (c. 12) , section 15(2) of the Counter-Terrorism and Security Act 2015 (c. 6) , S.I. 2010/976 and 2023/1386 . Section 276 was amended by paragraphs 10 and 29 of Schedule 25 to the Criminal Justice and Immigration Act 2008 (c. 4) .
[uk-legislation-uksi][uksi] 2025-10-30 The Immigration (Guernsey) Order 2025 http://www.legislation.gov.uk/uksi/2025/1138/made http://www.legislation.gov.uk/uksi/2025/1138/made The Immigration (Guernsey) Order 2025 en King's Printer of Acts of Parliament 2025-10-30 IMMIGRATION This Order extends to the Bailiwick of Guernsey, with modifications, sections 70, 75 and 76 of the Nationality and Borders Act 2022. 2025 No. 1138 Immigration The Immigration (Guernsey) Order 2025 Made 15th October 2025 Coming into force in accordance with article 1(1) At the Court at Buckingham Palace, the 15thday of October 2025 Present, The King’s Most Excellent Majesty in Council His Majesty, in exercise of the powers conferred upon Him by section 86(4) of the Immigration Act 1971 , section 170(7) of the Immigration and Asylum Act 1999 and section 86(4) of the Nationality and Borders Act 2022 is pleased, by and with the advice of His Privy Council, to order as follows. Citation, commencement and interpretation 1 1 This Order may be cited as the Immigration (Guernsey) Order 2025 and comes into force on the day specified by regulations made by the States of Guernsey Committee for Home Affairs; and different dates may be specified for different provisions and for different purposes. 2 In this Order— “ the 1971 Act ” means the Immigration Act 1971, “ the 1999 Act ” means the Immigration and Asylum Act 1999, “ the 2022 Act ” means the Nationality and Borders Act 2022, “ Guernsey ” means the Bailiwick of Guernsey, and “ relevant Act ” means the 1971 Act, the 1999 Act, the Nationality, Immigration and Asylum Act 2002 or the 2022 Act. 3 For the purposes of construing provisions of a relevant Act as part of the law of Guernsey, a reference to an enactment which extends to Guernsey is to be construed as a reference to that enactment as it has effect in Guernsey, unless the context requires otherwise. Extension of the 2022 Act to Guernsey 2 1 Each provision of the 2022 Act specified in column 1 of Schedule 1 to this Order is extended to Guernsey with any modifications specified in column 2 of the schedule. 2 Schedule 2 to this Order sets out the provisions of the 2022 Act as extended to Guernsey. 3 In case of any conflict between Schedule 1 and Schedule 2, the former prevails. Richard Tilbrook Clerk of the Privy Council SCHEDULE 1 Extension and modification of provisions of the Nationality and Borders Act 2022 Article 2(1) Column 1 Column 2 Provision Modifications Section 70 of the 2022 Act. For this section, substitute the following section— “ 70. Visa penalty provisions: application of UK Immigration Rules to the Bailiwick (1) Subject to subsections (2) and (3), immigration rules making visa penalty provision under section 70 of this Act, as it has effect in the United Kingdom, have effect in and in relation to the Bailiwick as if they were rules made under section 3(2) of the 1971 Act. (2) The Committee may at any time by Order— (a) disapply subsection (1) in relation to any of those rules; or (b) modify the application of subsection (1) in relation to any of those rules, including providing for any or all of those rules to have effect in the Bailiwick subject to modifications specified in the Order. (3) Subject to subsection (4), and unless the context or an Order under subsection (2) requires otherwise, a reference in those rules— (a) to entry clearance is to be construed as a reference to entry clearance within the meaning given by section 33(1) of the 1971 Act; (b) to immigration officers is to be construed as a reference to immigration officers appointed for the purposes of the 1971 Act; (c) to the United Kingdom is to be construed as a reference to the Bailiwick; (d) to the Secretary of State is to be construed as a reference to the Committee; and (e) to any of the Immigration Acts is to be construed as a reference to that Act as it has effect in the Bailiwick. (4) Any amount of money payable under a visa penalty provision is to be paid into the Consolidated Fund of the United Kingdom. (5) For the avoidance of doubt, the Guernsey Statutory Instruments (Registration) Ordinance, 1949 applies to an Order under subsection (2). (6) For the avoidance of doubt, a reference in this section to the 1971 Act is a reference to that Act as it has effect in the Bailiwick. (7) In this section— “ the Bailiwick ” means the Bailiwick of Guernsey; and “ the Committee ” means the States of Guernsey Committee for Home Affairs.”” Section 75 (except subsection (5)) of the 2022 Act. In section 75(2) of the 2022 Act— (a) in section 11C as inserted in the 1971 Act— (i) for subsection (1), substitute the following subsection— “(1) In this Act— “ an ETA ” means an authorisation in electronic form to travel to the Bailiwick; “ any other British CTA territory ” means the United Kingdom, the Bailiwick of Jersey or the Isle of Man; “ the Bailiwick ” means the Bailiwick of Guernsey; and “ the Committee ” means the States of Guernsey Committee for Home Affairs.”; (ii) in subsections (2), (3) and (4), for “United Kingdom” in each place where the expression occurs, substitute “Bailiwick” ; (iii) in subsection (5)— (A) for “United Kingdom” in each place where it occurs, substitute “Bailiwick” ; (B) for “of the Islands” in paragraph (a), and “island” in paragraph (b) and the part of that subsection following paragraph (b), respectively, substitute “other British CTA territory” ; and for “Secretary of State”, substitute “Committee” ; and (iv) in subsection (6)(d)(ii), for “United Kingdom”, substitute “Bailiwick” ; (b) in section 11D as inserted in the 1971 Act— (i) in its heading, for “the Islands”, substitute “other British CTA territories” ; (ii) in subsection (1)— (A) for “Secretary of State”, substitute “Committee” ; (B) for “United Kingdom”, substitute “Bailiwick” ; and (C) for “of the Islands” and “island” respectively, substitute “other British CTA territory” ; (iii) in subsection (2)— (A) for “United Kingdom” in each place where it occurs, substitute “Bailiwick” ; (B) for “of the Islands” in paragraph (c), substitute “other British CTA territory” ; and (C) for “Secretary of State” in paragraph (d), substitute “Committee” ; and (iv) for subsections (3), (4), (5) and (6), substitute the following subsection— “(3) For the avoidance of doubt, the Guernsey Statutory Instruments (Registration) Ordinance, 1949 applies to regulations under subsection (1).”; (c) immediately after section 11D as inserted in the 1971 Act, insert the following section— “ 11E Arrangements for functions to be carried out by Secretary of State (1) The Committee may arrange for the Secretary of State to carry out any function in relation to ETAs conferred on any person (“the decision-maker”) by immigration rules under section 11C or regulations under section 11D. (2) A function carried out by or on behalf of the Secretary of State under an arrangement made under subsection (1) is for all purposes carried out by the decision-maker under the rules or regulations concerned; and every decision taken or other thing done by or on behalf of the Secretary of State under such an arrangement has the same effect as if taken or (as the case may be) done by the decision-maker. (3) An arrangement under subsection (1)— (a) may be varied or terminated at any time by the Committee, but without prejudice to anything done under the arrangement or to the making of a new arrangement; and (b) does not prevent the performance of the function by the decision-maker concerned. (4) For the avoidance of doubt, the decision-maker may be the Committee. (5) This section has effect for the removal of any doubt and is not to be construed as impliedly invalidating anything done in conformity with any other enactment or rule of law, either before or after this section comes into force.” In section 75(3) of the 2022 Act, in section 24A(1)(a) of the 1971 Act as amended, for “Kingdom”, substitute “Guernsey” . In section 75(4) of the 2022 Act— (a) for “place insert—”; and (b) for the definition of “an ETA”, substitute— “places, insert the following definitions in the appropriate order— ““any other British CTA territory” or “ other British CTA territory ” has the meaning given by section 11C;” ““ the Bailiwick ” has the meaning given by section 11C;” ““ the Committee ” has the meaning given by section 11C;” and ““ an ETA ” means an authorisation in electronic form to travel to the Bailiwick;” Section 76 of the 2022 Act. In section 76(1) of the 2022 Act, for “(8)”, substitute “(6)” . In section 76(2) of the 2022 Act— (a) in relation to the substituted section 40(1) of the 1999 Act— (i) for “Secretary of State”, substitute “States of Guernsey Committee for Home Affairs (“ the Committee ”);” and (ii) for “United Kingdom”, substitute “Bailiwick of Guernsey” ; and (b) in relation to the substituted section 40(1C)(a), for “United Kingdom” in each place where it occurs, substitute “Bailiwick of Guernsey” . For section 76(4) of the 2022 Act, in relation to section 40(4) of the 1999 Act, substitute the following subsection— “(4) For subsection (4), substitute the following subsection— “(4) No charge shall be payable on the basis that Case 1 applies in respect of any individual if the owner provides evidence that the individual produced an immigration document of the kind mentioned in subsection (1A) to the owner or an employee or agent of the owner when embarking on the ship or aircraft for the voyage or flight to the Bailiwick of Guernsey.”” In section 76(5) of the 2022 Act— (a) in section 40(4A) of the 1999 Act as inserted— (i) in paragraph (a), for “United Kingdom”, substitute “Bailiwick of Guernsey” ; and (ii) in paragraphs (b) and (c), immediately after “Secretary of State” in each place where the expression occurs, insert “, the Committee or an immigration officer” ; (b) in section 40(4B) of the 1999 Act as inserted— (i) in paragraph (a)— (A) immediately after “Secretary of State”, insert “, the Committee or an immigration officer” ; and (B) for “United Kingdom”, substitute “Bailiwick of Guernsey” ; and (ii) in paragraph (b), immediately after “Secretary of State”, insert “, the Committee or an immigration officer” . For section 76(6), (7) and (8) of the 2022 Act, in relation to section 40 of the 1999 Act, substitute the following subsection— “(6) For subsections (5), (6), (7), (8), (11) and (13), substitute the following subsections— “(5) For the purpose of subsection (4) or (4A)(a), an owner shall be entitled to regard a document as— (a) being what it purports to be unless its falsity is reasonably apparent; and (b) relating to the individual producing it unless it is reasonably apparent that it does not relate to him. (6) For the purposes of this section an individual requires an entry clearance if under the immigration rules he requires an entry clearance for entry into the Bailiwick of Guernsey. (7) In this section “ immigration document ” means— (a) a passport; and (b) a document which relates to a national of a country other than the United Kingdom and which is designed to serve the same purpose as a passport. (8) The Committee may by Order substitute a sum for the sum in subsection (1). (9) An Order under subsection (8) must be laid before a meeting of the States of Deliberation as soon as possible and, if at that or the next meeting the States of Deliberation resolve to annul it, ceases to have effect, but without prejudice to anything done under it or to the making of a new Order. (10) For the avoidance of doubt, the Guernsey Statutory Instruments (Registration) Ordinance, 1949 applies to an Order under subsection (8).”” SCHEDULE 2 Provisions of the Nationality and Borders Act 2022 as extended to Guernsey Article 2(2) Provision as extended to Guernsey “ 70. Visa penalty provisions: application of UK Immigration Rules to the Bailiwick (1) Subject to subsections (2) and (3), immigration rules making visa penalty provision under section 70 of this Act, as it has effect in the United Kingdom, have effect in the Bailiwick as if they were rules made under section 3(2) of the 1971 Act. (2) The Committee may at any time by Order— (a) disapply subsection (1) in relation to any of those rules; or (b) modify the application of subsection (1) in relation to any of those rules, including providing for any or all of those rules to have effect in the Bailiwick subject to modifications specified in the Order. (3) Subject to subsection (4), and unless the context or an Order under subsection (2) requires otherwise, a reference in those rules— (a) to entry clearance is to be construed as a reference to entry clearance within the meaning given by section 33(1) of the 1971 Act; (b) to immigration officers is to be construed as a reference to immigration officers appointed for the purposes of the 1971 Act; (c) to the United Kingdom is to be construed as a reference to the Bailiwick; (d) to the Secretary of State is to be construed as a reference to the Committee; and (e) to any of the Immigration Acts is to be construed as a reference to that Act as it has effect in the Bailiwick. (4) Any amount of money payable under a visa penalty provision is to be paid into the Consolidated Fund of the United Kingdom. (5) For the avoidance of doubt, the Guernsey Statutory Instruments (Registration) Ordinance, 1949 applies to an Order under subsection (2). (6) For the avoidance of doubt, a reference in this section to the 1971 Act is a reference to that Act as it has effect in the Bailiwick. (7) In this section— “ the Bailiwick ” means the Bailiwick of Guernsey; and “ the Committee ” means the States of Guernsey Committee for Home Affairs.” “ 75. Electronic travel authorisations (1) The Immigration Act 1971 is amended in accordance with subsections (2) to (4). (2) After Part 1 insert— “Part 1A Electronic Travel Authorisations 11C. Electronic travel authorisations (1) In this Act— “ an ETA ” means an authorisation in electronic form to travel to the Bailiwick of Guernsey; “any other British CTA territory” or “ other British CTA territory ” means the United Kingdom, the Bailiwick of Jersey or the Isle of Man; “ the Bailiwick ” means the Bailiwick of Guernsey; and “ the Committee ” means the States of Guernsey Committee for Home Affairs. (2) Immigration rules may require an individual of a description specified in the rules not to travel to the Bailiwick from any place (including a place in the common travel area), whether with a view to entering the Bailiwick or to passing through it without entering, unless the individual has an ETA that is valid for the individual’s journey to the Bailiwick. (3) The rules may not impose this requirement on an individual if— (a) the individual is a British citizen, or (b) the individual would, on arrival in the Bailiwick, be entitled to enter without leave. (4) In relation to an individual travelling to the Bailiwick on a local journey from a place in the common travel area, subsection (3)(b) applies only if the individual would also be entitled to enter without leave if the journey were instead from a place outside the common travel area. (5) The rules may impose the requirement mentioned in subsection (2) on an individual who— (a) travels to the Bailiwick on a local journey from a place in any other British CTA territory, and (b) has leave to enter or remain in that other British CTA territory, only if it appears to the Committee necessary to do so by reason of differences between the immigration laws of the Bailiwick and that other British CTA territory. (6) The rules must— (a) provide for the form or manner in which an application for an ETA may be made, granted or refused; (b) specify the conditions (if any) which must be met before an application for an ETA may be granted; (c) specify the grounds on which an application for an ETA must or may be refused; (d) specify the criteria to be applied in determining— (i) the period for which an ETA is valid; (ii) the number of journeys to the Bailiwick during that period for which it is valid (which may be unlimited); (e) require an ETA to include provision setting out the matters mentioned in paragraph (d)(i) and (ii); (f) provide for the form or manner in which an ETA may be varied or cancelled; (g) specify the grounds on which an ETA must or may be varied or cancelled. (7) The rules may also— (a) provide for exceptions to the requirement described in subsection (2), and (b) make other provision relating to ETAs. (8) Rules made by virtue of this section may make different provision for different cases or descriptions of case. 11D. Electronic travel authorisations and other British CTA territories (1) The Committee may by regulations make provision about the effects in the Bailiwick of the grant or refusal under the law of any other British CTA territory of an authorisation in electronic form to travel to that other British CTA territory. (2) Regulations under subsection (1) may in particular make provision about— (a) the recognition in the Bailiwick of an authorisation granted as mentioned in subsection (1); (b) the conditions or limitations that are to apply in the Bailiwick to such an authorisation; (c) the effects in the Bailiwick of such an authorisation being varied or cancelled under the law of any other British CTA territory; (d) the circumstances in which the Committee or an immigration officer may vary or cancel such an authorisation (so far as it applies in the Bailiwick). (3) For the avoidance of doubt, the Guernsey Statutory Instruments (Registration) Ordinance, 1949 applies to regulations under subsection (1). 11E. Arrangements for functions to be carried out by Secretary of State (1) The Committee may arrange for the Secretary of State to carry out any function in relation to ETAs conferred on any person (“the decision-maker”) by immigration rules under section 11C or regulations under section 11D. (2) A function carried out by or on behalf of the Secretary of State under an arrangement made under subsection (1) is for all purposes carried out by the decision-maker under the rules or regulations concerned; and every decision taken or other thing done by or on behalf of the Secretary of State under such an arrangement has the same effect as if taken or (as the case may be) done by the decision-maker. (3) An arrangement under subsection (1)— (a) may be varied or terminated at any time by the Committee, but without prejudice to anything done under the arrangement or to the making of a new arrangement; and (b) does not prevent the performance of the function by the decision-maker concerned. (4) For the avoidance of doubt, the decision-maker may be the Committee. (5) This section has effect for the removal of any doubt and is not to be construed as impliedly invalidating anything done in conformity with any other enactment or rule of law, either before or after this section comes into force.” (3) In section 24A (deception), in subsection (1)(a)— (a) after “obtain” insert “— (i)” ; (b) after “Guernsey” insert “, or” and the following subparagraph— (ii) an ETA.” (4) In section 33 (interpretation), in subsection (1), at the appropriate places, insert the following definitions in the appropriate order— “any other British CTA territory” or “ other British CTA territory ” has the meaning given by section 11C.” “ the Bailiwick ” has the meaning given by section 11C;” “ the Committee ” has the meaning given by section 11C;” “ an ETA ” means an authorisation in electronic form to travel to the Bailiwick;” (5) In section 126 of the Nationality, Immigration and Asylum Act 2002 (compulsory provision of physical data), in subsection (2), before paragraph (a) insert— “(za) an ETA (within the meaning of section 11C of the Immigration Act 1971 (electronic travel authorisations)),”” “ 76. Liability of carriers (1) Section 40 of the Immigration and Asylum Act 1999 (liability of carriers in respect of passengers) is amended in accordance with subsections (2) to (6). (2) For subsection (1) substitute— “(1) The States of Guernsey Committee for Home Affairs (“ the Committee ”) may charge the owner of a ship or aircraft the sum of £2,000 where— (a) an individual who would not, on arrival in the Bailiwick of Guernsey, be entitled to enter without leave arrives by travelling on the ship or aircraft, and (b) at least one of the Cases set out in subsections (1A) to (1C) applies. (1A) Case 1 is where, on being required to do so by an immigration officer, the individual fails to produce an immigration document which is valid and which satisfactorily establishes the individual’s identity and the individual’s nationality or citizenship. (1B) Case 2 is where— (a) the individual requires an entry clearance, (b) an entry clearance in electronic form of the required kind has not been granted, and (c) if required to do so by an immigration officer, the individual fails to produce an entry clearance in documentary form of the required kind. (1C) Case 3 is where— (a) the individual was required not to travel to the Bailiwick of Guernsey unless the individual had an authorisation in electronic form (“an ETA”) under immigration rules made by virtue of section 11C of the Immigration Act 1971 that was valid for the individual’s journey to the Bailiwick of Guernsey, and (b) the individual did not have such an ETA.” (3) Omit subsection (2). (4) For subsection (4), substitute the following the following subsection— “(4) No charge shall be payable on the basis that Case 1 applies in respect of any individual if the owner provides evidence that the individual produced an immigration document of the kind mentioned in subsection (1A) to the owner or an employee or agent of the owner when embarking on the ship or aircraft for the voyage or flight to the Bailiwick of Guernsey.” (5) After subsection (4) insert— “(4A) No charge shall be payable on the basis that Case 2 applies in respect of any individual if the owner provides evidence that— (a) the individual produced an entry clearance in documentary form of the required kind to the owner or an employee or agent of the owner when embarking on the ship or aircraft for the voyage or flight to the Bailiwick of Guernsey, (b) the owner or an employee or agent of the owner reasonably believed, on the basis of information provided by the Secretary of State, the Committee or an immigration officer in respect of the individual, that the individual did not require an entry clearance of the kind in question, (c) the owner or an employee or agent of the owner reasonably believed, on the basis of information provided by the Secretary of State, the Committee or an immigration officer, that an entry clearance in electronic form of the required kind had been granted, or (d) the owner or an employee or agent of the owner was unable to establish whether an entry clearance in electronic form of the required kind had been granted in respect of the individual and had a reasonable excuse for being unable to do so. (4B) No charge shall be payable on the basis that Case 3 applies in respect of any individual if the owner provides evidence that the owner or an employee or agent of the owner— (a) reasonably believed, on the basis of information provided by the Secretary of State, the Committee or an immigration officer in respect of the individual, that the individual was not required to have an ETA that was valid for the individual’s journey to the Bailiwick of Guernsey, (b) reasonably believed, on the basis of information provided by the Secretary of State, the Committee or an immigration officer, that the individual had such an ETA, or (c) was unable to establish whether the individual had such an ETA and had a reasonable excuse for being unable to do so.” (6) For subsections (5), (6), (7), (8), (11) and (13), substitute the following subsections— “(5) For the purpose of subsection (4) or (4A)(a), an owner shall be entitled to regard a document as— (a) being what it purports to be unless its falsity is reasonably apparent; and (b) relating to the individual producing it unless it is reasonably apparent that it does not relate to him. (6) For the purposes of this section an individual requires an entry clearance if under the immigration rules he requires an entry clearance for entry into the Bailiwick of Guernsey. (7) In this section “ immigration document ” means— (a) a passport; and (b) a document which relates to a national of a country other than the United Kingdom and which is designed to serve the same purpose as a passport. (8) The Committee may by Order substitute a sum for the sum in subsection (1). (9) An Order under subsection (8) must be laid before a meeting of the States of Deliberation as soon as possible and, if at that or the next meeting the States of Deliberation resolve to annul it, ceases to have effect, but without prejudice to anything done under it or to the making of a new Order. (10) For the avoidance of doubt, the Guernsey Statutory Instruments (Registration) Ordinance, 1949 applies to an Order under subsection (8).” (7) In consequence of the amendments made by this section— (a) for the heading of section 40 of the Immigration and Asylum Act 1999 substitute “Charge in respect of individual without proper documents or authorisation” ; (b) for the italic heading before section 40 of that Act substitute “Individuals without proper documents or authorisation” .” EXPLANATORY NOTE (This note is not part of the Order) This Order extends to the Bailiwick of Guernsey, with modifications, sections 70, 75 and 76 of the Nationality and Borders Act 2022. These provisions, as extended and modified— a give effect to UK Immigration Rules providing for visa penalties (subject to disapplication or modification by Order of the Committee for Home Affairs, b provide for Electronic Travel Authorisations to be required for travel to the Bailiwick of Guernsey, and c amend provisions in the Immigration and Asylum Act 1999 (previously extended to the Bailiwick of Guernsey with modifications) relating to the liability of carriers. 1971 c. 77 . 1999 c. 33 . 2022 c. 36 .
[uk-legislation-uksi][uksi] 2025-10-31 The Financial Services and Markets Act 2023 (Mutual Recognition Agreement) (Switzerland) Regulations 2025 http://www.legislation.gov.uk/uksi/2025/1145/made http://www.legislation.gov.uk/uksi/2025/1145/made The Financial Services and Markets Act 2023 (Mutual Recognition Agreement) (Switzerland) Regulations 2025 King's Printer of Acts of Parliament 2025-10-31 FINANCIAL SERVICES AND MARKETS These Regulations implement provisions in the Agreement between the United Kingdom of Great Britain and Northern Ireland and the Swiss Confederation on Mutual Recognition in Financial Services done at Berne on 21st December 2023 (“the Agreement”). The Financial Services and Markets Act 2023 (Mutual Recognition Agreement) (Switzerland) Regulations 2025 2025 No. 1145 FINANCIAL SERVICES AND MARKETS The Financial Services and Markets Act 2023 (Mutual Recognition Agreement) (Switzerland) Regulations 2025 Made 30th October 2025 Coming into force 1st January 2026 The Treasury make these Regulations in exercise of the powers conferred by sections 24 and 84(2) of the Financial Services and Markets Act 2023 . In accordance with section 24 (7) of that Act , the Treasury have consulted the Bank of England, the FCA and the PRA . In accordance with sections 24(10) and 84(3) of that Act, a draft of these Regulations has been laid before, and approved by a resolution of, each House of Parliament . Part 1 Introductory provisions Citation, commencement, extent and interpretation 1 1 These Regulations may be cited as the Financial Services and Markets Act 2023 (Mutual Recognition Agreement) (Switzerland) Regulations 2025. 2 These Regulations come into force on 1st January 2026. 3 These Regulations extend to England and Wales, Scotland and Northern Ireland. 4 In these Regulations— “ Agreement ” means the Agreement between the United Kingdom of Great Britain and Northern Ireland and the Swiss Confederation on Mutual Recognition in Financial Services concluded on 21st December 2023 at Berne , as amended from time to time; “ Covered Financial Services Supplier ” has the meaning given to that term in Article 1(b) of the Agreement; “ Covered Sectors ” has the meaning given to that term in Article 1(d) of the Agreement; “ FINMA ” means the Swiss Financial Market Supervisory Authority; “ FSMA 2023 ” means the Financial Services and Markets Act 2023 ; “ register ” means the register maintained by the FCA under regulation 8 ; “ registered service ” means a service which is included in the entry for a registered Swiss supplier on the register; “ registered Swiss supplier ” means a relevant Swiss supplier who is included in the register; “ relevant Swiss supplier ” means a person that satisfies the criteria specified in Annex 5 Section IV paragraph A.a to d. of the Agreement; “ the Tribunal ” has the meaning given to that term in section 417 (1) of FSMA 2000 ; “ UK regulator ” means— the FCA, or the PRA. 5 A requirement in these Regulations to give notice is a requirement to give notice in writing. 6 Any word or expression which is not defined in these Regulations and which is defined in the Agreement has the same meaning as in the Agreement. Part 2 Provisions relating to the FCA, the PRA and the Bank of England Interpretation of Part 2 2 In this Part, “ relevant regulator ” means— a the FCA, b the PRA, or c the Bank of England. Making of arrangements by the FCA and the PRA 3 The UK regulators may make such arrangements and take such action as they consider to be appropriate to ensure the effective implementation and functioning of the Agreement. Provision of advice, support and assistance by the FCA, the PRA and the Bank of England 4 1 Each relevant regulator must, at the request of the Treasury, provide such information, advice, support and assistance as the Treasury reasonably require to perform the Treasury’s functions in connection with the functioning of the Agreement. 2 A request under paragraph (1) must be made by notice, specifying— a the information, advice, support and assistance which must be provided, b the form and manner in which it must be provided, and c a reasonable period within which it must be provided. 3 Before issuing a notice under paragraph (2) , the Treasury must— a consult the relevant regulator to which the notice is addressed, and b have regard to the expertise of the relevant regulator and the need to protect its operational independence. 4 Each relevant regulator may otherwise provide such information, advice, support and assistance to the Treasury as they each consider appropriate in relation to the functioning of the Agreement. 5 In this regulation, the “ functioning of the Agreement ” includes— a the conduct of any dispute relating to the functioning of the Agreement, and b any winding down arrangements made under Article 22 (wind down arrangements) of the Agreement, including any equivalent arrangements made under Chapter 7 of Part 4 of these Regulations. Cooperation arrangements 5 The relevant regulators must take such steps as they consider appropriate to establish and maintain effective cooperation arrangements with FINMA— a to enable the relevant regulators to exercise their functions under these Regulations, b otherwise in relation to the supervision of Covered Financial Services Suppliers, as required by— i Chapter 4 of the Agreement, ii Annex 4 of the Agreement, and iii Annex 5 of the Agreement. Part 3 Insurance Notification form 6 A UK regulator may, by direction, specify the notification form required under Annex 4 Section IV paragraph B.e of the Agreement. Part 4 Investment Services Chapter 1 Interpretation Interpretation of Part 4 7 1 In this Part— “ RAO ” means the Financial Services and Markets Act 2000 (Regulated Activities) Order 2001 ; “ regulated activity ” has the same meaning as in section 22 of FSMA 2000 (regulated activities) ; “ relevant client ” means any person resident or established in the United Kingdom that meets the criteria in Annex 5 Section V paragraph A.1, 2 or 3 of the Agreement; “ relevant financial instrument ” means any of the financial services instruments listed in Annex 5 Section VI paragraph A of the Agreement; “ relevant service ” means any of the services listed in Annex 5 Section III paragraph A.a. and b of the Agreement; “ UK branch ” means a place of business in the United Kingdom that forms a legally dependent part of the person and conducts directly all or some of the operations inherent in its business. 2 For the purposes of the definition of “relevant client” in paragraph (1) — a a person is “resident in the United Kingdom” if that person is normally resident in the United Kingdom, and b a person is “established in the United Kingdom” if that person— i is incorporated or formed under the law of a part of the United Kingdom, ii has its registered office or head office in the United Kingdom, or iii has a UK branch. Chapter 2 The register The register of registered Swiss suppliers 8 1 The FCA must maintain a register containing an entry for every relevant Swiss supplier that meets the conditions in paragraph (2) . 2 The conditions are that— a the relevant Swiss supplier has applied for entry in the register, and b FINMA has informed the FCA that it is satisfied that the relevant Swiss supplier— i fulfills the eligibility requirements for Covered Financial Services Suppliers in Annex 5 Section IV paragraph A.a to d and f of the Agreement, and ii is of good standing. 3 The FCA may require an application for registration to be submitted in such form as the FCA may direct. 4 The FCA must create an entry for a relevant Swiss supplier before the end of a period of 30 days beginning with the day on which— a the FCA is informed by FINMA that the conditions in regulation 8 (2) (b) are satisfied in relation to that relevant Swiss supplier, or b if later, the FCA has received from FINMA all the information required for the entry. 5 Each entry on the register must include such information as the FCA considers appropriate in relation to the relevant Swiss supplier and at least the following information— a its name, and b information as to the relevant services which the relevant Swiss supplier intends to provide in the United Kingdom, including, for each service— i a description of the category of relevant clients to whom the relevant service is to be provided, and ii a list of the relevant financial instruments in relation to which the relevant service is to be provided. 6 Where a relevant Swiss supplier has permission to carry out a regulated activity under Part 4A of FSMA 2000 (permission to carry on regulated activities), the entry for that relevant Swiss supplier on the register may not include any relevant service which is the same as or which corresponds to that regulated activity. Modifications to the register 9 1 The FCA must modify the entry for a registered Swiss supplier before the end of a period of 30 days beginning with the day on which the FCA receives the notification and information from FINMA on any changes needed to the information recorded in the entry. 2 The FCA must remove the entry of a registered Swiss supplier (“ A ”) from the register if— a the FCA is notified by FINMA that A has ceased to be a relevant Swiss supplier, b the FCA has imposed a prohibition on A prohibiting A from providing registered services, c the FCA has imposed a restriction on A in respect of all the registered services in its entry in the register and that restriction has the effect of prohibiting A from providing those registered services, d the FCA is notified by the PRA that it has imposed a prohibition on A prohibiting A from providing registered services, e the FCA is notified by the PRA that it has imposed a restriction on A in respect of all the registered services in its entry in the register and that restriction has the effect of prohibiting A from providing those registered services, or f the United Kingdom has withdrawn Recognition from a Covered Sector or a part thereof under Article 21 of the Agreement and the withdrawal covers all the registered services in its entry in the register. 3 If— a the FCA imposes or varies a prohibition or restriction on A, b the FCA is notified by the PRA that the PRA has imposed or varied a prohibition or restriction on A, or c the United Kingdom withdraws Recognition from a Covered Sector or a part thereof under Article 21 of the Agreement, in respect of a relevant service, a category of relevant financial instruments or a category of relevant clients, the FCA must modify A’s entry on the register to remove or modify any reference to that relevant service, category of relevant financial instruments or category of relevant clients. 4 The FCA must remove A’s entry in accordance with paragraph (2) or modify A’s entry in accordance with paragraph (3) as soon as reasonably practicable after the FCA is notified or otherwise becomes aware of the event requiring the removal or modification. 5 The FCA may modify A’s entry on the register— a at A’s request, b where A obtains a permission to carry out a regulated activity under Part 4A of FSMA 2000 (permission to carry on regulated activities), or c where FINMA or the PRA informs the FCA that any of the information recorded in the register is no longer accurate. 6 In this regulation— a a “ prohibition ” means a prohibition imposed— i in the case of the FCA, under regulation 15 or 41 , and ii in the case of the PRA, under regulation 16 or 41 , b a “ restriction ” means— i in the case of the FCA, a restriction imposed under regulation 15 or a restriction or condition imposed under regulation 41 , and ii in the case of the PRA, a restriction imposed under regulation 16 or a restriction or condition imposed under regulation 41 . Right to refer matters to the Tribunal 10 1 A relevant Swiss supplier who is aggrieved by the exercise by the FCA of its functions under regulation 8 (4) or 9 (1) , (2) (a) to (e) , (3) (a) or (b) , (4) or (5) may refer the matter to the Tribunal. 2 A reference by a relevant Swiss supplier under paragraph (1) is to be treated as being made under FSMA 2023 for the purposes of section 133 of FSMA 2000 (proceedings before Tribunal: general provision). Duty of PRA to disclose information relevant to the register 11 1 The PRA must, for the purpose of assisting the FCA to comply with its functions under regulations 8 and 9 — a if the PRA prohibits or restricts a registered Swiss supplier under regulation 16 or 41 , or imposes conditions on a registered Swiss supplier under regulation 41 , provide the FCA with any information relating to its prohibitions, restrictions or conditions which affects the information which must be included in the register under regulation 8 (5) (b) , and b where the FCA has notified the PRA that it considers it appropriate to include in the register information of a certain description, disclose to the FCA such information of that description as the PRA has in its possession. 2 The duty to provide information under this regulation does not apply to information which the PRA reasonably believes is in the possession of the FCA. 3 The duty to provide information under this regulation does not apply to information whose disclosure is prohibited by or under section 348 of FSMA 2000 (restrictions on disclosure of confidential information by FCA, PRA etc.) . 4 This regulation is without prejudice to any other power to disclose information. Publication of register 12 1 The FCA must publish the register on its official website and make it available for public inspection. 2 If a partnership or unincorporated association is entered on the register, its registration— a has effect in relation to activities carried on in the name of the partnership or unincorporated association, b is not affected by any change in the membership of the partnership or unincorporated association, and c if the partnership or unincorporated association is dissolved, continues to have effect in relation to any individual, partnership or unincorporated association which succeeds to the whole or substantially the whole of the business of the former partnership or unincorporated association. Chapter 3 Product intervention rules Product intervention powers 13 1 Section 137D of FSMA 2000 (FCA general rules: product intervention) has effect as if the references in that section to authorised persons included a reference to registered Swiss suppliers. 2 Rules made under section 137D of FSMA 2000 by virtue of paragraph (1) by the FCA are to be treated as if they were general rules made by the FCA under section 137A of FSMA 2000 (the FCA’s general rules) and, for these purposes, references in section 137A to “authorised persons” include a reference to registered Swiss suppliers. 3 Section 137T of FSMA 2000 (general supplementary powers) and Chapter 2 of Part 9A of FSMA 2000 (rules: modification, waiver, contravention and procedural provisions) apply in relation to rules made under section 137D of FSMA 2000 by virtue of paragraph (1) as they apply to general rules. 4 Sections 205 (public censure), 206 (financial penalties), 207 (proposal to take disciplinary measures), 208 (decision notice) and 380 (injunctions) of FSMA 2000 apply in relation to a requirement imposed by the FCA in rules made under section 137D of FSMA 2000 by virtue of paragraph (1), as if— a the requirement were a relevant requirement (within the meaning of section 204A or section 380(6) of FSMA 2000), and b the references in sections 205 to 208 of FSMA 2000 to an authorised person include a reference to a registered Swiss supplier. Chapter 4 Information gathering Obtaining information from a registered Swiss supplier 14 1 The UK regulator may, if any of the conditions in paragraph (2) are met, by notice given to a registered Swiss supplier, require that supplier— a to provide specified information or information of a specified description, or b to produce specified documents or documents of a specified description, and for these purposes, “ specified ” means specified in the notice. 2 The conditions in this paragraph are that— a the UK regulator reasonably considers that the dialogue between the UK regulator and FINMA under Annex 5 Section X paragraph A.3.b of the Agreement has not resolved a matter notified under Annex 5 Section X paragraph A.3.a of the Agreement, b the UK regulator reasonably considers that it may be necessary to take regulatory action (within the meaning of regulation 40 (1) ) under regulation 41 , c the UK regulator reasonably requires information or documents to ensure that a registered Swiss supplier is complying with the obligations under Annex 5 Section VIII paragraph A.1.c.i of the Agreement, or d the FCA reasonably requires information or documents in connection with the monitoring or enforcement of rules made by virtue of regulation 13 . 3 If paragraph (2)(a) or (b) applies, the UK regulator may only require information to be provided or documents to be produced under paragraph (1) where the information or documents concerned are reasonably required by the UK regulator for the purposes of determining— a whether the registered Swiss supplier— i has failed to comply with a requirement in Annex 5 of the Agreement, or ii in carrying on any activities relating to registered services, has caused or is likely to cause material harm to a relevant client, or the integrity or stability of the financial system of the United Kingdom, or b whether it is necessary for the FCA or the PRA to take regulatory action (within the meaning of regulation 40 (1) ) under Part 5 and what form that regulatory action should take. 4 The FCA or the PRA must notify FINMA of any requirement made under this regulation as soon as reasonably practicable after the requirement has been made. 5 If a UK regulator has the power to require a person to produce a document under paragraph (1) , that power is to be treated as a power under Part XI of FSMA 2000 for the purposes of section 175 of that Act. 6 Section 205 (public censure) of FSMA 2000 applies in relation to a requirement imposed by a UK regulator under paragraph (1) by virtue of the condition in paragraph (2) (a) or paragraph (2) (b) being met as if— a the requirement was a relevant requirement (within the meaning of section 204A of FSMA 2000), and b the references in section 205 of FSMA 2000 to an authorised person include a person who is a registered Swiss supplier. 7 In relation to statements under section 205 of FSMA 2000 as applied by paragraph (6) — a section 207 of FSMA 2000 applies as if— i references to an authorised person include a person who is a registered Swiss supplier, and ii subsections (1)(b) and (c), (1A), (3) and (4) were omitted, and b section 208 of FSMA 2000 applies as if— i references to an authorised person include a person who is a registered Swiss supplier, and ii subsections (1)(b) and (c), (1A), (3), (3A), (4)(b) and (c) and (5) were omitted. 8 A requirement imposed under paragraph (1) by virtue of the condition in paragraph (2) (c) or (2) (d) being met is to be treated as a requirement imposed under Part XI of FSMA 2000 for the purposes of section 177 of FSMA 2000 (offences). 9 Section 380 (injunctions) of FSMA 2000 applies in relation to a requirement imposed under paragraph (1) by virtue of the condition in paragraph (2) (c) or (2) (d) being met as if that requirement were a relevant requirement within the meaning of section 380(6) of FSMA 2000. Chapter 5 Imposition and variation of prohibitions and restrictions Imposition of prohibitions and restrictions by FCA 15 1 If both the condition in paragraph (2) and the condition in paragraph (3) are met, the FCA may— a prohibit the registered Swiss supplier from providing one or more registered services, or b impose either or both of the following restrictions— i a restriction in relation to the categories of relevant clients to whom a registered service may be provided; ii a restriction in relation to the categories of relevant financial instruments in relation to which a registered service may be provided. 2 The condition in this paragraph is that the FCA has reasonable grounds to suspect that the registered Swiss supplier— a has failed to comply with a requirement in Annex 5 of the Agreement, or b in carrying on any activities relating to registered services, has caused or is likely to cause material harm to— i a relevant client, or ii the integrity or stability of the financial system of the United Kingdom. 3 The condition in this paragraph is— a that the FCA reasonably considers that the dialogue between the FCA and FINMA under Annex 5 Section X paragraph A.3.b of the Agreement has not resolved a matter notified under Annex 5 Section X paragraph A.3.a of the Agreement, or b that— i it is not practicable for the FCA to notify FINMA of a matter under Annex 5 Section X paragraph A.3.a of the Agreement, and ii in the FCA’s view there are exceptional circumstances that require immediate action to mitigate a risk of material harm to— aa relevant clients, or bb the integrity or stability of the financial system of the United Kingdom. 4 The FCA may, on the basis of information provided by the registered Swiss supplier or FINMA— a vary a prohibition or restriction imposed by the FCA under this regulation, or b cancel such prohibition or restriction. 5 The FCA must consult the PRA before imposing, varying or cancelling a prohibition or a restriction imposed by the FCA under this regulation which relates to— a a registered Swiss supplier who would be a PRA-authorised person if it had permission under Part 4A of FSMA 2000 to carry on the registered services it provides, or b a registered Swiss supplier who is a member of a group which includes a PRA-authorised person. Imposition of prohibitions and restrictions by PRA 16 1 If the condition in paragraph (2) and the condition in paragraph (3) are met, the PRA may— a prohibit the registered Swiss supplier from providing one or more registered services, or b impose either or both of the following restrictions— i a restriction in relation to the categories of relevant clients to whom a registered service may be provided; ii a restriction in relation to the categories of relevant financial instruments in relation to which a registered service may be provided. 2 The condition in this paragraph is that the PRA has reasonable grounds to suspect that the registered Swiss supplier— a has failed to comply with a requirement in Annex 5 of the Agreement, or b in carrying on any activities relating to registered services, has caused or is likely to cause material harm to— i a relevant client, or ii the integrity or stability of the financial system of the United Kingdom. 3 The condition in this paragraph is— a that the PRA reasonably considers that the dialogue between the PRA and FINMA under Annex 5 Section X paragraph A.3.b of the Agreement has not resolved a matter notified under Annex 5 Section X paragraph A.3.a of the Agreement, or b that— i it is not practicable for the PRA to notify FINMA of a matter under Annex 5 Section X paragraph A.3.a of the Agreement, and ii in the PRA’s view, there are exceptional circumstances that require immediate action to mitigate a risk of material harm to— aa relevant clients, or bb the integrity or stability of the financial system of the United Kingdom. 4 The PRA may, on the basis of information provided by the registered Swiss supplier or FINMA— a vary a prohibition or restriction imposed by the PRA under this regulation, or b cancel such prohibition or restriction. 5 The PRA must consult the FCA before imposing, varying or cancelling a prohibition or a restriction imposed by the PRA under this regulation. Exercise of prohibition or restriction power: procedure 17 1 This regulation applies to the exercise of the UK regulator’s power to impose, vary or cancel a prohibition or a restriction in relation to a registered Swiss supplier (“ A ”). 2 The imposition, variation or cancellation of a prohibition or restriction takes effect— a immediately, if the notice given under paragraph (4) states that this is the case, b on such date as may be specified in the notice, or c when the matter to which the notice relates is no longer open to review, if the notice neither specifies— i that the imposition, variation or cancellation takes effect immediately, nor ii the date on which the imposition, variation or cancellation takes effect. 3 The imposition, variation or cancellation of a prohibition or restriction may be expressed to take effect immediately or on a specified date only if the UK regulator concerned, having regard to the ground on which it is exercising its power to impose, vary or cancel the prohibition or restriction, reasonably considers that it is necessary for the imposition, variation or cancellation of the prohibition or restriction to take effect immediately or on that date. 4 If the UK regulator proposes to impose, vary or cancel a prohibition or restriction, it must give A notice. 5 A notice under this regulation must— a give details of the imposition, variation or cancellation of the prohibition or restriction, b state the UK regulator’s reasons for the imposition, variation or cancellation of the prohibition or restriction, c inform A that A may make representations to the UK regulator within such period as may be specified in the notice (whether or not A has referred the matter to the Tribunal), d inform A when the imposition, variation or cancellation of the prohibition or restriction takes effect, e if A’s entry on the register will be removed or modified because of the prohibition or restriction— i give details of the removal or modification of the entry on the register, and ii specify the date on which the removal or modification takes effect, and f inform A of A’s right to refer the matter to the Tribunal. 6 The UK regulator may extend the period allowed under the notice for making representations. 7 If, having considered any representations made by A, the UK regulator decides— a to impose, vary or cancel the prohibition or restriction in the way proposed, or b if the prohibition or restriction has taken effect, not to cancel the imposition of the prohibition or restriction, it must give A notice. 8 If, having considered any representations made by A, the UK regulator decides— a not to impose, vary or cancel the prohibition or restriction in the way proposed, b to vary the prohibition or restriction in a way other than the way proposed, c to impose a prohibition instead of the restriction, d to impose a different restriction, or e to cancel a prohibition or restriction which has effect, it must give A notice. 9 A notice under paragraph (7) must inform A of A’s right to refer the matter to the Tribunal. 10 A notice under paragraph (8) (b) , (c) or (d) must comply with paragraph (5) . 11 If a notice informs A of A’s right to refer a matter to the Tribunal, it must give an indication of the procedure on such a reference. 12 For the purposes of paragraph (2) (c) , whether a matter is open to review is to be determined in accordance with section 391(8) of FSMA 2000. 13 A UK regulator must inform FINMA of any decision it takes under paragraph (7) or (8) as soon as practicable. Consequences of breach of prohibition or restriction 18 1 Sections 205 (public censure), 207 (proposal to take disciplinary measures) and 208 (decision notice) of FSMA 2000 apply in relation to a prohibition or restriction imposed by a UK regulator under regulation 15 or 16 as if the references in sections 205, 207 and 208 to an authorised person include a person who is a registered Swiss supplier with the following modifications. 2 For the purposes of paragraph (1) — a a prohibition or restriction imposed by a UK regulator under regulation 15 or 16 is to be treated as a requirement imposed under FSMA 2000 for the purposes of section 204A of FSMA 2000; b section 207 of FSMA 2000 applies as if subsections (1)(b) and (c), (1A), (3) and (4) were omitted; and c section 208 of FSMA 2000 applies as if subsections (1)(b) and (c), (1A), (3), (3A), (4)(b) and (c) and (5) were omitted. References to the Tribunal 19 1 A registered Swiss supplier who is aggrieved by the exercise by the FCA of its power under regulation 15 or the PRA of its power under regulation 16 may refer the matter to the Tribunal. 2 A reference by a registered Swiss supplier under paragraph (1) is to be treated as being made under FSMA 2023 for the purposes of section 133 of FSMA 2000 (proceedings before Tribunal: general provision). Chapter 6 Amendments to the RAO Amendments to the RAO 20 1 In article 72 of the RAO (exclusions applicable to specified activities: overseas persons) , after paragraph (12) insert— 13 This article does not apply to the carrying on of an activity of any of the kinds specified in this article (“the RAO activity”) by an overseas person where— a the overseas person is registered in the register in respect of a description of— i relevant services, ii a category of relevant clients, and iii one or more relevant financial instruments, and b the activity which the overseas person may carry on by virtue of their registration in the register is in substance the same as the RAO activity, taking account of the financial instruments in relation to which, and the clients in relation to whom, the RAO activity may be carried out. 14 In paragraph (13)— “ register ” is the register maintained by the FCA in accordance with regulation 8 of the Financial Services and Markets Act 2023 (Mutual Recognition Agreement) (Switzerland) Regulations 2025 (the “ Switzerland Regulations ”); “ relevant client ” has the same meaning as in Part 4 of the Switzerland Regulations; “ relevant financial instrument ” has the same meaning as in Part 4 of the Switzerland Regulations; “ relevant service ” has the same meaning as in Part 4 of the Switzerland Regulations. . 2 After article 72 of the RAO, insert— Swiss mutual recognition firms 72ZA 1 There is excluded from articles 14, 21, 25, 37, 40, 53(1) and 64 any activity carried on by a registered Swiss supplier, to the extent that the activity is being carried on— a to provide a registered service to the relevant clients and in relation to the relevant financial instruments specified in the entry for that registered Swiss supplier in the register, and b by the registered Swiss supplier from Switzerland. 2 In paragraph (1) — “ register ” is the register maintained by the FCA in accordance with regulation 8 of the Financial Services and Markets Act 2023 (Mutual Recognition Agreement) (Switzerland) Regulations 2025 (the “ Switzerland Regulations ”); “ registered service ” has the same meaning as in Part 1 of the Switzerland Regulations; “ registered Swiss supplier ” has the same meaning as in Part 1 of the Switzerland Regulations; “ relevant client ” has the same meaning as in Part 4 of the Switzerland Regulations; “ relevant financial instrument ” has the same meaning as in Part 4 of the Switzerland Regulations. . Chapter 7 Wind down regime Section 1 Exemption from the general prohibition Interpretation of Chapter 7 21 In this Chapter— “ pre-existing contract ” means a contract entered into before the relevant day; “ relevant day ” means, except in regulation 25(2) and (4), the day on which— for a person, that person first satisfies the conditions in regulation 24 (1) or (2) , or the Agreement ceases to be in force, whichever occurs first. Exemption from the general prohibition under Part 2 of FSMA 2000 22 1 A person to whom this regulation applies is an exempt person for the purposes of section 19(1)(b) of FSMA 2000 (the general prohibition). 2 The exemption has effect in respect of a regulated activity which, when carried on by that person, satisfies the requirements in regulation 25 . 3 The person is also exempt in respect of a regulated activity which that person needs to carry on— a in order to transfer the property, rights or liabilities under a pre-existing contract to— i a registered Swiss supplier, or ii an authorised person (as defined by section 31 of FSMA 2000), or b in order to comply with a requirement imposed by or under an enactment. Application of regulation 22 23 1 Regulation 22 applies to a person who— a is authorised, under the law of Switzerland, to carry on an activity which is— i regulated in Switzerland, and ii in substance the same as the regulated activity in respect of which the exemption under regulation 22 has effect, and b satisfies the conditions in regulation 24 (1) or (2) . 2 Regulation 22 applies to such a person for the period determined in accordance with regulation 37 . Conditions to be satisfied for regulation 22 to apply 24 1 The conditions are that— a either— i a prohibition or restriction has been imposed on the person concerned (“ P ”) by the FCA under regulation 15 , or by the PRA under regulation 16 , and the prohibition or restriction is in force, ii a prohibition or restriction has been imposed on P by the FCA or the PRA under regulation 41 and the prohibition or restriction is in force, or iii Recognition of a Covered Sector or part thereof has been withdrawn under Article 21 of the Agreement and the withdrawal covers a registered service specified in P’s entry in the register, b the FCA has modified or removed P’s entry in the register accordingly under regulation 9 , and c as a result of the modification or removal of P’s entry in the register, the exclusion in article 72ZA of the RAO no longer applies to P in relation to a regulated activity. 2 The conditions are that— a the Agreement is terminated, b as a result of the Agreement ceasing to be in force, the exclusion in article 72ZA of the RAO no longer applies to the person concerned (“ P ”) in relation to a regulated activity, and c P was carrying on that regulated activity in the United Kingdom otherwise than through a UK branch immediately before the Agreement ceased to be in force. Regulated activities in respect of which regulation 22 has effect 25 1 A regulated activity in respect of which, when carried on by a person (“ P ”), the exemption in regulation 22 has effect is one— a which is necessary for the performance of a pre-existing contract, b which is carried on for the purposes of performing such a contract, c which is not a regulated activity P is permitted to carry on by virtue of section 31(1)(a) of FSMA 2000 (authorised persons) , d which is being carried on by a Swiss firm which is not established in the United Kingdom, and e to which paragraph (2) applies. 2 This paragraph applies to a regulated activity carried on by a person (“ P ”) who— a satisfies the conditions in regulation 24 (1) or (2) , and b immediately before the relevant day would have required permission to carry on the regulated activity in the United Kingdom but for the operation of the exclusion in article 72ZA of the RAO. 3 For the purposes of paragraph (1) , the performance of a pre-existing contract includes the performance of an obligation under that contract which is contingent or conditional. 4 In paragraph (2), “the relevant day” is the day immediately before the day on which, as applicable— a the FCA modifies or removes P’s entry under regulation 9 , or b the Agreement ceases to be in force. Section 2 Exemption from the general prohibition: procedure, etc. Notification by a person to whom regulation 22 applies 26 1 A person— a to whom regulation 22 applies, and b who satisfies the conditions in regulation 24 (1) or (2) , must, as soon as reasonably practicable following the relevant day, notify the PRA and the FCA that the person is carrying on a regulated activity in the United Kingdom. 2 For the purposes of paragraph (1) , the notification must— a be made in such manner, and b contain, or be accompanied by, such information, as the regulator to whom the notification is being given may direct. Information to be supplied by a person to whom regulation 22 applies 27 1 A person to whom regulation 22 applies (“ P ”) must notify the UK regulator if— a an authorisation for P by FINMA is varied, or is to be varied, b an authorisation for P by FINMA is cancelled, or is to be cancelled, c P becomes the subject of a criminal investigation or criminal proceedings, or d any insolvency or winding-up proceedings under Swiss law have commenced in relation to P. 2 A notification under paragraph (1) must be made as soon as reasonably practicable following the day on which it comes to P’s attention that an event referred to in that paragraph has occurred. 3 For the purposes of paragraph (1) , the notification must— a be made in such manner, and during such period, and b contain, or be accompanied by, such information, as the UK regulator may direct. 4 In this regulation, references to the UK regulator are, subject to a direction of the PRA or the FCA given with the consent of the other, references to— a the PRA, if, were P to be an authorised person (within the meaning of section 31 of FSMA 2000 (authorised persons)), P would be carrying on one or more PRA-regulated activities (within the meaning of section 22A of FSMA 2000 (designation of activities requiring prudential regulation by PRA)), or b the FCA, in any other case. Information to be supplied to a party to a contract with a person to whom regulation 22 applies 28 1 A person to whom regulation 22 applies (“ P ”) must notify each party to a pre-existing contract with P that P is— a an exempt person for the purposes of section 19(1)(b) of FSMA 2000 and the reasons why P is an exempt person, b not regulated by the FCA or the PRA, and c regulated by FINMA. 2 The notification must be made as soon as reasonably practicable following the day on which regulation 22 first applies to P. 3 P must notify each party to a pre-existing contract with P if there is a material change, on or after the relevant day, including in respect of— a the protection afforded to assets held by P in relation to the performance of the contract, b the mechanisms for resolving disputes in connection with the contract, or c the schemes available for compensation in relation to the contract. 4 The UK regulator may issue guidance in respect of compliance with an obligation under this regulation. 5 For the purposes of paragraph (4) , reference to the UK regulator is a reference to— a the FCA, or b in a case where the regulated activities in relation to which regulation 22 has effect consist of or include a PRA-regulated activity (within the meaning of section 22A of FSMA 2000 (designation of activities requiring prudential regulation by PRA)), the PRA. Publication of information provided under regulations 27 or 28 29 1 A UK regulator may, if it considers it is appropriate to do so, publish information provided under regulation 27 or 28 . 2 Publication under this regulation is to be in such manner as the UK regulator considers appropriate. Section 3 Exemption from the general prohibition: regulation Variation and cancellation of an exemption under regulation 22 30 1 In respect of a person to whom regulation 22 applies, a UK regulator may— a direct that the exemption in regulation 22 does not apply in relation to a specified regulated activity, b direct that regulation 22 ceases to apply to that person on a specified date, or c direct that regulation 22 is to apply subject to specified conditions, and for these purposes, “ specified ” means specified in the direction. 2 The conditions which a UK regulator may impose under paragraph (1) (c) may include any requirement which the UK regulator could impose under section 55L (imposition of requirements by FCA) or 55M (imposition of requirements by PRA) of FSMA 2000 on an authorised person with permission under Part 4A of FSMA 2000 to carry on the regulated activity in relation to which the exemption under regulation 22 applies. 3 A UK regulator may only exercise the power in paragraph (1) (a) , (b) or (c) if it considers that the exercise of the power is necessary or expedient— a for the prevention, detection, investigation or prosecution of a criminal offence, b for the protection of consumers, c in the case of the exercise of the power by the FCA, to advance one or more of its operational objectives, or d in the case of the exercise of the power by the PRA— i to advance its general objective, or ii so far as relating to the activity of effecting or of carrying out contracts of insurance, to enable the PRA to act in a way which is both compatible with, and advances, its insurance objective. 4 The objectives of the FCA and the PRA referred to in paragraph (3) are their objectives as specified in Part 1A of FSMA 2000. 5 Before exercising the power in paragraph (1) — a the PRA must consult the FCA, b the FCA must consult the PRA if the regulated activities in relation to which regulation 22 has effect consist of or include a PRA-regulated activity (within the meaning of section 22A of FSMA 2000 (designation of activities requiring prudential regulation by PRA)), and c the UK regulator must inform FINMA. Variation and cancellation: procedure 31 1 In an urgent case, if a UK regulator decides to exercise the power under regulation 30 (1) , it must give a decision notice to the person to whom the decision relates. 2 A decision notice under paragraph (1) must state when the decision takes effect (which may be immediately upon receipt). 3 In any other case, a UK regulator must— a first give the person a warning notice if the UK regulator proposes to exercise the power under regulation 30 (1) , and b then give the person a decision notice once the UK regulator has decided to exercise the power under regulation 30 (1) . 4 For the purposes of this regulation, an urgent case is one in which the UK regulator reasonably considers it necessary for the decision to take effect at the time stated in the decision notice. Application of Part 26 of FSMA 2000 (notices) 32 1 Part 26 of FSMA 2000 (notices) applies with respect to the giving of notices under regulation 31 as it applies with respect to the giving of notices under FSMA 2000, with the following modifications. 2 Part 26 of FSMA 2000 applies as if— a each reference to “ the Act ” includes a reference to these Regulations, b each reference to a section of FSMA 2000 were a reference to that section as applied by these Regulations, and c each reference to a regulator or to the regulator concerned were a reference to the UK regulator giving the notice. 3 Section 387 of FSMA 2000 (warning notices) applies as if subsections (1A) and (3A) were omitted. 4 Section 388 of FSMA 2000 (decision notices) applies as if subsections (1A) and (2) were omitted. 5 Section 390 of FSMA 2000 (final notices) applies as if— a subsections (3), (4), (5) and (6) were omitted, and b subsections (8), (9) and (10) were omitted. 6 Section 391 of FSMA 2000 (publication) applies as if— a in subsection (1) the reference to a warning notice falling within subsection (1ZB) were to a warning notice given under regulation 31 (3) (a) , b subsections (1ZA) and (1ZB) were omitted, c subsections (4A) , (5) and (5A) were omitted, d subsections (8), (8A) , (8AA) , (8B) , (8C) , (8D) , (8E) and (8G) were omitted, and e subsection (10) were omitted. 7 Sections 391A to 391F (special provisions relating to publication) of FSMA 2000 do not apply. 8 Section 392 of FSMA 2000 (application of sections 393 and 394) applies as if for paragraphs (a) and (b) there were substituted— a a warning notice given in accordance with regulation 31 (3) (a) of the Financial Services and Markets Act 2023 (Mutual Recognition Agreement) (Switzerland) Regulations 2025, and b a decision notice given in accordance with regulation 31(3)(b) of the Financial Services and Markets Act 2023 (Mutual Recognition Agreement) (Switzerland) Regulations 2025. . 9 Section 395 of FSMA 2000 (the FCA’s and PRA’s procedures) applies as if— a in subsection (1), for paragraph (a) there were substituted— a a decision which gives rise to an obligation to give a warning notice or a decision notice, , b in subsection (1) paragraphs (b) to (d) were omitted, c in subsection (2)(a), for “any of paragraphs (a) to (c)”, there were substituted “paragraph (a)” , d subsection (2)(b) and (c) were omitted, e subsections (3) and (4) were omitted, f in subsection (9)— i “a supervisory notice, or” , and ii “other than a warning notice or decision notice relating to a decision of the PRA that is required by a decision of the FCA of the kind mentioned in subsection (1)(b)(ii)” were omitted, g subsection (9A) were omitted, and h subsection (13) were omitted. Variation and cancellation: appeal 33 1 A person in respect of whom the power under regulation 30 (1) is exercised may refer the decision to exercise the power to the Tribunal. 2 A reference by a person under paragraph (1) is to be treated as being made under FSMA 2023 for the purposes of section 133 of FSMA 2000 (proceedings before Tribunal: general provision). Product intervention rules 34 1 Product intervention rules (within the meaning of section 137D of FSMA 2000) apply to a person to whom regulation 22 applies (a “regulation 22 person”) as they apply to an authorised person (within the meaning of section 31 of FSMA 2000). 2 Product intervention rules made by the FCA which apply to a regulation 22 person by virtue of paragraph (1) are to be treated as if they were general rules made by the FCA under section 137A of FSMA 2000 (the FCA’s general rules). 3 Section 137T of FSMA 2000 (general supplementary powers) and Chapter 2 of Part 9A of FSMA 2000 apply in relation to rules which apply to a regulation 22 person by virtue of paragraph (1) as they apply to general rules made by the FCA under section 137A of FSMA 2000. Information gathering 35 The following provisions of FSMA 2000 apply in respect of a person to whom regulation 22 applies, as they apply in respect of an authorised person (within the meaning of section 31 of that Act)— a section 165 (regulators’ power to require information: authorised persons etc.); b section 166 (reports by skilled persons); c section 175 (information and documents: supplemental provisions); d section 177 (offences), in so far as it relates to a requirement imposed by the FCA in connection with a rule which applies to a person to whom regulation 22 applies by virtue of regulation 34(1). Disciplinary measures 36 1 Section 205 (public censure) of FSMA 2000 applies in relation to the requirements specified in paragraph (5) as if— a each of those requirements were a relevant requirement (within the meaning of section 204A of FSMA 2000), and b the references in section 205 of FSMA 2000 to an authorised person include a person to whom regulation 22 applies. 2 In relation to statements under section 205 of FSMA 2000 as applied by paragraph (1) — a section 207 of FSMA 2000 applies as if— i references to an authorised person include a person to whom regulation 22 applies, and ii subsections (1)(b) and (c), (1A), (3) and (4) were omitted, and b section 208 of FSMA 2000 applies as if— i references to an authorised person include a person to whom regulation 22 applies, and ii subsections (1)(b) and (c), (1A), (3), (3A), (4)(b) and (c), and (5) were omitted. 3 Sections 206 (financial penalties) and 380 (injunctions) of FSMA 2000 apply to requirements specified in paragraph (5) (c) and (d) (i) as if— a each of those requirements were a relevant requirement (within the meaning of section 204A and section 380(1) of FSMA 2000), and b the references in section 206 of FSMA 2000 to an authorised person include a person to whom regulation 22 applies. 4 In relation to penalties under section 206 of FSMA 2000 as applied by paragraph (3) — a section 207 of FSMA 2000 applies as if— i references to an authorised person include a person to whom regulation 22 applies, and ii subsections (1)(a) and (c), (1A), (2) and (4) were omitted, and b section 208 of FSMA 2000 applies as if— i references to an authorised person include a person to whom regulation 22 applies, and ii subsections (1)(a) and (c), (1A), (2), (3A), (4)(a) and (c), and (5) were omitted. 5 The requirements referred to in paragraphs (1) and (3) are— a the requirements imposed by regulations 26 , 27 and 28 , b any restrictions or conditions imposed under regulation 30 , c any rules made under section 137D of FSMA 2000 which apply to a person to whom regulation 22 applies by virtue of regulation 34 , or d any requirements imposed under— i section 165, 166 or 175 of FSMA 2000 as applied by regulation 35 (a), (b) and (c), or ii section 177 of FSMA 2000, as applied by regulation 35(d), in connection with a rule made under section 137D of FSMA 2000 which applies to a person to whom regulation 22 applies by virtue of regulation 34(1). Section 4 Exemption from the general prohibition: duration Period during which regulation 22 is to apply 37 For the purposes of regulation 23 (2) , the period is one that begins with the relevant day and ends after five years or, if earlier, with the day— a on which the person is given a decision notice in respect of a decision under regulation 30 (1) (b) , or b on which the person ceases to be authorised, under the law of Switzerland, to carry on an activity which is regulated by FINMA. Section 5 General provisions Directions 38 Any power to give directions under this Chapter includes the power— a to give different directions in relation to different persons or categories of person; b to vary or revoke a previous direction. Chapter 8 Amendments to the Financial Promotion Order Amendments to the Financial Promotion Order 39 In Part 6 of the Financial Services and Markets Act 2000 (Financial Promotion) Order 2005 , after article 73ZA insert— Berne Financial Services Agreement suppliers 73ZB 1 The financial promotion restriction does not apply to any communication which is communicated— a by a registered Swiss supplier in relation to registered services, b to persons whom the registered Swiss supplier reasonably believes are relevant clients, and c in relation to relevant financial instruments, where the registered services, relevant clients and relevant financial instruments are all included in the entry for that registered Swiss supplier in the register. 2 In this article— “ the register ” is the register maintained by the FCA in accordance with regulation 8 of the Swiss Regulations; “ registered service ” has the same meaning as in Part 1 of the Financial Services and Markets Act 2023 (Mutual Recognition Agreement) (Switzerland) Regulations 2025 (“ the Swiss Regulations ”); “ registered Swiss supplier ” has the same meaning as in Part 1 of the Swiss Regulations; “ relevant client ” has the same meaning as in regulation 7 of the Swiss Regulations; “ relevant financial instrument ” means any of the financial instruments listed in Annex 5 Section VI paragraphs A(a), (b) and (d) of the Agreement between the United Kingdom of Great Britain and Northern Ireland and the Swiss Confederation on Mutual Recognition in Financial Services concluded on 21st December 2023 at Berne. . Part 5 Prudential Safeguard Interpretation of Part 5 40 1 In this Part— “ authorised person ” has the meaning given in section 31 of FSMA 2000; “ regulatory action ” means one or more measures described in regulation 41 (4) ; “ relevant client ” has the meaning given in regulation 7 . 2 In this Part— a references to “registered Swiss suppliers” include any person who was a registered Swiss supplier immediately before— i the FCA has, under regulation 9 , removed the entry of that person from the register or modified that entry, ii Recognition of a Covered Sector or Sectors or part thereof has been withdrawn under Article 21 of the Agreement, or iii the Agreement has ceased to be in force, b references to “ registered services ”, in relation to a registered Swiss supplier, include any service which was included in the entry on the register for the registered Swiss supplier before that entry was removed or modified. Prudential measures 41 1 This regulation applies where a UK regulator reasonably considers that— a the circumstances described in paragraph 1 of Article 20 of the Agreement have arisen, b those circumstances cannot adequately be addressed under any other provision of these Regulations, and c paragraph (2) applies. 2 This paragraph applies where— a the FCA reasonably considers that it is appropriate to take regulatory action which advances one or more of its operational objectives, or b the PRA reasonably considers that it is appropriate to take regulatory action which— i advances its general objective, or ii so far as relating to the activities of effecting contracts of insurance, or of carrying out contracts of insurance, is compatible with its insurance objective. 3 The objectives of the FCA and the PRA referred to in paragraph (2) are their objectives as specified in Part 1A of FSMA 2000. 4 Where this regulation applies, a UK regulator may, for the Agreement purposes, take one or more of the following measures— a impose specified restrictions on the provision of a relevant service to a specified category of relevant clients, or in relation to a specified category of financial instruments by— i a registered Swiss supplier, ii a specified class of registered Swiss suppliers, or iii all registered Swiss suppliers, b make the continued provision of a registered service (“the relevant registered service”) by— i a registered Swiss supplier, ii a specified class of registered Swiss suppliers, or iii all registered Swiss suppliers, subject to specified conditions, c prohibit— i a registered Swiss supplier, ii a specified class of registered Swiss suppliers, or iii all registered Swiss suppliers, from continuing to provide from Switzerland one or more registered services in the United Kingdom. 5 The conditions which a UK regulator may impose under paragraph (4) (b) may include any requirement which the UK regulator could impose under section 55L (imposition of requirements by FCA) or 55M (imposition of requirements by PRA) of FSMA 2000 on an authorised person with permission under Part 4A of FSMA 2000 to carry on a regulated activity which is the same as or equivalent to the relevant registered service. 6 Before taking any action under paragraph (4) in relation to any person (“ P ”)— a the PRA must consult the FCA, b the FCA must consult the PRA if, were P to be an authorised person (within the meaning of section 31 of FSMA 2000), P would be carrying on one or more PRA-regulated activities (within the meaning of section 22A of FSMA 2000), c the UK regulator must notify the Treasury of their proposals in accordance with paragraph (7) . 7 A notification under paragraph (6) must— a identify— i the circumstances which have arisen, and ii why those circumstances cannot be addressed adequately under the other provisions of these Regulations, and b specify the measure the UK regulator wishes to take, identifying— i each registered Swiss supplier in relation to which the measure will be taken, and ii any restrictions, conditions or prohibitions the UK regulator wishes to impose, and c state the UK regulator’s reasons for proposing to take the measures specified under sub-paragraph (b) . 8 The UK regulator is not required to include any information in a notification under paragraph (7) if that information is a protected item under section 413 of FSMA 2000 (protected items). 9 Once the Treasury have been notified in accordance with paragraph (7) , the UK regulator concerned may take the proposed regulatory action by giving notice in accordance with regulation 42 . 10 In this regulation— a a UK regulator is acting for the “Agreement purposes” when it is taking a measure for one or more of the purposes set out in paragraph 1 of Article 20 of the Agreement, b “specified”, except in paragraph (3), means specified in the notice given by the UK regulator under regulation 42 . Prudential measures: procedure 42 1 When the UK regulator proposes to impose a measure under regulation 41 (4) , the UK regulator must give notice to each registered Swiss supplier (“ A ”) to which the measure will apply. 2 The measure takes effect— a immediately, if the notice given under paragraph (1) states that this is the case, or b on such date as may be specified in the notice. 3 The imposition of a measure may be expressed to take effect immediately only if the UK regulator concerned, having regard to the ground on which it is taking the measure, reasonably considers that it is necessary for the measure to take effect immediately. 4 A notice given under paragraph (1) must— a give details of the measure being imposed, b state the UK regulator’s reasons for taking the measure, c inform A that A may make representations to the UK regulator within such period as may be specified in the notice, d state the date on which the measure comes into effect, e if A’s entry on the register will be removed or modified because of the measure, specify— i details of the removal or modification of the entry on the register, and ii the date on which the removal or modification takes effect, f state the consequences of A failing to comply with the measure, and g inform A of A’s right to refer the matter to the Tribunal. 5 The UK regulator may extend the period allowed under the notice for making representations. 6 If, having considered any representations made in response to the notice given under paragraph (1) , the UK regulator decides— a to take the proposed measure, b to vary the proposed measure, or c if the measure has been imposed, not to rescind the proposed measure, the UK regulator must give a notice of its decision to A, informing A of A’s right to refer the matter to the Tribunal. 7 A notice given under paragraph (6) must— a contain the information referred to in paragraph (4) (a) , (b) , (d) and (f) , and b inform A of A’s right to refer the matter to the Tribunal. 8 If, having considered any representations made in response to the notice given under paragraph (1) , the UK regulator decides— a not to impose the proposed measure, or b to rescind the proposed measure, the UK regulator must give notice of its decision to A. 9 If a notice given under this regulation informs A of A’s right to refer a matter to the Tribunal, it must also inform A of the procedure on such a reference. 10 The UK regulator must inform FINMA of any measure imposed under regulation 41 as soon as possible. References to the Tribunal 43 1 A registered Swiss supplier who is aggrieved by the exercise by the UK regulator of their powers under regulation 41 may refer the matter to the Tribunal. 2 A reference by a registered Swiss supplier under paragraph (1) is to be treated as being made under FSMA 2023 for the purposes of section 133 of FSMA 2000 (proceedings before Tribunal: general provision). Consequences of breach of prohibition, condition or restriction 44 1 Sections 205 (public censure), 207 (proposal to take disciplinary measures) and 208 (decision notice) of FSMA 2000 apply in relation to a prohibition, condition or restriction imposed by a UK regulator under regulation 41 (4) , as if— a the prohibition, condition or restriction were a relevant requirement (within the meaning of section 204A of FSMA 2000), and b the references in sections 205, 207 and 208 to an authorised person include a person who is a registered Swiss supplier with the following modifications. 2 Section 207 of FSMA 2000 applies as if subsections (1)(b) and (c), (1A), (3) and (4) were omitted. 3 Section 208 of FSMA 2000 applies as if subsections (1)(b) and (c), (1A), (3), (3A), (4)(b) and (c), and (5) were omitted. Lilian Greenwood Stephen Morgan Two of the Lords Commissioners of His Majesty’s Treasury 30th October 2025 Explanatory Note (This note is not part of the Regulations) These Regulations implement provisions in the Agreement between the United Kingdom of Great Britain and Northern Ireland and the Swiss Confederation on Mutual Recognition in Financial Services done at Berne on 21st December 2023 (“ the Agreement ”). Part 2 makes provision in relation to the FCA, the PRA and the Bank of England. Regulation 3 provides that the FCA and the PRA may make arrangements and take action for the effective implementation and functioning of the Agreement. Regulation 4 (1) to (3) provides that the FCA, the PRA and the Bank of England must supply the Treasury with information, advice, support and assistance that the Treasury request in relation to its functions under the Agreement. Regulation 4 (4) provides that the FCA, the PRA and the Bank of England may also supply the Treasury with information, advice, support and assistance that they each consider appropriate in relation to the functioning of the Agreement. Regulation 5 concerns co-operation between the FCA, the PRA and the Swiss Financial Market Supervisory Authority. Part 3 of these Regulations makes provision for the FCA and the PRA to specify the notification form required for market access under Annex 4 of the Agreement. Part 4 of these Regulations makes provision as to the obligations of, and the powers given to, the FCA and the PRA in relation to registered Swiss suppliers. It also makes supplemental amendments to financial services legislation to implement market access commitments in Annex 5 of the Agreement. In Part 4 — Regulation 7 (1) in Chapter 1 defines the terms “relevant service”, “relevant client” and “relevant financial instrument” by referring to Annex 5 of the Agreement. Chapter 2 requires the FCA to establish a register of Swiss investment services suppliers (the “Register”) and sets out the procedures and conditions for registration. Regulation 11 requires the PRA to supply the FCA with information relevant to the Register. Chapter 3 ensures that provisions of FSMA 2000 on product intervention apply (with modifications) to Swiss investment services firms on the Register (“Registered Swiss Suppliers”). Chapter 4 gives powers to the FCA and the PRA to obtain information from Registered Swiss Suppliers provided certain specified conditions are met. Chapter 5 gives powers to the FCA and the PRA to prohibit or restrict a Registered Swiss Supplier, provided certain specified conditions are met, from providing one or more registered services, or from providing those services to certain categories of relevant clients, or in relation to relevant financial instruments. Chapter 6 makes supplemental amendments to the Financial Services and Markets Act 2000 (Regulated Activities) Order 2001 ( S.I. 2001/544 ) (the “RAO”). It specifies an exemption to the overseas persons exclusion in article 72 of the RAO (exclusions applicable to specified activities: overseas persons) for a Registered Swiss Supplier when it carries on an activity included in its Register entry. It also inserts an exclusion to the RAO for any activity carried on by a Registered Swiss Supplier which is included in its Register entry. Chapter 7 provides a regime by which a person who ceases to be permitted to carry on a regulated activity in the United Kingdom by virtue of being registered in the Register may continue, for a limited time, to carry on such an activity while contracts relating to that activity are wound down. Chapter 8 makes supplemental amendments to the Financial Services and Markets Act 2000 (Financial Promotion) Order 2005 ( S.I. 2005/1529 ). It specifies an exemption to the financial promotion restriction for communications by Registered Swiss Suppliers in relation to registered services. Part 5 provides that the FCA and the PRA may take measures against a Registered Swiss Supplier for prudential reasons, as permitted by Article 20 of the Agreement (prudential safeguard). This safeguard applies where the FCA or the PRA consider that circumstances have arisen which cannot otherwise be addressed adequately under the Agreement, because of factors such as the need for urgent action, or the severity of the circumstances in question. In these circumstances, the FCA or the PRA may impose restrictions, conditions or a prohibition in relation to the provision of a registered service in the United Kingdom. A de minimis impact assessment of the effect of this instrument is available from HM Treasury, 1 Horseguards Road, London, SW1A 2HQ and is published alongside this instrument on www.legislation.gov.uk . 2023 c. 29 . Section 24(7) requires the Treasury to consult the “relevant regulator”. Section 24(11) deals with the meaning of “relevant regulator” and in this case the Bank of England and the FCA and the PRA are relevant regulators. Section 24(10) provides that regulations made under section 24 are subject to the affirmative procedure. For the meaning of “the affirmative procedure”, see section 84(3). That agreement, as signed on that date, is available at https://assets.publishing.service.gov.uk/media/658172b7fc07f3000d8d444d/UK-Switzerland_FS_MRA.pdf . A person unable to access the document electronically can arrange access to a hard copy by inspection free of charge at 1 Horse Guards Road, London SW1A 2HQ. The definition of “the Tribunal” was inserted in section 417 (1) of FSMA 2000 by S.I. 2010/22 . “FSMA 2000” is defined in section 80(1) of FSMA 2023. S.I. 2001/544 . Section 22 of FSMA 2000 was amended by section 7 (1) of the Financial Services Act 2012 (c. 21), section 27 (4) of the Financial Guidance and Claims Act 2018 (c. 10), section 69 (3) of FSMA 2023 (c. 29) and S.I. 2018/135 . Section 133 of FSMA 2000 was amended by section 23 of the Financial Services Act 2012 (c. 21), and paragraph 83 of Schedule 9 to the Crime and Courts Act 2013 (c. 22) and substituted by S.I. 2010/22 . There are other amendments but none are relevant. Section 348 was amended by paragraph 18 of Schedule 12 to the Financial Services Act 2012 (c. 21) , paragraph 5 of Schedule 8 to the Financial Services (Banking Reform) Act 2013 (c. 33) , and paragraph 45(3) of Schedule 2 to the Bank of England and Financial Services Act 2016 (c. 14) . There are other amendments which are not relevant to this instrument. Substituted by section 24(1) of the Financial Services Act 2012 (c. 21) . Substituted by section 24(1) of the Financial Services Act 2012. Amended by section 24(1) of the Financial Services Act 2012 (c. 21) . Section 205 of FSMA 2000 was amended by paragraph 11 of Schedule 9 to the Financial Services Act 2012 (c. 21) and S.I. 2025/22 . Section 206 of FSMA 2000 was repealed in part by section 10 of the Financial Services Act 2010 (c. 28) and was amended by paragraph 12 of Schedule 9 to the Financial Services Act 2012 (c. 21) and S.I. 2025/22 . There is another amendment but it is not relevant. Section 207 of FSMA 2000 was amended by paragraph 18 of Schedule 2 to the Financial Services Act 2010, paragraph 14 of Schedule 9 to the Financial Services Act 2012 and S.I. 2025/22 . Section 208 of FSMA 2000 was amended by paragraph 19 of Schedule 2 to Financial Services Act 2010, paragraph 15 of Schedule 9 to Financial Services Act 2012 and S.I. 2025/22 . Section 380 of FSMA 2000 was amended by paragraph 19 of Schedule 9 to the Financial Services Act 2012, S.I. 2013/1773 and S.I. 2019/632 . There are other amendments but none are relevant. Section 204A of FSMA 2000 was inserted by paragraph 10 of Part 4 of Schedule 9 to the Financial Services Act 2012 (c. 21). Section 175 of FSMA 2000 was amended by paragraph 13 of Schedule 12 to the Financial Services Act 2012 (c. 21) and paragraph 5 of the Schedule to the Investigatory Powers (Amendments) Act 2024 (c. 9) . Section 177 of FSMA 2000 was amended by paragraph 8 to Schedule 18 of the Financial Services Act 2012 (c. 21) , S.I. 2001/1090 and S.I. 2016/680 . Article 72 has been amended by S.I. 2003/1476 , 2006/2383 , 2009/1342 , 2015/910 , 2017/488 , 2019/680 . There are other amendments to article 72 which are not relevant to this instrument. Section 31 of FSMA 2000 was amended by section 11 of the Financial Service Act 2012 (c. 21) and S.I. 2018/1149 . Section 22A of FSMA 2000 was inserted by section 9 of the Financial Services Act 2012 (c. 21) . Section 55M of FSMA 2000 was inserted by section 11(2) of the Financial Services Act 2012 (c. 21) . Section 55M of FSMA 2000 was inserted by section 11(2) of the Financial Services Act 2012 (c. 21) . Section 387 of FSMA 2000 was amended by paragraph 26 of Schedule 9 to the Financial Services Act 2012 (c. 21) . Subsection (1A) was inserted by paragraph 26 of Schedule 9 to the Financial Services Act 2012. Subsection (3A) was inserted by paragraph 26 of Schedule 9 to the Financial Services Act 2012. Section 388 of FSMA 2000 was amended by paragraph 27 of Schedule 9 to the Financial Services Act 2012. Subsection (1A) was inserted by paragraph 27 of Schedule 9 to the Financial Services Act 2012. Subsection (2) was inserted by paragraph 27 of Schedule 9 to the Financial Services Act 2012. Section 390 of FSMA 2000 was amended by paragraph 29 of Schedule 9 to the Financial Services Act 2012 and S.I. 2010/22 . Section 391 of FSMA was amended by section 13 and paragraph 28 of Schedule 2 to the Financial Services Act 2010 (c. 28) , paragraph 30 of Schedule 9 of the Financial Services Act 2012 and S.I. 2019/632 . Subsection (1ZB) was inserted by paragraph 30 of Schedule 9 to the Financial Services Act 2012. Subsection (1ZA) was inserted by paragraph 30 of Schedule 9 to the Financial Services Act 2012. Subsection (4A) was inserted by S.I. 2013/3115 . Subsection (5A) was inserted by section 24(2) of the Financial Services Act 2012. Subsection (8A) was inserted by S.I. 2014/2879 . Subsection (8AA) was inserted by S.I. 2019/632 . Subsection (8B) was inserted by S.I. 2016/680 . Subsection (8C) was inserted by S.I. 2016/715 . Subsection (8D) was inserted by S.I. 2017/1127 . Subsection (8E) was inserted by S.I. 2018/135 . Subsection (8G) was inserted by S.I. 2019/1043 . Section 391A of FSMA 2000 was amended by paragraph 50 of Schedule 2 to the Data Protection Act 2018 (c. 12) , S.I. 2013/3115 , S.I. 2015/1755 and S.I. 2019/632 . Section 391F of FSMA 2000 was inserted by S.I. 2019/1043 . Section 395 of FSMA 2000 was amended by paragraph 34 of Schedule 9 to the Financial Services Act 2012 (c. 21) . Subsection (9A) was inserted by paragraph 34(10) of Schedule 9 to the Financial Services Act 2012 (c. 21) . Section 133 of FSMA 2000 was amended by section 23 of the Financial Services Act 2012 (c. 21), and paragraph 83 of Schedule 9 to the Crime and Courts Act 2013 (c. 22), S.I. 2010/22 . There are other amendments but none are relevant. Section 166 of FSMA 2000 was amended by paragraph 5 of Schedule 12 to the Financial Services Act 2012 (c. 21) . There are other amendments but none are relevant. S.I. 2005/1529 . That agreement, as signed on that date, is available at https://assets.publishing.service.gov.uk/media/658172b7fc07f3000d8d444d/UK-Switzerland_FS_MRA.pdf . A person unable to access the document electronically can arrange access to a hard copy by inspection free of charge at 1 Horse Guards Road, London SW1A 2HQ.
[uk-legislation-uksi][uksi] 2025-10-31 The Registrar of Companies (Fees) (Amendment) Regulations 2025 http://www.legislation.gov.uk/uksi/2025/1137/made http://www.legislation.gov.uk/uksi/2025/1137/made The Registrar of Companies (Fees) (Amendment) Regulations 2025 2025-10-31 These Regulations amend the Registrar of Companies (Fees) (Companies, Overseas Companies and Limited Liability Partnerships) Regulations 2012 (S.I. 2012/1907) (“the 2012 Regulations”), the Registrar of Companies (Fees) (Registrar of Overseas Entities) Regulations 2024 (“the 2024 Regulations”), the Registrar of Companies (Fees) (Limited Partnerships and Newspaper Proprietors) Regulations 2009 (S.I. 2009/2392) (“the 2009 Regulations”) and the Registrar of Companies (Fees) (European Economic Interest Grouping and European Public Limited-Liability Company) Regulations 2012 (S.I. 2012/1908) (“the EEIG Regulations 2012”), which require payment of fees in respect of the performance of functions relating to the receipt of documents by the registrar and their registration. These Regulations amend existing fees to reflect increased costs due to the implementation of the Economic Crime and Corporate Transparency Act 2023 and the Economic Crime (Transparency and Enforcement) Act 2022. These Regulations reduce some fees to reflect changes in the cost of providing particular services and also revoke some fees so that in the future they can be set administratively by the registrar. 2025 No. 1137 FEES AND CHARGES COMPANIES LIMITED LIABILITY PARTNERSHIPS The Registrar of Companies (Fees) (Amendment) Regulations 2025 Made 28th October 2025 Laid before Parliament 30th October 2025 Coming into force 1st February 2026 The Secretary of State makes these Regulations in exercise of the powers conferred by sections 1063(1) to (3A) and 1292(1)(c) of the Companies Act 2006 . Part 1 INTRODUCTORY Citation, commencement and extent 1 1 These Regulations may be cited as the Registrar of Companies (Fees) (Amendment) Regulations 2025. 2 These Regulations come into force on 1st February 2026. 3 These Regulations extend to England and Wales, Scotland and Northern Ireland. Part 2 AMENDMENTS TO THE REGISTRAR OF COMPANIES (FEES) (COMPANIES, OVERSEAS COMPANIES AND LIMITED LIABILITY PARTNERSHIPS) REGULATIONS 2012 Interpretation 2 In this Part “the 2012 Regulations” means the Registrar of Companies (Fees) (Companies, Overseas Companies and Limited Liability Partnerships) Regulations 2012 . Companies 3 The column headed “amount of fee” in the table in paragraph 8 of Schedule 1 to the 2012 Regulations (the performance of functions relating to the receipt of documents by the registrar and their registration) is amended as follows— in sub-paragraph (a)— in paragraph (i) for “£50.00” substitute “£100.00”; in paragraph (ii) for “£78.00” substitute “£156.00”; in paragraph (iii) for “£50.00” substitute “£100.00”; in paragraph (iv) for “£71.00” substitute “£124.00”; in sub-paragraph (b) for “£71.00” substitute “£124.00”; in sub-paragraph (c) for “£71.00” substitute “£124.00”; in sub-paragraph (d) for “£71.00” substitute “£124.00”; in sub-paragraph (e) for “£71.00” substitute “£124.00”; in sub-paragraph (f)— in paragraph (i) for “£62.00” substitute “£110.00”; in paragraph (ii) for “£34.00” substitute “£50.00”; in paragraph (iii) of sub-paragraph (g) for “£83.00” substitute “£85.00”; in paragraph (ii) of sub-paragraph (h) for “£15.00” substitute “£14.00”; in sub-paragraph (i)— in paragraph (i) for “£44.00” substitute “£18.00”; in paragraph (ii) for “£33.00” substitute “£13.00”; in sub-paragraph (j)— in paragraph (i) for “£136.00” substitute “£89.00”; in paragraph (ii) for “£33.00” substitute “£20.00”; in paragraph (iii) for “£136.00” substitute “£89.00”; in paragraph (iv) for “£33.00” substitute “£20.00”; in sub-paragraph (k)— in paragraph (i) for “£136.00” substitute “£89.00”; in paragraph (ii) for “£33.00” substitute “£20.00”; in paragraph (iii) for “£136.00” substitute “£89.00”; in paragraph (iv) for “£33.00” substitute “£20.00”; in sub-paragraph (l) for “£468.00” substitute “£341.00”. Limited Liability Partnerships 4 The column headed “amount of fee” in the table in paragraph 10 of Schedule 1 to the 2012 Regulations is amended as follows— in sub-paragraph (a)— in paragraph (i) for “£78.00” substitute “£156.00”; in paragraph (ii) for “£50.00” substitute “£100.00”; in paragraph (iv) for “£71.00” substitute “£124.00”; in sub-paragraph (b)— in paragraph (i) for “£62.00” substitute “£110.00”; in paragraph (ii) for “£34.00” substitute “£50.00”; in paragraph (iii) of sub-paragraph (c) for “£83.00” substitute “£85.00”; in paragraph (ii) of sub-paragraph (d) for “£15.00” substitute “£14.00”; in sub-paragraph (e)— in paragraph (i) for “£44.00” substitute “£18.00”; in paragraph (ii) for “£33.00” substitute “£13.00”; in sub-paragraph (f) for “£468.00” substitute “£341.00”. Overseas Companies 5 The column headed “amount of fee” in the table in paragraph 11 of Schedule 1 to the 2012 Regulations is amended as follows— in sub-paragraph (a) for “£71.00” substitute “£124.00”; in sub-paragraph (d)— in paragraph (i) for “£62.00” substitute “£110.00”; in paragraph (ii) for “£34.00” substitute “£50.00”. Revocation 6 Regulations 4 and 5 of, and Schedule 2 to, the 2012 Regulations (fees payable in respect of the inspection or provision of copies of documents kept by the registrar) are revoked. Part 3 AMENDMENTS TO THE REGISTRAR OF COMPANIES (FEES) (REGISTER OF OVERSEAS ENTITIES) REGULATIONS 2024 Register of Overseas Entities 7 The column headed “amount of fee” in the table in paragraph 1 of the Schedule to the Registrar of Companies (Fees) (Registrar of Overseas Entities) Regulations 2024 (fees payable) is amended as follows— in sub-paragraph (a)— in paragraph (i) for “£467.00” substitute “£528.00”; in paragraph (ii) for “£234.00” substitute “£250.00”; in sub-paragraph (b)— in paragraph (i) for “£467.00” substitute “£268.00”; in paragraph (ii) for “£234.00” substitute “£134.00”; in sub-paragraph (c)— in paragraph (i) for “£940.00” substitute “£602.00”; in paragraph (ii) for “£706.00” substitute “£301.00”. Part 4 AMENDMENTS TO THE REGISTRAR OF COMPANIES (FEES) (LIMITED PARTNERSHIPS AND NEWSPAPER PROPRIETORS) REGULATIONS 2009 Interpretation 8 In this Part “the 2009 Regulations” means the Registrar of Companies (Fees) (Limited Partnerships and Newspaper Proprietors) Regulations 2009 . Limited Partnerships 9 For the table in paragraph 5 of Schedule 1 to the 2009 Regulations (the performance of functions relating to the registration of documents by the registrar) substitute— Matter in relation to which the fee is payable Amount of fee For the registration of a limited partnership under section 8 of the LP Act; £124.00 On the making of an application to the registrar under section 8D of the LP Act. £30.00 . Scottish Limited Partnerships 10 In the column headed “amount of fee” in the table in paragraph 5A of Schedule 1 to the 2009 Regulations, for “£62.00” substitute “£110.00” . Scottish Qualifying Partnerships 11 The column headed “amount of fee” in the table in paragraph 5B of Schedule 1 to the 2009 Regulations is amended as follows— in sub-paragraph (a) for “£71.00” substitute “£124.00”; in sub-paragraph (b) for “£62.00” substitute “£110.00”. Revocation 12 Regulation 4 of, and Schedule 2 to, the 2009 Regulations (fees payable in respect of the inspection or provision of copies of documents kept by the registrar relating to limited partnerships) are revoked. Part 5 AMENDMENTS TO THE REGISTRAR OF COMPANIES (FEES) (EUROPEAN ECONOMIC INTEREST GROUPING AND EUROPEAN PUBLIC LIMITED LIABILITY COMPANY) REGULATIONS 2012 Interpretation 13 In this Part “the EEIG Regulations 2012” means the Registrar of Companies (Fees) (European Economic Interest Grouping and European Public Limited-Liability Company) Regulations 2012 . UK Economic Interest Groupings and European Economic Interest Grouping establishments 14 In the column headed “amount of fee” in the table in paragraph 5(b) of Schedule 1 to the EEIG Regulations 2012, for “£71.00” substitute “£124.00”. UK Societates 15 In the column headed “amount of fee” in the table in paragraph 6(b) of Schedule 1 to the EEIG Regulations 2012, for “£71.00” substitute “£124.00”. Revocation 16 Regulation 4 of, and Schedule 2 to, the EEIG Regulations 2012 (fees payable in respect of the inspection or provision of copies of documents kept by the registrar relating to UKEIGs and EEIG establishments) are revoked. Part 6 TRANSITIONAL PROVISION 17 1 A fee payable in respect of a relevant document is the fee that was payable before 1st February 2026. 2 In this regulation, “relevant document” means a document— a in respect of which a fee which is amended by these Regulations is payable, and b which was delivered to the registrar before 1st February 2026 but which is registered on or after that date. Blair McDougall Parliamentary Under-Secretary of State Department for Business and Trade 28th October 2025 Explanatory Note (This note is not part of the Regulations) These Regulations amend the Registrar of Companies (Fees) (Companies, Overseas Companies and Limited Liability Partnerships) Regulations 2012 ( S.I. 2012/1907 ) (“the 2012 Regulations”), the Registrar of Companies (Fees) (Registrar of Overseas Entities) Regulations 2024 (“the 2024 Regulations”), the Registrar of Companies (Fees) (Limited Partnerships and Newspaper Proprietors) Regulations 2009 ( S.I. 2009/2392 ) (“the 2009 Regulations”) and the Registrar of Companies (Fees) (European Economic Interest Grouping and European Public Limited-Liability Company) Regulations 2012 ( S.I. 2012/1908 ) (“the EEIG Regulations 2012”), which require payment of fees in respect of the performance of functions relating to the receipt of documents by the registrar and their registration. These Regulations amend existing fees to reflect increased costs due to the implementation of the Economic Crime and Corporate Transparency Act 2023 and the Economic Crime (Transparency and Enforcement) Act 2022. These Regulations reduce some fees to reflect changes in the cost of providing particular services and also revoke some fees so that in the future they can be set administratively by the registrar. Regulations 3, 4 and 5 amend fees in paragraphs 8, 10 and 11 of Schedule 1 to the 2012 Regulations in relation to incorporation fees, annual confirmation statements fees and registration fees for companies, overseas companies and limited liability partnerships. Regulation 6 revokes provisions relating to fees payable in respect of the inspection or provision of documents kept by the registrar. Regulation 7 amends the fees in paragraph 1 of Schedule 1 to the 2024 Regulations concerning the registration of overseas entities, the delivery to the registrar of the statements and information required and the application for removal from the list of registered overseas entities. Regulation 9 amends paragraph 5 of Schedule 1 to the 2009 Regulations, increasing the fees for registration of a limited partnership and specifying the fee for making an application to the registrar under section 8D of the Limited Partnerships Act 1907. Regulation 10 amends paragraph 5A of Schedule 1 to the 2009 Regulations, increasing the fees for the registration of all relevant documents in respect of a Scottish limited partnership delivered during a relevant period on the registration of a confirmation statement. Regulation 11 amends paragraph 5B of Schedule 1 to the 2009 Regulations, increasing the fees for the registration of a Scottish qualifying partnership and the registration of all relevant documents in respect of a Scottish qualifying partnership delivered during a relevant period on the registration of a confirmation statement. Regulation 12 revokes provisions in the 2009 Regulations relating to fees payable in respect of the inspection or provision of copies of documents kept by the registrar relating to limited partnerships. Regulation 14 amends paragraph 5 of Schedule 1 to the EEIG Regulations 2012, increasing the fee for the registration of UK economic interest grouping establishments. Regulation 15 amends paragraph 6 of Schedule 1 to the EEIG Regulations 2012, increasing the fee for the registration of a public company by the conversion of a UK Societates. Regulation 16 revokes provisions in the EEIG Regulations 2012 relating to fees payable in respect of the inspection or provision of copies of documents kept by the registrar. A full impact assessment has not been produced for this instrument as no, or no significant, impact on the private or voluntary sector is foreseen. 2006 c. 46 . Section 1063 was amended by section 93 of the Economic Crime and Corporate Transparency Act 2023 (c. 56) . S.I. 2012/1907 , amended by S.I. 2016/621 and 2024/155 . S.I. 2024/153 , which has been amended by S.I. 2024/454 . S.I. 2009/2392 , which has been amended by S.I. 2011/319 , 2015/971 , 2016/621 , 2018/1299 and 2024/155 . S.I. 2012/1908 , which has been amended by S.I. 2016/621 , 2018/1298 , 2018/1299 and 2024/155 .
[uk-legislation-uksi][uksi] 2025-10-31 The Football Governance Act 2025 (Commencement No. 1) Regulations 2025 http://www.legislation.gov.uk/uksi/2025/1134/made http://www.legislation.gov.uk/uksi/2025/1134/made The Football Governance Act 2025 (Commencement No. 1) Regulations 2025 King's Printer of Acts of Parliament 2025-10-31 SPORTS GROUNDS AND SPORTING EVENTS, ENGLAND AND WALES These Regulations bring into force specified provisions of the Football Governance Act 2025 (c. 21) (“the Act”) on 1st November 2025. They are the first commencement regulations made under the Act. Certain provisions came into force on Royal Assent by virtue of section 100(2). 2025 No. 1134 (C. 54) SPORTS GROUNDS AND SPORTING EVENTS, ENGLAND AND WALES The Football Governance Act 2025 (Commencement No. 1) Regulations 2025 Made 23rd October 2025 The Secretary of State makes these Regulations in exercise of the power conferred by section 100(1) of the Football Governance Act 2025 . Citation 1 These Regulations may be cited as the Football Governance Act 2025 (Commencement No. 1) Regulations 2025. Provisions coming into force on 1st November 2025 2 The following provisions of the Football Governance Act 2025 come into force on 1st November 2025— a section 65 (power to require information); b section 66 (reports on clubs by expert reporters); c section 73 (privileged communications). Stephanie Peacock Parliamentary Under Secretary of State Department for Culture, Media and Sport 23rd October 2025 Explanatory Note (This note is not part of the Regulations) These Regulations bring into force specified provisions of the Football Governance Act 2025 (c. 21) (“ the Act ”) on 1st November 2025. They are the first commencement regulations made under the Act. Certain provisions came into force on Royal Assent by virtue of section 100(2). Regulation 2 commences specified provisions in Part 7 of the Act: section 65 confers a power on the Independent Football Regulator to require information, section 66 makes provision about reports on clubs by expert reporters and section 73 makes provision about privileged communications. An impact assessment has not been produced for this instrument as the sole effect of these Regulations is to bring into force provisions of the Act. A full impact assessment was prepared in relation to the Act, copies of which are available alongside the Act on legislation.gov.uk and hard copies are available from the Department for Culture, Media and Sport, 100 Parliament Street, SW1A 2BQ, London, United Kingdom. 2025 c. 21 .
[uk-legislation-uksi][uksi] 2025-11-03 The Welfare Reform Act 2012 (Commencement No. 35) (Abolition of Benefits) Order 2025 http://www.legislation.gov.uk/uksi/2025/1148/made http://www.legislation.gov.uk/uksi/2025/1148/made The Welfare Reform Act 2012 (Commencement No. 35) (Abolition of Benefits) Order 2025 King's Printer of Acts of Parliament 2025-11-03 SOCIAL SECURITY This Order is a further stage in the replacement of six benefits with universal credit (“UC”). 2025 No. 1148 (C. 55) SOCIAL SECURITY The Welfare Reform Act 2012 (Commencement No. 35) (Abolition of Benefits) Order 2025 Made 29th October 2025 The Secretary of State makes this Order in exercise of the powers conferred by section 150(3) and (4)(a) and (c) of the Welfare Reform Act 2012 . Citation and Interpretation 1 1 This Order may be cited as the Welfare Reform Act 2012 (Commencement No. 35) (Abolition of Benefits) Order 2025. 2 In this Order— “ the 2007 Act ” means the Welfare Reform Act 2007 ; “ the Act ” means the Welfare Reform Act 2012; “ the amending provisions ” means the provisions referred to in article 4(1)(a) to (c) of the Welfare Reform Act 2012 (Commencement No. 9 and Transitional and Transitory Provisions and Commencement No. 8 and Savings and Transitional Provisions (Amendment)) Order 2013 ; “ contributory allowance” and “income-related allowance ” in relation to an award of old style ESA have the meaning given by section 1(7) of the 2007 Act; “ housing benefit ” means housing benefit under section 130 of the Social Security Contributions and Benefits Act 1992 ; “ income support ” means income support under section 124 of the Social Security Contributions and Benefits Act 1992; “ income-based jobseeker’s allowance ” has the same meaning as in the Jobseekers Act 1995 ; “ income-related employment and support allowance ” means an income-related allowance under Part 1 of the 2007 Act; “ old style ESA ” means an employment and support allowance under Part 1 of the 2007 Act as it has effect apart from the amendments made by Schedule 3, and Part 1 of Schedule 14, to the Act that remove references to an income-related allowance and references to an award of old style ESA shall be construed accordingly; “ old style JSA ” means a jobseeker’s allowance under the Jobseekers Act 1995 as it has effect apart from the amendments made by Part 1 of Schedule 14 to the Act that remove references to an income-based jobseeker’s allowance and references to an award of old style JSA shall be construed accordingly; “ the Transitional Regulations ” means the Universal Credit (Transitional Provisions) Regulations 2014 ; “ two week run-on period ” means the period referred to in regulation 8(2A) or 46(1)(a) of the Transitional Regulations or regulation 5(1) of the Universal Credit (Managed Migration Pilot and Miscellaneous Amendments) Regulations 2019 . Conversion of contributory old style ESA 2 1 The day appointed for the coming into force of the amending provisions in the case of an award of old style ESA in respect of which the claimant— a is entitled to the contributory allowance but not the income-related allowance, or b is entitled to both the contributory allowance and the income-related allowance and section 6(4) of the 2007 Act (allowance treated as attributable to entitlement to the contributory allowance where the amount payable does not exceed the personal rate) applies, is as follows. 2 In the case of an award where either of the conditions in paragraph (1)(a) or (b) applies on 1st December 2025, the day appointed is 1st December 2025. 3 In any other case, the day appointed is the first day on which either of those conditions applies. Claimant commitment on conversion of contributory old style ESA 3 1 Where the amending provisions come into force in relation to an award of old style ESA in accordance with article 2 (conversion of contributory old style ESA) the Secretary of State may, for so long as the Secretary of State considers necessary to protect the efficient administration of employment and support allowance, delay the preparation of a claimant commitment in accordance with section 11A of the 2007 Act. 2 Section 1(3)(aa) of the 2007 Act (acceptance of claimant commitment to be a condition of entitlement to employment and support allowance) is not to apply during any period for which the preparation of a claimant commitment is delayed under paragraph (1). Abolition of income-based jobseeker’s allowance 4 The day appointed for the coming into force of the amending provisions in the case of an award of old style JSA in respect of which those provisions— a have not yet come into force, and b are not due to come into force, or to be treated as coming into force, at the end of a two week run-on period, is 1st April 2026. Abolition of income support 5 The day appointed for the coming into force of section 33(1)(c) of the Act (abolition of income support) in respect of an award of income support that— a has not yet been terminated by virtue of regulation 7(2), 8(2A) or 46(1)(a) of the Transitional Regulations, and b is not due to terminate at the end of a two week run-on period, is 1st April 2026. Abolition of housing benefit for working age claimants who cease to occupy temporary accommodation or specified accommodation 6 1 The day appointed for the coming into force of section 33(1)(d) of the Act (abolition of housing benefit) in relation to an award of housing benefit where the claimant— a is not entitled to universal credit, income support, an income-based jobseeker’s allowance or an income-related employment and support allowance, b does not fall within regulation 6A(3) to (5) of the Transitional Regulations (exemption from restrictions on claims for housing benefit for persons over the qualifying age for state pension credit etc.), and c is entitled to that award in respect of temporary accommodation or specified accommodation, is any day falling on or after 14th November 2025 that is the day after the last day on which the claimant is entitled to housing benefit in respect of accommodation of that description. 2 In this article “ specified accommodation ” and “ temporary accommodation ” have the same meaning as in the Transitional Regulations. Signed by authority of the Secretary of State for Work and Pensions Stephen Timms Minister of State Department for Work and Pensions 29th October 2025 Explanatory Note (This note is not part of the Order) This Order is a further stage in the replacement of six benefits with universal credit (“ UC ”). The Order appoints the dates for ending future entitlement to income support and income-based jobseeker’s allowance for all claimants and for ending future entitlement to income-related employment and support allowance in relation to claimants currently receiving only the contributory allowance in an award of old style ESA. It also ends awards of housing benefit where working age claimants cease to occupy temporary or supported accommodation. The references in this Order to “old style JSA” and “old style ESA” are to awards of jobseeker’s allowance and employment and support allowance in respect of which the amending provisions have not yet come into force. The amending provisions include subsection (1)(a) and (b) of section 33 (abolition of benefits) of the Welfare Reform Act 2012 (“ the Act ”) and amendments to the Jobseekers Act 1995 (c.18) and Part 1 of the Welfare Reform Act 2007 (c.5) that remove references to the income-related elements of those benefits. The amending provisions are the mechanism for terminating awards of income-based jobseeker’s allowance and income-related employment and support allowance. They come into force when the claimant makes a claim for UC or forms a couple with a universal credit claimant. They are treated as coming into force when a claimant who has been issued with a migration notice fails to make a claim for universal credit by the deadline. Article 2 brings the amending provisions into force on 1st December 2025 for awards of old style ESA where the amount the claimant receives is wholly attributable to the contributory allowance (including where they have entitlement to both the contributory and income-related allowance but the former is greater). This will prevent entitlement to the income-related allowance arising in future if the claimant’s circumstances change. It will also convert the award to the “new style” employment and support allowance. Where an award of old style ESA is not wholly attributable to the contributory allowance on 1st December 2025 but is so on a subsequent day, for example if the claimant’s income increases so that they no longer have the income-related entitlement, the amending provisions will come into force on that day. Article 3 deals with the obligation on the Secretary of State to prepare a claimant commitment where an award of old style ESA is converted to the new style allowance under article 2. That obligation is delayed for such period as is necessary to protect the efficient administration of the allowance. Article 4 deals with old style JSA. The amending provisions come into force for any remaining cases on 1st April 2026. This does not affect the two week run-on period in the case of a claimant who has made a claim for UC or been issued with a migration notice and failed to claim by the deadline. Article 5 deals with income support. Section 33(1)(c) of the Act (which provides for abolition of income support) is brought into force for any remaining cases, except those in a run-on period, on 1st April 2026. Article 6 deals with housing benefit. Claimants who occupy temporary accommodation and certain types of supported accommodation (referred to in this Order as “ specified accommodation ”) are not covered by the housing costs element in UC and may therefore claim housing benefit by virtue of regulation 6A of the Universal Credit (Transitional Provisions) Regulations 2014 ( S.I. 2014/1230 ). Where a claimant who is already entitled to UC moves from such accommodation into general accommodation, housing benefit will automatically cease and they may qualify for the housing costs element of UC. Article 6 provides the mechanism for ending housing benefit in a case where the claimant is not already entitled to UC and is not being moved to UC by managed migration. Where the move to general accommodation occurs on or after 14th November 2025, section 33(1)(d) (which provides for abolition of housing benefit) is brought into force in relation to the existing award. This terminates the current award but does not prevent a new claim for housing benefit if the claimant subsequently qualifies under regulation 6A. NOTE AS TO EARLIER COMMENCEMENT ORDERS (This note is not part of the Order) The following provisions of the Welfare Reform Act 2012 (c. 5) were brought into force by a Statutory Instrument which was made before this Order was made. Provision Date of Commencement SI Number Section 1 (partially) 29th April 2013 2013/983 Section 1 (partially) 1st July 2013 2013/1511 Section 1 (partially) 29th July 2013 2013/1511 Section 1 (partially) 28th October 2013 2013/2657 Section 1 (partially) 25th November 2013 2013/2846 Section 1 (partially) 24th February 2014 2014/209 Section 1 (partially) 7th April 2014 2014/209 Section 1 (partially) 23rd June 2014 2014/1583 Section 1 (partially) 30th June 2014 2014/1583 Section 1 (partially) 30th June 2014 2014/1661 Section 1 (partially) 7th July 2014 2014/1583 Section 1 (partially) 14th July 2014 2014/1583 Section 1 (partially) 21st July 2014 2014/1583 Section 1 (partially) 28th July 2014 2014/1583 Section 1 (partially) 28th July 2014 2014/1923 Section 1 (partially) 15th September 2014 2014/2321 Section 1 (partially) 22nd September 2014 2014/2321 Section 1 (partially) 29th September 2014 2014/2321 Section 1 (partially) 6th October 2014 2014/2321 Section 1 (partially) 13th October 2014 2014/2321 Section 1 (partially) 20th October 2014 2014/2321 Section 1 (partially) 27th October 2014 2014/2321 Section 1 (partially) 3rd November 2014 2014/2321 Section 1 (partially) 10th November 2014 2014/2321 Section 1 (partially) 17th November 2014 2014/2321 Section 1 (partially) 24th November 2014 2014/2321 Section 1 (partially) 24th November 2014 2014/3067 Section 1 (partially) 26th November 2014 2014/3094 Section 1 (partially) 1st December 2014 2014/2321 Section 1 (partially) 8th December 2014 2014/2321 Section 1 (partially) 15th December 2014 2014/2321 Section 1 (partially) 26th January 2015 2015/32 Section 1 (partially) 28th January 2015 2015/33 Section 1 (partially) 16th February 2015 2015/101 Section 1 (partially) 23rd February 2015 2015/101 Section 1 (partially) 2nd March 2015 2015/32 Section 1 (partially) 2nd March 2015 2015/101 Section 1 (partially) 9th March 2015 2015/101 Section 1 (partially) 16th March 2015 2015/101 Section 1 (partially) 18th March 2015 2015/634 Section 1 (partially) 23rd March 2015 2015/101 Section 1 (partially) 6th April 2015 2015/32 Section 1 (partially) 6th April 2015 2015/101 Section 1 (partially) 13th April 2015 2015/101 Section 1 (partially) 20th April 2015 2015/101 Section 1 (partially) 27th April 2015 2015/101 Section 1 (partially) 4th May 2015 2015/101 Section 1 (partially) 11th May 2015 2015/101 Section 1 (partially) 18th May 2015 2015/101 Section 1 (partially) 25th May 2015 2015/101 Section 1 (partially) 1st June 2015 2015/101 Section 1 (partially) 8th June 2015 2015/101 Section 1 (partially) 10th June 2015 2015/634 Section 1 (partially) 15th June 2015 2015/101 Section 1 (partially) 22nd June 2015 2015/101 Section 1 (partially) 29th June 2015 2015/101 Section 1 (partially) 6th July 2015 2015/101 Section 1 (partially) 13th July 2015 2015/101 Section 1 (partially) 20th July 2015 2015/101 Section 1 (partially) 21st September 2015 2015/1537 Section 1 (partially) 28th September 2015 2015/1537 Section 1 (partially) 5th October 2015 2015/1537 Section 1 (partially) 12th October 2015 2015/1537 Section 1 (partially) 19th October 2015 2015/1537 Section 1 (partially) 26th October 2015 2015/1537 Section 1 (partially) 2nd November 2015 2015/1537 Section 1 (partially) 4th November 2015 2015/634 Section 1 (partially) 9th November 2015 2015/1537 Section 1 (partially) 16th November 2015 2015/1537 Section 1 (partially) 23rd November 2015 2015/1537 Section 1 (partially) 30th November 2015 2015/1537 Section 1 (partially) 2nd December 2015 2015/1930 Section 1 (partially) 7th December 2015 2015/1537 Section 1 (partially) 14th December 2015 2015/1537 Section 1 (partially) 11th January 2016 2015/1537 Section 1 (partially) 18th January 2016 2015/1537 Section 1 (partially) 25th January 2016 2015/1537 Section 1 (partially) 27th January 2016 2016/33 Section 1 (partially) 1st February 2016 2015/1537 Section 1 (partially) 8th February 2016 2015/1537 Section 1 (partially) 15th February 2016 2015/1537 Section 1 (partially) 22nd February 2016 2015/1537 Section 1 (partially) 24th February 2016 2016/33 Section 1 (partially) 29th February 2016 2015/1537 Section 1 (partially) 7th March 2016 2015/1537 Section 1 (partially) 14th March 2016 2015/1537 Section 1 (partially) 21st March 2016 2015/1537 Section 1 (partially) 23rd March 2016 2016/407 Section 1 (partially) 28th March 2016 2015/1537 Section 1 (partially) 11th April 2016 2015/1537 Section 1 (partially) 18th April 2016 2015/1537 Section 1 (partially) 25th April 2016 2015/1537 Section 1 (partially) 27th April 2016 2016/407 Section 1 (partially) 1st February 2019 2019/167 Section 1 (for all remaining purposes) 30th March 2022 2022/302 Section 2(1) (partially) As section 1 As section 1 Section 2(1) (for all remaining purposes) 30th March 2022 2022/302 Section 2(2) 25th February 2013 2013/358 Section 3 (partially) As section 1 As section 1 Section 3 (for all remaining purposes) 30th March 2022 2022/302 Section 4(1) and (4) (partially) As section 1 As section 1 Section 4(1) and (4) (for all remaining purposes) 30th March 2022 2022/302 Section 4(2), (3) and (5) to (7) 25th February 2013 2013/358 Section 5 (partially) 25th February 2013 2013/358 Section 5 (partially) As section 1 As section 1 Section 5 (for all remaining purposes) 30th March 2022 2022/302 Section 6(1)(a) and (3) (partially) 25th February 2013 2013/358 Section 6 (partially) As section 1 As section 1 Section 6 (for all remaining purposes) 30th March 2022 2022/302 Section 7(1) and (4) (partially) As section 1 As section 1 Section 7(1) and (4) (for all remaining purposes) 30th March 2022 2022/302 Section 7(2) and (3) 25th February 2013 2013/358 Section 8 (partially) As section 1 As section 1 Section 8 (for all remaining purposes) 30th March 2022 2022/302 Section 8(3) (partially) 25th February 2013 2013/358 Section 8(3) (for all remaining purposes) 30th March 2022 2022/302 Section 9(1) (partially) As section 1 As section 1 Section 9(1) (for all remaining purposes) 30th March 2022 2022/302 Section 9(2) 25th February 2013 2013/358 Section 10(1) (partially) As section 1 As section 1 Section 10(1) (for all remaining purposes) 30th March 2022 2022/302 Section 10(2), (3), (4) and (5) 25th February 2013 2013/358 Section 11(1) and (2) (partially) As section 1 As section 1 Section 11(1) and (2) (for all remaining purposes) 30th March 2022 2022/302 Section 11(3), (4) and (5) 25th February 2013 2013/358 Section 12(1) (partially) 25th February 2013 2013/358 Section 12(1) and (2) (partially) As section 1 As section 1 Section 12(1) and (2) (for all remaining purposes) 30th March 2022 2022/302 Section 12(3) and (4) 25th February 2013 2013/358 Section 13 (partially) As section 1 As section 1 Section 13 (for all remaining purposes) 30th March 2022 2022/302 Section 14 (partially) As section 1 As section 1 Section 14 (for all remaining purposes) 30th March 2022 2022/302 Section 14(5) (partially) 25th February 2013 2013/358 Section 15(1) and (4) (partially) As section 1 As section 1 Section 15(1) and (4) (for all remaining purposes) 30th March 2022 2022/302 Sections 15(2) and (3) and 17(3)(f) 25th February 2013 2013/358 Section 16 (partially) As section 1 As section 1 Section 16 (for all remaining purposes) 30th March 2022 2022/302 Section 17(1), (2), (3)(a) to (e), (4) and (5) (partially) As section 1 As section 1 Section 17(1), (2), (3)(a) to (e), (4) and (5) (for all remaining purposes) 30th March 2022 2022/302 Section 17(3)(f) 25th February 2013 2013/358 Section 17(4) and (5) (partially) 25th February 2013 2013/358 Section 18 (partially) As section 1 As section 1 Section 18 (for all remaining purposes) 30th March 2022 2022/302 Section 18(3) and (5) (partially) 25th February 2013 2013/358 Section 19(1), (2)(a) to (c), (5) and (6) (partially) As section 1 As section 1 Section 19(1), (2)(a) to (c), (5) and (6) (for all remaining purposes) 30th March 2022 2022/302 Section 19(2)(d), (3) and (4) 25th February 2013 2013/358 Section 20(1) (partially) 25th February 2013 2013/358 Section 20 (partially) As section 1 As section 1 Section 20 (for all remaining purposes) 30th March 2022 2022/302 Section 21 (partially) As section 1 As section 1 Section 21 (for all remaining purposes) 30th March 2022 2022/302 Section 22 (partially) As section 1 As section 1 Section 22 (for all remaining purposes) 30th March 2022 2022/302 Section 22(2) (partially) 25th February 2013 2013/358 Section 23 (partially) As section 1 As section 1 Section 23 (for all remaining purposes) 30th March 2022 2022/302 Sections 24(1), (5) and (6) and 25 25th February 2013 2013/358 Section 24(2), (3) and (4) (partially) As section 1 As section 1 Section 24(2), (3) and (4) (for all remaining purposes) 30th March 2022 2022/302 Section 26(1) to (5) (partially) As section 1 As section 1 Section 26(1) to (5) (for all remaining purposes) 30th March 2022 2022/302 Section 26(2)(a) (partially) 25th February 2013 2013/358 Sections 26(6) to (8), 27(4), (5) and (9) and 28 25th February 2013 2013/358 Section 27(1) to (3) and (6) to (8) (partially) As section 1 As section 1 Section 27(1) to (3) and (6) to (8) (for all remaining purposes) 30th March 2022 2022/302 Section 29 29th April 2013 2013/983 Sections 30 and 31 (partially) 25th February 2013 2013/358 Section 31 (partially) 1st April 2013 2013/358 Section 31 (partially) 29th April 2013 2013/358 Section 31 (partially) 29th April 2013 2013/983 Section 31 (partially) 15th May 2019 2019/37 Section 32 25th February 2013 2013/358 Section 33(1)(a) and (b), (2) and (3) (partially) 16th June 2014 2014/1452 Section 33(1)(a) and (b), (2) and (3) (partially) As section 1 As section 1 Section 33(1)(e) 1st April 2013 2013/358 Section 33(1)(f) 1st February 2019 2019/167 Sections 33(3) (partially) 1st April 2013 2013/358 Section 35 (partially) 25th February 2013 2013/358 Section 35 (partially) 29th April 2013 2013/983 Section 36 (partially) 25th February 2013 2013/358 Section 36 (for all remaining purposes) 18th July 2019 2019/1135 Sections 37(3) to (7) and 39(3)(a) 25th February 2013 2013/358 Section 37 (for all remaining purposes) 29th April 2013 2013/983 Section 38 29th April 2013 2013/983 Section 39 (partially) 25th February 2013 2013/358 Section 39 (for all remaining purposes) 29th April 2013 2013/983 Sections 40, 42 and 43 25th February 2013 2013/358 Section 41 15th September 2014 2014/2321 Section 44(1) (partially) As section 33(1)(a) and (b) As section 33(1)(a) and (b) Section 44(2) (partially) As section 33(1)(a) and (b) As section 33(1)(a) and (b) Section 44(5) 10th June 2012 2012/1246 Section 45 (repealed) 8th October 2012 2012/2530 Section 46(1) and (3) (partially) 10th June 2012 2012/1246 Section 46(1) (partially) 22nd October 2012 2012/2530 Section 46(1) (for all remaining purposes) 19th June 2017 2017/664 Section 46(2) 10th June 2012 2012/1246 Section 46(3) (for all remaining purposes) 22nd October 2012 2012/2530 Section 46(4) 22nd October 2012 2012/2530 Section 47 20th March 2012 2012/863 Section 48 (partially) 22nd October 2012 2012/2530 Section 49(1) and (3) (partially) 25th February 2013 2013/358 Section 49(1), (2) and (3) to (5) (partially) As section 33(1)(a) and (b) As section 33(1)(a) and (b) Section 49(6) 25th February 2013 2013/358 Section 51 (partially) 20th March 2012 2012/863 Section 51 (for all remaining purposes) 1st May 2012 2012/863 Sections 52 and 53 1st May 2012 2012/863 Section 54(1) (partially) 25th February 2013 2013/358 Section 54(1) and (2) (partially) As section 33(1)(a) and (b) As section 33(1)(a) and (b) Section 54(6) 25th February 2013 2013/358 Section 55 (repealed) 3rd December 2012 2012/2530 Section 56 (repealed) 26th November 2012 2012/2530 Section 57(1) and (2) (partially) 25th February 2013 2013/358 Section 57(1), (2), (4), (5) and (9) (partially) As section 33(1)(a) and (b) As section 33(1)(a) and (b) Section 57(6) 25th February 2013 2013/358 Section 58(1) and (2) 20th March 2012 2012/863 Section 64 (partially) 30th October 2012 2012/2530 Section 64 (for all remaining purposes) 5th December 2012 2012/2530 Section 65 5th December 2012 2012/2530 Section 66 (partially) 30th October 2012 2012/2530 Section 66 (partially) 31st October 2013 2013/2534 Sections 67 and 68 5th December 2012 2012/2530 Section 69 (partially) 27th November 2012 2012/2946 Section 69 (for all remaining purposes) 1st January 2013 2012/2946 Section 70(1) and (3) to (10) 1st April 2013 2012/3090 Section 70(2) 1st August 2013 2012/3090 Section 73 1st April 2013 2012/3090 Section 77(3) (partially) 25th February 2013 2013/358 Section 77(1) to (3) (partially) 8th April 2013 2013/358 Section 77(1) to (3) (for all remaining purposes) 10th June 2013 2013/1250 Section 78(1), (2), (5) and (6) (partially) 8th April 2013 2013/358 Section 78(1), (2), (5) and (6) (for all remaining purposes) 10th June 2013 2013/1250 Section 78(3) and (4) 25th February 2013 2013/358 Section 79(1), (2), (5) and (6) (partially) 8th April 2013 2013/358 Section 79(1), (2), (5) and (6) (for all remaining purposes) 10th June 2013 2013/1250 Section 79(3), (4) and (7) 25th February 2013 2013/358 Sections 80 and 81 25th February 2013 2013/358 Section 82 (partially) 8th April 2013 2013/358 Section 82 (for all remaining purposes) 10th June 2013 2013/1250 Section 83(3) (partially) 25th February 2013 2013/358 Section 83(1) to (3) and 84 (partially) 8th April 2013 2013/358 Section 83(1) to (3) and 84 (for all remaining purposes) 10th June 2013 2013/1250 Sections 85 and 86 25th February 2013 2013/358 Section 87 (partially) 25th February 2013 2013/358 Section 87 (partially) 8th April 2013 2013/358 Section 87 (for all remaining purposes) 10th June 2013 2013/1250 Sections 88 and 89 (partially) 8th April 2013 2013/358 Sections 88 and 89 (for all remaining purposes) 10th June 2013 2013/1250 Section 91 (partially) 25th February 2013 2013/358 Section 91 (partially) 8th April 2013 2013/358 Section 91 (partially) 10th June 2013 2013/1250 Sections 92, 93 and 94 25th February 2013 2013/358 Section 95 (partially) 25th February 2013 2013/358 Section 95 (partially) 8th April 2013 2013/358 Section 95 (for all remaining purposes) 10th June 2013 2013/1250 Section 96 (partially) 27th November 2012 2012/2946 Section 96 (for all remaining purposes) 15th April 2013 2012/2946 Section 97(1) to (4) 27th November 2012 2012/2946 Section 97(5) and (6) 15th April 2013 2012/2946 Sections 98 and 99 25th February 2013 2013/358 Section 100 25th February 2013 2013/358 Section 101(1) (partially) 25th February 2013 2013/358 Section 101(2) 1st April 2013 2013/358 Section 102(1) (partially) 25th February 2013 2013/358 Section 102(2) to (5) 25th February 2013 2013/358 Section 102(6) (partially) 25th February 2013 2013/358 Section 102(6) (partially) 29th April 2013 2013/983 Section 104 25th February 2013 2013/358 Section 105(1) (partially) 1st July 2012 2012/1246 Section 105(1) (partially) 1st October 2012 2012/1246 Section 105(1) (partially) 29th April 2013 2013/358 Section 105(3), (5) and (6) 29th April 2013 2013/358 Section 105(4) 1st October 2012 2012/1246 Section 105(7) (partially) 29th April 2013 2013/358 Section 106 1st July 2012 2012/1246 Section 110 (partially) 17th June 2013 2013/1250 Section 110 (for all remaining purposes) 1st October 2013 2013/1250 Section 112(1) and (2) (partially) 20th April 2016 2016/511 Section 112(1) and (2) (for all remaining purposes) 24th May 2016 2016/511 Section 112(3) to (6) 24th May 2016 2016/511 Sections 113 to 115 8th May 2012 2012/863 Section 116(1) (partially) 10th May 2012 2012/1246 Section 116(1) (for all remaining purposes) 1st October 2012 2012/1246 Section 116(2) 10th May 2012 2012/1246 Section 117(1) (partially) 1st April 2013 2013/358 Section 117(1) (for all remaining purposes) 6th April 2013 2013/358 Section 117(2) 1st April 2013 2013/358 Section 117(3) 6th April 2013 2013/358 Section 118(1), (2), (5) and (8)(b) (partially) 25th February 2013 2013/358 Section 118(1), (2), (5) and (8)(b) (for all remaining purposes) 1st April 2013 2013/358 Sections 118(3), (4), (6), (7) and (8)(a) and (c) and 119 1st April 2013 2013/358 Section 120 (partially) 1st February 2013 2013/178 Section 120 (for all remaining purposes) 6th April 2013 2013/178 Sections 122, 123 and 125 6th June 2012 2012/1246 Sections 128 and 129 20th March 2012 2012/863 Section 130 (partially) 20th March 2012 2012/863 Section 130 (for all remaining purposes) 8th May 2012 2012/863 Section 131 (partially) 20th March 2012 2012/863 Section 131 (for all remaining purposes) 8th May 2012 2012/863 Section 132(8) 20th March 2012 2012/863 Section 132 (for all remaining purposes) 8th May 2012 2012/863 Section 133(1) to (4) 20th March 2012 2012/863 Section 133(6) 2nd July 2012 2012/1651 Sections 136, 140 and 141 25th November 2013 2013/2947 Section 137 30th June 2014 2014/1635 Section 139 4th February 2014 2014/209 Sections 143, 144 and 146 8th May 2012 2012/863 Section 147 (partially) 31st March 2018 2018/145 Schedule 1 (partially) 25th February 2013 2013/358 Schedule 2 (partially) 25th February 2013 2013/358 Schedule 2 (partially) 1st April 2013 2013/358 Schedule 2 (partially) 29th April 2013 2013/358 Schedule 2 (partially) 29th April 2013 2013/983 Schedule 2 (partially) 15th May 2019 2019/37 Schedule 3 (partially) 1st April 2013 2013/358 Schedule 3 (partially) As section 33(1)(a) and (b) As section 33(1)(a) and (b) Schedule 5 (partially) 25th February 2013 2013/358 Schedule 5 (partially) 29th April 2013 2013/983 Schedule 6 (partially) 25th February 2013 2013/358 Schedule 6 (for all remaining purposes) 18th July 2019 2019/1135 Schedule 7 (partially) 22nd October 2012 2012/2530 Schedule 8 (partially) 1st April 2013 2012/3090 Schedule 8 (for all remaining purposes) 1st August 2013 2012/3090 Schedule 9 (partially) 25th February 2013 2013/358 Schedule 9 (partially) 8th April 2013 2013/358 Schedule 9 (partially) 10th June 2013 2013/1250 Schedule 10 25th February 2013 2013/358 Schedule 11 (partially) 25th February 2013 2013/358 Schedule 11 (partially) 29th April 2013 2013/983 Part 1 of Schedule 14 (partially) As Schedule 3 As Schedule 3 Part 1 of Schedule 14 (partially) 1st February 2019 2019/167 Part 1 of Schedule 14 (partially) 31st March 2022 2018/145 Part 3 of Schedule 14 (partially) 22nd October 2012 2012/2530 Parts 4 and 5 of Schedule 14 (partially) As section 33(1)(a) and (b) As section 33(1)(a) and (b) Part 8 of Schedule 14 (partially) 1st April 2013 2012/3090 Part 8 of Schedule 14 (partially) 1st August 2013 2012/3090 Part 11 of Schedule 14 (partially) 1st April 2013 2013/358 Part 11 of Schedule 14 (partially) 29th April 2013 2013/358 Part 14 of Schedule 14 8th May 2012 2012/863 2012 c. 5 . 2007 c. 5 . S.I. 2013/983 (C. 41) . Article 4 was substituted by 2014/1452 . 1992 c. 4 . 1995 c. 18 . S.I. 2014/1230 . Inserted by S.I. 2018/65 . Inserted by S.I. 2019/1152 . S.I. 2019/1152 . Section 11A was inserted by section 57(2) of the Welfare Reform Act 2012. Section 1(3)(aa) was inserted by section 54(2) of the Welfare Reform Act 2012. Regulation 6A was inserted by S.I. 2022/752 . S.I. 2012/1246 (C. 42) was amended by S.I. 2012/1440 (C. 55) and 2530 (C. 102).
[uk-legislation-uksi][uksi] 2025-11-03 The Northern Ireland Troubles (Legacy and Reconciliation) Act 2023 (Commencement No. 2 and Transitional Provisions) (Amendment No. 2) Regulations 2025 http://www.legislation.gov.uk/uksi/2025/1140/made http://www.legislation.gov.uk/uksi/2025/1140/made The Northern Ireland Troubles (Legacy and Reconciliation) Act 2023 (Commencement No. 2 and Transitional Provisions) (Amendment No. 2) Regulations 2025 en King's Printer of Acts of Parliament 2025-11-03 NORTHERN IRELAND These Regulations amend the Northern Ireland Troubles (Legacy and Reconciliation) Act 2023 (Commencement No. 2 and Transitional Provisions) Regulations 2024 (S.I. 2024/584 (C. 36)) (“the 2024 Regulations”). The 2024 Regulations were the second set of commencement regulations made under the Northern Ireland Troubles (Legacy and Reconciliation) Act 2023 (c. 41). 2025 No. 1140 Northern Ireland The Northern Ireland Troubles (Legacy and Reconciliation) Act 2023 (Commencement No. 2 and Transitional Provisions) (Amendment No. 2) Regulations 2025 Made 29th October 2025 Coming into force 31st October 2025 The Secretary of State makes these Regulations in exercise of the power conferred by section 63(5) of the Northern Ireland Troubles (Legacy and Reconciliation) Act 2023 . Citation and commencement 1 1 These Regulations may be cited as the Northern Ireland Troubles (Legacy and Reconciliation) Act 2023 (Commencement No. 2 and Transitional Provisions) (Amendment No. 2) Regulations 2025. 2 These Regulations come into force on 31st October 2025. Amendment of the Northern Ireland Troubles (Legacy and Reconciliation) Act 2023 (Commencement No. 2 and Transitional Provisions) Regulations 2024 2 In regulation 3(2) of the Northern Ireland Troubles (Legacy and Reconciliation) Act 2023 (Commencement No. 2 and Transitional Provisions) Regulations 2024 (transitional provision in relation to criminal investigations), for “31st October 2025” substitute “30th April 2026” . Hilary Benn Secretary of State Northern Ireland Office 29th October 2025 EXPLANATORY NOTE (This note is not part of the Regulations) These Regulations amend the Northern Ireland Troubles (Legacy and Reconciliation) Act 2023 (Commencement No. 2 and Transitional Provisions) Regulations 2024 ( S.I. 2024/584 (C. 36) ) (“ the 2024 Regulations ”). The 2024 Regulations were the second set of commencement regulations made under the Northern Ireland Troubles (Legacy and Reconciliation) Act 2023 (c. 41) . Regulation 2 of these Regulations amends regulation 3(2) of the 2024 Regulations to extend the period in which an investigating body may prepare or complete an investigation report or do anything subsequent to that. The period was initially set to end on 30th April 2025. It was extended to end on 31st October 2025 by the Northern Ireland Troubles (Legacy and Reconciliation) Act 2023 (Commencement No. 2 and Transitional Provisions) (Amendment) Regulations 2025 ( S.I. 2025/530 ). Regulation 2 of these Regulations extends it again to end on 30th April 2026. An impact assessment has not been produced for this instrument as no, or no significant, impact on the private, voluntary or public sectors is foreseen. An impact assessment has been published in relation to the Act and a copy can be obtained at https://assets.publishing.service.gov.uk/media/62828d60d3bf7f1f40ca508e/EQIA_NI_Troubles__Legacy_and_Reconciliation__Bill.pdf or from the Northern Ireland Office, 1 Horse Guards Road, London, SW1A 2HQ. 2023 c. 41 . The Secretary of State is a ‘national authority’ for the purposes of section 63(5); see section 58(3). S.I. 2024/584 (C. 36) . Regulation 3(2) was amended by S.I. 2025/530 .
[uk-legislation-uksi][uksi] 2025-11-03 The M5 Junction 10 Development Consent (Correction) Order 2025 http://www.legislation.gov.uk/uksi/2025/1136/made http://www.legislation.gov.uk/uksi/2025/1136/made The M5 Junction 10 Development Consent (Correction) Order 2025 King's Printer of Acts of Parliament 2025-10-31 INFRASTRUCTURE PLANNING This Order corrects errors and omissions in the M5 Junction 10 Development Consent Order 2025 (S.I. 2025/795), a development consent order under the Planning Act 2008, following two requests under paragraph 1(6)(a) of Schedule 4 to that Act. 2025 No. 1136 INFRASTRUCTURE PLANNING The M5 Junction 10 Development Consent (Correction) Order 2025 Made 29th October 2025 Coming into force 3rd November 2025 The M5 Junction 10 Development Consent Order 2025 (“ the 2025 Order ”) which granted development consent within the meaning of the Planning Act 2008 (“ the Act ”), contained correctable errors within the meaning of paragraph 1(3) of Schedule 4 to the Act. In accordance with paragraph 1(5)(a) of Schedule 4 to the Act, before the end of the relevant period as defined in paragraph 1(6)(a) of Schedule 4 to the Act, the Secretary of State received written requests from the applicant and National Highways for the correction of errors in the 2025 Order. In accordance with paragraph 1(7) of Schedule 4 to the Act, the Secretary of State informed the relevant local planning authorities for the area in which the land to which the 2025 Order relates is situated, that the requests had been received. The Secretary of State, in exercise of the powers conferred by section 119 of, and paragraph 1(4) and (8) of Schedule 4 to, the Act, makes the following Order. Citation and commencement 1 This Order may be cited as the M5 Junction 10 Development Consent (Correction) Order 2025 and comes into force on 3rd November 2025. Corrections to the M5 Junction 10 Development Consent Order 2025 (“ the 2025 Order ”) 2 The 2025 Order is corrected as set out in the table in the Schedule, where— a column 1 sets out where the correction is to be made; b column 2 sets out how the correction is to be made; and c column 3 sets out the text to be substituted, inserted or omitted. Signed by authority of the Secretary of State for Transport Samantha Collins-Hill Deputy Director, Transport Planning Department for Transport 29th October 2025 Schedule CORRECTABLE ERRORS Article 2 (1) Where the correction is to be made (2) How the correction is to be made (3) Text to be substituted, inserted or omitted Part 3, Article 11(5) For “42 days” substitute “28 days” Schedule 2, paragraph 11(3)(a) For “relevant planning authority” substitute “Secretary of State“ Schedule 10 In relation to the “environmental statement - appendix 1.1: glossary” for “0” substitute “1” Schedule 10 In relation to the “environmental statement - appendix 1.2: scoping opinion responses” for “0” substitute “1” Explanatory Note (This note is not part of the Order) This Order corrects errors and omissions in the M5 Junction 10 Development Consent Order 2025 ( S.I. 2025/795 ), a development consent order under the Planning Act 2008, following two requests under paragraph 1(6)(a) of Schedule 4 to that Act. S.I. 2025/795 . 2008 c. 29 . Paragraph 1 of Schedule 4 was amended by paragraph 70 of Schedule 13, and Part 20 of Schedule 25, to the Localism Act 2011 (c. 20) . The term “applicant” is defined in paragraph 4 of Schedule 4 to the Planning Act 2008.
End of preview. Expand in Data Studio

No dataset card yet

Downloads last month
7