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United Kingdom Statutory Instruments |
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You are here: BAILII >> Databases >> United Kingdom Statutory Instruments >> The European Cooperative Society Regulations 2006 No. 2078 URL: http://www.bailii.org/uk/legis/num_reg/2006/20062078.html |
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Made | 25th July 2006 | ||
Laid before Parliament | 27th July 2006 | ||
Coming into force | 18th August 2006 |
1. | Citation and commencement |
2. | Interpretation |
3. | Competent authorities |
4. | Participation by a body whose head office is not in the Community |
5. | Provision of documents by a cooperative which participates in the formation of an SCE by merger |
6. | Power to oppose the participation of a cooperative in the formation of an SCE by merger |
7. | Publication of a proposal to convert into an SCE |
8. | Register of SCEs |
9. | Provision of documents for registration |
10. | Registration |
11. | Provision of documents following registration |
12. | Cancellation of registration |
13. | Branches |
14. | Provision of a solvency statement |
15. | Additional forms of publication of a proposal to transfer a registered office |
16. | Power to oppose the transfer of a registered office |
17. | Arrangements for employee involvement |
18. | Power of general meeting to appoint or remove members of the management organ |
19. | Minimum number of members |
20. | Supervisory organ's power to require information |
21. | Acts of competent organ which are outside the SCE's objects |
22. | Power to represent an SCE |
23. | First general meeting of an SCE |
24. | Sectorial or section meetings of an SCE |
25. | Appeals against competent authority's decision |
26. | Publication of a proposal to convert into a cooperative |
27. | Certification of assets |
28. | Decision of the general meeting to convert into a cooperative |
29. | Provision of information |
30. | Inspection of accounts |
31. | Holding of an inquiry |
32. | Power to give directions |
33. | Power to petition for winding-up |
34. | Offences in relation to the provision of information |
35. | Offence in relation to solvency statements |
36. | Offences in relation to an SCE's name and the use of the acronym "SCE" |
37. | Offence in relation to operation as an SCE after cancellation of registration |
38. | Bodies corporate |
39. | Expression of capital |
40. | Public notice of certain information |
41. | Electronic communications |
42. | Inspection and copies of records |
43. | Fees |
(2) Words and expressions which are used in the EC Regulation have the same meaning in these Regulations as they have in that Regulation.
(3) References in these Regulations to numbered Articles are references to Articles of the EC Regulation.
(2) Any reference in these Regulations to the competent authority in respect of an SCE or cooperative is to be construed as a reference to the body designated under paragraph (1) in relation to that SCE or cooperative.
Provision of documents by a cooperative which participates in the formation of an SCE by merger
5.
—(1) A cooperative which—
must send the competent authority a copy of each of the documents listed in paragraph (2) at least two months before the general meeting called to decide on the merger.
(2) The documents referred to in paragraph (1) are—
(3) The cooperative must send the competent authority written notice of the completion of the merger within one month of the completion.
Power to oppose the participation of a cooperative in the formation of an SCE by merger
6.
—(1) The competent authority may decide on the grounds of public interest to oppose the participation of a cooperative which has its registered office in the United Kingdom in the formation in any EEA State of an SCE by merger.
(2) The competent authority must give the cooperative written notice of its decision, including the grounds for its opposition, before the issue of the certificate referred to in Article 29(2).
(3) The cooperative may not take part in the formation of the SCE following its receipt of a notice given in accordance with paragraph (2), subject to the determination of any appeal under regulation 25 against the competent authority's decision.
Publication of a proposal to convert into an SCE
7.
—(1) A cooperative which—
must send the competent authority a copy of each of the documents listed in paragraph (2) at least two months before the general meeting called to decide on the conversion.
(2) The documents referred to in paragraph (1) are—
(3) The cooperative must permit its members, creditors and holders of other rights in the cooperative—
free of charge at least one month before the general meeting.
(4) The cooperative must notify in writing—
of their entitlement under paragraph (3) in advance of it arising.
(5) At any time between the date on which—
every invoice, order for goods or business letter which is issued by or on behalf of the cooperative must contain a statement that the cooperative is proposing to convert into an SCE.
(c) a statutory declaration signed by—
(3) The statutory declaration referred to in paragraph (1)(c) must confirm compliance in respect of the SCE with—
Registration
10.
—(1) The competent authority must register an SCE if it is satisfied that—
(2) The competent authority may accept a statutory declaration made in accordance with regulation 9(1)(c) as sufficient evidence that the requirements—
are satisfied.
Provision of documents following registration
11.
An SCE must send the competent authority—
Cancellation of registration
12.
—(1) The competent authority must cancel the registration of an SCE—
(2) The competent authority may cancel the registration of an SCE at the request of the SCE.
Branches
13.
—(1) The Financial Services Authority must establish and maintain a register of any branch in Great Britain of an SCE which has its registered office in another EEA State.
(2) The Registrar of Credit Unions for Northern Ireland must establish and maintain a register of any branch in Northern Ireland of an SCE which has its registered office in another EEA State.
(3) An SCE which is registered in another EEA State must within one month of opening a branch in the United Kingdom send—
to the person who is required under paragraph (1) or (2) to register that branch (the "registrar").
(4) The list referred to in paragraph (3)(b) must include, in relation to each member of the competent organ—
(5) The following information is specified for the purposes of paragraph (3)(c)—
(6) The SCE must send the registrar—
(7) The SCE must send the registrar a copy of the information referred to in Article 68(1) within three months of its publication in the EEA State in which the SCE is registered.
(8) The SCE must send the registrar written notice of—
within one month of that event or decision.
(9) Where information required to be sent to the registrar in accordance with this regulation is in a language other than English, the SCE must also provide a translation in English of that information.
(10) In this regulation, "branch"—
Provision of a solvency statement
14.
—(1) The administrative organ (in a one-tier SCE) or the management organ (in a two-tier SCE) of an SCE which proposes to transfer its registered office to another EEA State must make a solvency statement in the terms set out in paragraph (4) in order to satisfy the competent authority that the interests of creditors and holders of other rights in respect of the SCE (including those of public bodies) have been adequately protected in respect of any liabilities arising, or that may arise, prior to the transfer.
(2) The solvency statement must be made by all of the members of the administrative organ or, as the case may be, the management organ.
(3) The management organ may not make a solvency statement unless that statement has been authorised by the supervisory organ.
(4) The solvency statement must state that the members of the administrative organ or, as the case may be, the management organ have formed the opinion that, for the twelve months immediately following the date on which the transfer is proposed to be made, the SCE will be able to carry on business as a going concern and will accordingly be able to pay its debts as they fall due.
(5) In forming their opinion for the purposes of paragraph (4), the members of the administrative organ or, as the case may be, the management organ must take into account—
to the question of whether a company is unable to pay its debts.
Additional forms of publication of a proposal to transfer a registered office
15.
—(1) An SCE which proposes to transfer its registered office to another EEA State must send the competent authority a copy of each of the documents listed in paragraph (2) at least two months before the general meeting called to decide on the transfer.
(2) The documents referred to in paragraph (1) are—
(3) The SCE must notify in writing—
of their entitlement under Article 7(4) to examine and obtain copies of the documents listed in paragraph (2)(a) and (b) in advance of it arising.
(4) At any time between the date on which—
every invoice, order for goods or business letter which is issued by or on behalf of the SCE must contain a statement that the SCE is proposing to transfer its registered office to another EEA State and identify that EEA State.
Power to oppose the transfer of a registered office
16.
—(1) The competent authority may decide to oppose the transfer of an SCE's registered office to another EEA State on grounds of public interest if the transfer would result in a change of the law applicable to the SCE.
(2) The competent authority must give the SCE written notice of its decision, including the grounds for its opposition, within two months of the publication of the draft transfer proposal.
(3) The SCE may not transfer its registered office to another EEA State following its receipt of a notice given in accordance with paragraph (2), subject to the determination of any appeal under regulation 25 against the competent authority's decision.
of an SCE is three.
Supervisory organ's power to require information
20.
In a two-tier SCE, any member of the supervisory organ may require the management organ to provide information that the supervisory organ needs to exercise supervision in accordance with Article 39(1).
Acts of competent organ which are outside the SCE's objects
21.
—(1) An SCE is not bound by the acts of its competent organ in relation to third parties where such acts are outside the objects of the SCE if the SCE proves that—
(2) Disclosure of the SCE's statutes is not of itself sufficient proof for the purposes of sub-paragraph (a) or (b) of paragraph (1).
Power to represent an SCE
22.
—(1) The statutes of an SCE may confer the power to represent the SCE on a single person or on two or more persons acting jointly.
(2) A provision included in the statutes of the SCE in accordance with paragraph (1) may be relied on as against third parties—
First general meeting of an SCE
23.
An SCE may hold its first general meeting at any time in the 18 months following the SCE's incorporation.
Sectorial or section meetings of an SCE
24.
The statutes of an SCE may provide for sectorial or section meetings if the SCE—
Appeals against competent authority's decision
25.
—(1) An SCE or a cooperative may appeal from a decision of the competent authority under regulation 6(1) or 16(1)—
(2) Any appeal under paragraph (1) must be brought within one month of the date of issue of the written notice of the competent authority's decision.
(3) On an appeal under paragraph (1), the High Court, the Court of Session or the High Court in Northern Ireland may vary or set aside the decision that is the subject of the appeal.
(3) The SCE must permit its members, creditors and holders of other rights in the SCE—
free of charge at least one month before the general meeting.
(4) The SCE must notify in writing—
of their entitlement under paragraph (3) in advance of it arising.
(5) At any time between the date on which—
every invoice, order for goods or business letter which is issued by or on behalf of the SCE must contain a statement that the SCE is proposing to convert into a cooperative.
Certification of assets
27.
The competent authority must approve the appointment by an SCE of an independent expert for the purpose of certifying under Article 76(5) that the SCE has assets at least equivalent to its capital.
Decision of the general meeting to convert into a cooperative
28.
The general meeting of an SCE may, pursuant to Article 76(6), approve the draft terms of conversion into a cooperative and the statutes of the cooperative if—
(3) All expenses and incidental costs of the inspection and report must be defrayed by—
in such proportions as the competent authority may direct.
(4) A person appointed under paragraph (1) may require members (including former members) of the SCE's competent organ and members, servants or agents (including former members, servants or agents) of the SCE to provide any relevant information or document (or part of a document).
(5) The competent authority must communicate the results of any inspection under this regulation to the applicants and the SCE.
Holding of an inquiry
31.
—(1) The competent authority may appoint a person to examine and report on the affairs of an SCE on the application of—
(2) An application under paragraph (1) must be supported by evidence which shows that the applicants have good reason for their application.
(3) Before taking any action under paragraph (1), the competent authority—
(4) All expenses and incidental costs of the inquiry and report must be defrayed by—
in such proportions as the competent authority may direct.
(5) A person appointed under paragraph (1) may require members (including former members) of the SCE's competent organ and members, servants or agents (including former members, servants or agents) of the SCE—
(6) The competent authority must communicate the results of any inquiry under this regulation to the applicants and the SCE.
(7) In the case of an SCE that has its registered office in Northern Ireland, the competent authority must obtain the consent of the Department of Enterprise, Trade and Investment before appointing a person under paragraph (1).
Power to give directions
32.
—(1) If it appears to the competent authority that the statutes of an SCE are in conflict with the arrangements for employee involvement it may direct the SCE to amend its statutes, within such period as may be specified in the direction, to the extent that is necessary to resolve that conflict.
(2) If it appears to the competent authority that an SCE is not in compliance with the requirements in Article 6, it may direct the SCE to regularise its situation in accordance with Article 73(2) within such period as may be specified in the direction.
(3) A direction under paragraph (1) or (2) is enforceable by the competent authority by an application—
Power to petition for winding up
33.
—(1) After section 124B[9] of the Insolvency Act 1986[10] insert—
the Authority may present a petition for the SCE to be wound up if the court thinks it is just and equitable for it to be so.
(2) Where, in the case of an SCE whose registered office is in Great Britain—
the Authority may present a petition for the SCE to be wound up if the court thinks it is just and equitable for it to be so.
(3) This section does not apply if the SCE is already being wound up by the court.
(4) In this section "SCE" has the same meaning as in the European Cooperative Society Regulation.".
(2) After subsection (4) of section 124 of the Insolvency Act 1986 insert—
(3) After Article 104B[11] of the Insolvency (Northern Ireland) Order 1989[12] (petition for winding up of an SE) insert—
the Registrar may present a petition for the SCE to be wound up if the court thinks it is just and equitable for it to be so.
(2) Where, in the case of an SCE whose registered office is in Northern Ireland—
the Registrar may present a petition for the SCE to be wound up if the court thinks it is just and equitable for it to be so.
(3) This Article does not apply if the SCE is already being wound up by the court.
(4) In this Article "SCE" has the same meaning as in the European Cooperative Society Regulation.".
(4) After paragraph (4) of Article 104 of the Insolvency (Northern Ireland) Order 1989 insert—
Offences in relation to the provision of information
34.
—(1) A person commits an offence if, in purported compliance with any requirement imposed by the EC Regulation or these Regulations, he—
(2) A person commits an offence if, knowing or suspecting that documents are or are likely to be requested under regulation 29, 30 or 31, he—
unless he shows that he did not intend to conceal facts disclosed by the document from the competent authority or any person appointed by the competent authority under regulation 30 or 31.
(3) A person commits an offence if without reasonable excuse he fails to comply with a requirement under the EC Regulation or these Regulations to provide information or produce documents.
(4) A person guilty of an offence under paragraph (1) or (2) is liable—
(5) A person guilty of an offence under paragraph (3) is liable on summary conviction to a fine not exceeding level 3 on the standard scale.
Offence in relation to solvency statements
35.
—(1) A person commits an offence if he makes a solvency statement under regulation 14 without having reasonable grounds for the opinion expressed in that statement.
(2) A person guilty of an offence under paragraph (1) is liable—
Offences in relation to an SCE's name and the use of the acronym "SCE"
36.
—(1) An SCE commits an offence if it fails to comply with the requirement in Article 10(1) to use the acronym "SCE" and the title "limited" where Article 1(2) applies and is liable on summary conviction to a fine not exceeding level 3 on the standard scale.
(2) A person commits an offence if he breaches Article 10(2) (subject to the provisions of Article 10(3)) and is liable on summary conviction to a fine not exceeding level 3 on the standard scale.
Offence in relation to operation as an SCE after cancellation of registration
37.
—(1) A person commits an offence if he knowingly or recklessly carries on the business of an SCE after that SCE's registration has been cancelled, unless the SCE was registered in another EEA State at the relevant time.
(2) A person guilty of an offence under this regulation is liable on summary conviction to a fine not exceeding level 5 on the standard scale.
Bodies corporate
38.
—(1) If an offence under these Regulations committed by a body corporate is shown—
the officer, as well as the body corporate, is guilty of the offence and liable to be proceeded against and punished accordingly.
(2) In this regulation "officer" means—
Public notice of certain information
40.
The competent authority must publish in the London, Edinburgh or Belfast Gazette notice of—
Electronic communications
41.
—(1) Any requirement imposed by or under the EC Regulation or these Regulations as to the giving by one person to another of a notice, document or information may be met by means of an electronic communication if the other person has consented to the notice, document or information being made available to him by such means.
(2) In this regulation, "electronic communication" has the meaning given—
Inspection and copies of records
42.
—(1) Any person may inspect any document sent to the competent authority under the EC Regulation or these Regulations and may require—
(2) A copy of a document provided by the competent authority under paragraph (1)(b) is admissible in legal proceedings—
(3) Before the competent authority allows any person to inspect any document or provides any person with a copy of any information or document (or part of a document) under this regulation, it may charge that person a reasonable fee.
(4) This regulation does not require the competent authority to provide any information or document (or part of any such document)—
Fees
43.
—(1) The competent authority may charge such fees in connection with the discharge of any of its functions under the EC Regulation or these Regulations as it considers will enable it to meet expenses incurred in carrying out its functions or for any incidental purpose.
(2) Any fee imposed in accordance with paragraph (1) which is owed to the competent authority is payable on demand.
(3) The power conferred by paragraph (1) may not be used to require a fee to be paid in respect of the discharge of any of the competent authority's functions under regulation 30, 31 or 42.
Alan Campbell
Dave Watts
Two of the Lords Commissioners of Her Majesty's Treasury
25th July 2006
[2] 1972 c.68. The enabling powers of section 2(2) of this Act were extended by virtue of the amendment of section 1(2) by section 1 of the European Economic Area Act 1993 (c.51). Council Regulation (EC) No 1435/2003 applies in the EEA by virtue of the EEA Joint Committee Decision No 15/2004 of 6th February 2004 (O.J. L.116, 22.4.2004, p.68).back
[3] O.J. L.207, 18.8.2003, p.1.back
[4] O.J. L.207, 18.8.2003, p.25.back
[5] O.J. L.395, 30.12.1989, p.36.back
[7] S.I. 1989/2405 (N.I. 19) as amended by S.R. 1992 No.405, S.I. 2002/3152 (N.I.16) and S.R. 2004 No.307.back
[9] Section 124B was inserted by S.I. 2004/2326.back
[11] Article 104B was inserted by S.R. 2004 No.417.back
[12] S.I. 1989/2405 (N.I. 19).back
[14] S.I. 1989/2404 (N.I. 18).back
[16] 2001 c.9 as amended by the Communications Act 2003 (c.21).back