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United Kingdom Statutory Instruments


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URL: http://www.bailii.org/uk/legis/num_reg/2007/20073287.html

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STATUTORY INSTRUMENTS


2007 No. 3287

PROCEEDS OF CRIME

The Proceeds of Crime Act 2002 (Business in the Regulated Sector and Supervisory Authorities) Order 2007

  Made 19th November 2007 
  Laid before Parliament 20th November 2007 
  Coming into force 15th December 2007 

The Treasury make the following Order in exercise of the powers conferred on them by section 459(2) of, and paragraph 5 of Schedule 9 to, the Proceeds of Crime Act 2002[1]:

Citation and commencement
     1. This Order may be cited as the Proceeds of Crime Act 2002 (Business in the Regulated Sector and Supervisory Authorities) Order 2007 and comes into force on 15th December 2007.

Amendment of Schedule 9 to the Proceeds of Crime Act 2002
    
2. For Parts 1 (regulated sector) and 2 (supervisory authorities) of Schedule 9 to the Proceeds of Crime Act 2002[2] substitute—



Transitional provision
    
3. Before the entry into force of Part 42 of the Companies Act 2006 (statutory auditors)—


Frank Roy

Alan Campbell
Two of the Lords Commissioners of Her Majesty's Treasury

19th November 2007



EXPLANATORY NOTE

(This note is not part of the Order)


This Order amends the meaning of a business in the regulated sector and the meaning of a supervisory authority for the purposes of Part 7 of the Proceeds of Crime Act 2002 (c.29) (money laundering) by substituting new Parts 1 and 2 of Schedule 9 to that Act. The new provisions implement in part Directive 2005/60/EC (OJ No L 309, 25.11.2005, p.15) of the European Parliament and of the Council on the prevention of the use of the financial system for the purpose of money laundering and terrorist financing ("the Directive"). A transposition note setting out how certain elements of the Directive will be transposed into UK law has been prepared jointly by the Treasury and the Home Office. The main elements of the Directive will be transposed into UK law by the Money Laundering Regulations 2007 (S.I. 2007/2157) and a separate transposition note has been prepared in relation to those Regulations. Copies of both transposition notes are available from the Financial Services Team, HM Treasury, 1 Horse Guards Road, London SW1A 2HQ.

The amendments to the meaning of a business in the regulated sector provided by the new Part 1 of Schedule 9 reflect the changes to the scope of the regulated sector made by the Directive. Two major changes are the expanded definition of a trust or company service provider and the exemption for financial activity on an occasional or very limited basis.

The amendments to the meaning of a supervisory authority provided by the new Part 2 of Schedule 9 reflect the requirement of the Directive for all sectors within its scope to be effectively monitored for compliance, and the provision made by the Directive for accountants, auditors, legal professionals and tax advisers to be monitored by a self-regulatory body.


Notes:

[1] 2002 c. 29.back

[2] Part 1 of Schedule 9 was substituted by S.I. 2003/3074 and subsequently amended by S.I.s 2006/2385, 2006/3221 and 2007/208 (with effect from 1 November 2007). Part 2 was amended by the Enterprise Act 2002 (c.40), section 2; S.I. 2003/3074; the Pensions Act 2004 (c.35), section 319(1), Sch 12, para 80; and the Gambling Act 2005 (c.19), section 356(1), Sch 16, Pt 2, para 19.back

[3] S.I. 2001/544.back

[4] 1968 c. 13.back

[5] 2006 c.46.back

[6] 1986 c. 45; s388 was amended by the Insolvency Act 2000, s4(1), (2)(a), (2)(b), 2(c); the Bankruptcy (Scotland) Act 1993, s11(1); and S.I. 1994/2421, 2002/1240, 2002/2708.back

[7] 1989 No. 2405 (NI 19); article 3 was amended by the Insolvency (Northern Ireland) Order 2002 No. 3152 (N.I. 6) article 6, and S.R. 1995/225, 2002/334, 2003/550, 2004/307.back

[8] 1979 c.38. Section 1 was amended by the Law Reform (Miscellaneous Provisions) (Scotland) Act 1985 (c.73), Schedule 1, Pt I, para 40, the Planning (Consequential Provisions) Act 1990 (c.11), Schedule 2, para. 42, the Planning (Consequential Provisions) (Scotland) Act 1997 (c.11), Schedule 2, para. 28. S.I. 1991/1220 and S.I. 2001/1283.back

[9] 2005 c.19.back

[10] OJ No L 96, 12.4.2003, p. 16.back

[11] OJ No L 345, 31.12.2003, p. 64.back

[12] OJ No L 390, 31.12.2004, p. 43.back

[13] 1965 c. 12. Section 6 was amended by the Housing (Consequential Provisions) Act 1985 (c.17), S.I. 1994/341 and S.I. 1997/627. Section 7(3) was amended by S.I. 1981/394.back

[14] 1969 c. 24 (N.I.).back

[15] S.I. 2001/1201. This Order was amended by S.I. 2001/3623, S.I. 2002/1310, S.I. 2003/47, S.I. 2003/1675, S.I. 2005/592, S.I.2005/2114, S.I.2005/3225, S.I. 2006/2383, S.I. 2007/125 and S.I. 2007/1821. Paragraphs 1, 24 and 24A exempt respectively the Bank of England, industrial and provident societies and credit unions within the meaning of the Credit Unions (Northern Ireland) Order 1985 (S.I. 1985/1205 (N.I.12) in respect of the activity of accepting deposits. Paragraph 39 exempts insolvency practitioners in respect of any regulated activity mentioned in Article 5(1). Paragraph 24A was inserted by S.I. 2001/3623.back

[16] 1986 c.60. This Act was repealed as from 1st December 2001 by S.I. 2001/3649, art.3(1)(c).back

[17] 2004 c. 34.back

[18] OJ No L 177, 30.6.2006, p. 1.back

[19] OJ No L 9, 15.1.2003, p. 3.back

[20] OJ No L 345, 19.12.2002, p.1.back

[21] OJ No L 145, 30.4.2004, p. 1., amended by directive 2006/31/EC (OJ No L 114, 27.4.06, p. 60).back

[22] 1989 c. 40.back

[23] 1990 No.593 (N.I. 5).back



ISBN 978 0 11 078999 6


 © Crown copyright 2007

Prepared 23 November 2007


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URL: http://www.bailii.org/uk/legis/num_reg/2007/20073287.html