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STATUTORY INSTRUMENTS


2005 No. 1967 (N.I. 17)

NORTHERN IRELAND

The Companies (Audit, Investigations and Community Enterprise) (Northern Ireland) Order 2005

  Made 19th July 2005 
  Coming into operation in accordance with Article 1(2)


ARRANGEMENT OF ORDER


PART I

INTRODUCTORY
1. Title and commencement
2. Interpretation

PART II

AUDITORS, ACCOUNTS, DIRECTORS' LIABILITIES AND INVESTIGATIONS

CHAPTER I

AUDITORS
Recognised supervisory bodies
3. Additional requirements for recognition of supervisory bodies
4. Arrangements to which additional requirements for recognition relate
Delegation of functions of Department in relation to auditors
5. Delegation of functions by Department to new or existing body
6. Circumstances in which the Department may delegate functions to existing body
7. Supplementary provisions about delegation orders
Auditors' qualifications
8. Approval of overseas qualifications for auditors
Services provided by auditors
9. Disclosure of services provided by auditors and related remuneration

CHAPTER II

ACCOUNTS AND REPORTS
Auditing of accounts
10. Auditors' rights to information
11. Statement in directors' report as to disclosure of information to auditors
Defective accounts
12. Persons authorised to apply to court in connection with defective accounts
13. Power of person authorised to require documents, information and explanations
Directors' reports
14. Power to specify bodies who may issue reporting standards
15. Application of provisions inserted by Article 13 to certain bodies
Bodies concerned with accounting standards etc.
16. Grants to bodies concerned with accounting standards etc.
17. Exemption from liability

CHAPTER III

DIRECTORS' LIABILITIES
18. Relaxation of prohibition on provisions protecting directors etc. from liability
19. Funding of director's expenditure on defending proceedings

CHAPTER IV

INVESTIGATIONS
20. Power to require documents and information
21. Protection in relation to certain disclosures
22. Power to enter and remain on premises
23. Failure to comply with certain requirements

CHAPTER V

MINOR AND CONSEQUENTIAL AMENDMENTS AND REPEALS
24. Minor and consequential amendments and repeals

PART III

COMMUNITY INTEREST COMPANIES
Introductory
25. Community interest companies
26. Regulator
27. Appeal Officer
28. Official Property Holder
Requirements
29. Cap on distributions and interest
30. Distribution of assets on winding up
31. Memorandum and articles
32. Names
33. Community interest company reports
34. Community interest test and excluded companies
Becoming a community interest company
35. New companies
36. Existing companies: requirements
37. Existing companies: decisions etc.
38. Existing companies: charities
Supervision by Regulator
39. Conditions for exercise of supervisory powers
40. Investigation
41. Audit
42. Civil proceedings
43. Appointment of director
44. Removal of director
45. Appointment of manager
46. Property
47. Transfer of shares etc.
48. Petition for winding up
49. Dissolution and striking off
Change of status
50. Re-registration
51. Ceasing to be a community interest company
52. Becoming a charity: requirements
53. Becoming a charity: decisions
54. Becoming an industrial and provident society
Supplementary
55. Fees
56. Extension of provisions about registrar etc.
57. Information
58. Orders made by Regulator
59. Regulations
60. Interpretation of Part III

SCHEDULES:

  Schedule 1 New Schedule 7B to the Companies (Northern Ireland) Order 1986

  Schedule 2 Minor and consequential amendments relating to Part II

  Schedule 3 Repeals

  Schedule 4 Regulator of Community Interest Companies for Northern Ireland

  Schedule 5 Appeal Officer for Community Interest Companies for Northern Ireland

  Schedule 6 Official Property Holder for Community Interest Companies for Northern Ireland

  Schedule 7 Community interest companies: names

  Schedule 8 Community interest companies: investigations

At the Court at Buckingham Palace, the 19th day of July 2005

Present,

The Queen's Most Excellent Majesty in Council

Whereas a draft of this Order in Council has been approved by resolution of each House of Parliament:

     Now, therefore, Her Majesty, in exercise of the powers conferred by paragraph 1(1) of the Schedule to the Northern Ireland Act 2000 (c.1) and of all other powers enabling Her in that behalf, is pleased, by and with the advice of Her Privy Council, to order, and it is hereby ordered, as follows:-



PART I

INTRODUCTORY

Title and commencement
    
1. —(1) This Order may be cited as the Companies (Audit, Investigations and Community Enterprise) (Northern Ireland) Order 2005.

    (2) Parts II, III and IV shall come into operation on such day or days as the Department may by order appoint.

    (3) An order under paragraph (2) may contain such transitional or saving provisions as the Department thinks necessary or expedient.

Interpretation
    
2. —(1) Subject to paragraph (2), the Interpretation Act (Northern Ireland) 1954 (c.33) applies to this Order as it applies to an Act of the Assembly.

    (2) For the purposes of this Order, section 20(2) of that Act applies as if—

    (3) In this Order—



PART II

AUDITORS, ACCOUNTS, DIRECTORS' LIABILITIES AND INVESTIGATIONS



CHAPTER I

AUDITORS

Recognised supervisory bodies

Additional requirements for recognition of supervisory bodies
    
3. —(1) Part II of Schedule 11 to the 1990 Order (requirements for recognition of supervisory bodies for purposes of provisions relating to company auditors) is amended as follows.

    (2) After paragraph 7(1) (body must have rules and practices for ensuring company audit work is carried out with integrity and without conflicts of interest) insert—

    (3) In paragraph 8 (body must have rules and practices as to the technical standards to be applied in company audit work), the existing provisions become sub-paragraph (1), and after that sub-paragraph insert—

    (4) After paragraph 10 insert—

    (5) After paragraph 12 insert—

Arrangements to which additional requirements for recognition relate
    
4. After Part II of Schedule 11 to the 1990 Order (which is amended by Article 3) insert—



Delegation of functions of Department in relation to auditors

Delegation of functions by Department to new or existing body
    
5. —(1) Article 48 of the 1990 Order (delegation of functions of Department) is amended as follows.

    (2) For paragraph (1) substitute—

    (3) In paragraph (2) (effect of delegation order on body established by it), for "established" substitute "designated".

    (4) For paragraph (6) substitute—

Circumstances in which the Department may delegate functions to existing body
    
6. After Article 48 of the 1990 Order (which is amended by Article 5) insert—

Supplementary provisions about delegation orders
    
7. —(1) Schedule 13 to the 1990 Order (supplementary provisions with respect to delegation orders) is amended as follows.

    (2) For paragraph 1 substitute—

    (3) In paragraph 10 (report and accounts)—

    (4) In paragraph 11 (other supplementary provisions), for "established" (in both places) substitute "designated".

    (5) After paragraph 12 insert—

Auditors' qualifications

Approval of overseas qualifications for auditors
    
8. —(1) Article 36 of the 1990 Order (approval of overseas qualifications) is amended as follows.

    (2) For paragraphs (1) and (2) substitute—

    (3) For paragraph (6) substitute—

Disclosure of services provided by auditors and related remuneration
    
9. —(1) For Article 398B of the 1986 Order (remuneration of auditors or their associates for non-audit work) substitute—

    (2) In Article 398A of the 1986 Order (remuneration of auditors)—

    (3) In paragraph 1(1) of Schedule 4A to that Order (form and contents of group accounts), omit "Article 398A(3) (amount of auditors' remuneration) and".



CHAPTER II

ACCOUNTS AND REPORTS

Auditing of accounts

Auditors' rights to information
    
10. For Article 397A of the 1986 Order (rights to information) substitute—

Statement in directors' report as to disclosure of information to auditors
    
11. —(1) Part VIII of the 1986 Order (accounts and audit) is amended as follows.

    (2) In Article 242 (duty to prepare directors' report), after paragraph (2) insert—

    (3) After Article 242 insert—

Defective accounts

Persons authorised to apply to court in connection with defective accounts
    
12. —(1) Article 253C of the 1986 Order (other persons authorised to apply to court) is amended as follows.

    (2) After paragraph (1) insert—

    (3) After paragraph (4) insert—

Power of person authorised to require documents, information and explanations
    
13. —(1) After Article 253E of the 1986 Order (restrictions on use and further disclosure of information disclosed under Article 253D) insert—

    (2) Schedule 1 (which inserts Schedule 7B in the 1986 Order) has effect.

Directors' reports

Power to specify bodies who may issue reporting standards
    
14. In Article 265 of the 1986 Order (power of Department to alter accounting requirements), after paragraph (4) insert—

Application of provisions inserted by Article 13 to certain bodies
    
15. —(1) Section 15 of the Companies (Audit, Investigations and Community Enterprise) Act 2004 (c.27) (application of certain provisions to bodies appointed under section 14 of that Act) is amended as follows.

    (2) In subsection (1) at the end add

    (3) After subsection (5) insert—

    (4) In subsection (6) after "subsection (5)" insert "and subsection (5B)".

Bodies concerned with accounting standards etc.

Grants to bodies concerned with accounting standards etc.
    
16. —(1) The Department may make grants to any body carrying on activities concerned with any of the matters set out in paragraph (2).

    (2) The matters are—

    (3) A grant may be made to a body within paragraph (1) in respect of any of its activities.

    (4) For the purposes of this Article—

    (5) In this Article—

and references to the members of professional accountancy bodies include persons who, although not members of such bodies, are subject to their rules in performing accountancy functions;

    (6) Omit Article 264(3) of the 1986 Order (grants to bodies concerned with issuing accounting standards etc.) which is superseded by this Article.

Exemption from liability
    
17. —(1) Where a grant has been paid by the Department to a body under Article 16, this Article prevents any liability in damages arising in respect of certain acts or omissions occurring during the period of 12 months beginning with the date on which the grant was paid.

    (2) In this Article—

    (3) Neither a relevant body, nor any person who is (or is acting as) a member, officer or member of staff of a relevant body, is to be liable in damages for anything done, or omitted to be done, during the exemption period for the purposes of or in connection with—

    (4) Paragraph (3) does not apply—



CHAPTER III

DIRECTORS' LIABILITIES

Relaxation of prohibition on provisions protecting directors etc. from liability
    
18. —(1) After Article 317 of the 1986 Order (directors to have regard to interests of employees) insert—

    (2) In Article 318 of that Order (provisions exempting officers and auditors from liability), the following provisions cease to have effect—

Funding of director's expenditure on defending proceedings
    
19. After Article 345 of the 1986 Order (funding of director's expenditure on duty to company) insert—



CHAPTER IV

INVESTIGATIONS

Power to require documents and information
    
20. For Article 440 of the 1986 Order (Department's power to require production of documents) substitute—

Protection in relation to certain disclosures
    
21. After Article 441 of the 1986 Order (entry and search of premises) insert—

Power to enter and remain on premises
    
22. After Article 446 of the 1986 Order (investigation of bodies incorporated outside Northern Ireland) insert—

Failure to comply with certain requirements
    
23. After Article 446B of the 1986 Order (inserted by Article 22) insert—



CHAPTER V

MINOR AND CONSEQUENTIAL AMENDMENTS AND REPEALS

Minor and consequential amendments and repeals
    
24. —(1) Schedule 2 (minor and consequential amendments relating to this Part) has effect.

    (2) Schedule 3 (repeals relating to this Part) has effect.



PART III

COMMUNITY INTEREST COMPANIES

Introductory

Community interest companies
    
25. —(1) There is to be a new type of company to be known as the community interest company.

    (2) In accordance with this Part—

    (3) A community interest company established for charitable purposes is to be treated as not being so established and accordingly is not a charity.

Regulator
    
26. —(1) There is to be an officer known as the Regulator of Community Interest Companies for Northern Ireland (referred to in this Part as "the Regulator").

    (2) The Department must appoint a person to be the Regulator.

    (3) The Regulator has such functions relating to community interest companies as are conferred or imposed by or under this Order or any other statutory provision.

    (4) The Regulator must adopt an approach to the discharge of those functions which is based on good regulatory practice, that is an approach adopted having regard to—

    (5) The Regulator may issue guidance, or otherwise provide assistance, about any matter relating to community interest companies.

    (6) The Department may require the Regulator to issue guidance or otherwise provide assistance about any matter relating to community interest companies which is specified by the Department.

    (7) Any guidance issued under this Article must be such that it is readily accessible to, and capable of being easily understood by, those at whom it is aimed; and any other assistance provided under this Article must be provided in the manner which the Regulator considers is most likely to be helpful to those to whom it is provided.

    (8) Schedule 4 (further provisions about the Regulator) has effect.

Appeal Officer
    
27. —(1) There is to be an officer known as the Appeal Officer for Community Interest Companies for Northern Ireland (referred to in this Part as "the Appeal Officer").

    (2) The Department must appoint a person to be the Appeal Officer.

    (3) The Appeal Officer has the function of determining appeals against decisions and orders of the Regulator which under this Order or any other statutory provision lie to the Appeal Officer.

    (4) An appeal to the Appeal Officer against a decision or order of the Regulator may be brought on the ground that the Regulator made a material error of law or fact.

    (5) On such an appeal the Appeal Officer must—

    (6) Where a case is remitted the Regulator must reconsider it in accordance with any rulings of law and findings of fact made by the Appeal Officer.

    (7) Schedule 5 (further provisions about the Appeal Officer) has effect.

Official Property Holder
    
28. —(1) There is to be an officer known as the Official Property Holder for Community Interest Companies for Northern Ireland (referred to in this Part as "the Official Property Holder").

    (2) The Regulator must appoint a member of the Regulator's staff to be the Official Property Holder.

    (3) The Official Property Holder has such functions relating to property of community interest companies as are conferred or imposed by or under this Order or any other statutory provision.

    (4) Schedule 6 (further provisions about the Official Property Holder) has effect.

Requirements

Cap on distributions and interest
    
29. —(1) Community interest companies must not distribute assets to their members unless regulations make provision authorising them to do so.

    (2) If regulations authorise community interest companies to distribute assets to their members, the regulations may impose limits on the extent to which they may do so.

    (3) Regulations may impose limits on the payment of interest on debentures issued by, or debts of, community interest companies.

    (4) Regulations under this Article may make provision for limits to be set by the Regulator.

    (5) The Regulator—

    (6) The Regulator must (in accordance with Article 26)—

    (7) Regulations under this Article may include power for the Department to require the Regulator to review a limit or limits.

    (8) Where the Regulator sets a limit he must publish notice of it in the Belfast Gazette.

Distribution of assets on winding up
    
30. —(1) Regulations may make provision for and in connection with the distribution, on the winding up of a community interest company, of any assets of the company which remain after satisfaction of the company's liabilities.

    (2) The regulations may, in particular, amend or modify the operation of any statutory provision.

Memorandum and articles
    
31. —(1) The memorandum of a community interest company must state that the company is to be a community interest company.

    (2) Article 18(1) of the 1986 Order (articles) applies in relation to a community interest company limited by shares as if it were a company limited by guarantee (so that articles must be registered).

    (3) The memorandum and articles of a community interest company of any description—

    (4) The provisions required by regulations under paragraph (3)(a) to be included in the memorandum or articles of a community interest company may (in particular) include—

    (5) The memorandum and articles of a community interest company are of no effect to the extent that they—

    (6) Regulations may make provision for and in connection with restricting the ability of a community interest company under Article 15 of the 1986 Order to alter its memorandum with respect to the statement of its objects.

Names
    
32. —(1) The name of a community interest company which is not a public company must end with—

    (2) The name of a community interest company which is a public company must end with—

    (3) Article 35 of the 1986 Order (company name to end with "public limited company" or "limited") does not apply to community interest companies.

    (4) Schedule 7 (further provisions about names) has effect.

Community interest company reports
    
33. —(1) The directors of a community interest company must prepare in respect of each financial year a report about the company's activities during the financial year (a "community interest company report").

    (2) Article 250(1) of the 1986 Order is to be treated as requiring the directors of a community interest company to deliver to the registrar of companies a copy of the community interest company report.

    (3) Regulations—

    (4) The registrar of companies must forward to the Regulator a copy of each community interest company report delivered to the registrar under this Article.

Community interest test and excluded companies
    
34. —(1) This Article has effect for the purposes of this Part.

    (2) A company satisfies the community interest test if a reasonable person might consider that its activities are being carried on for the benefit of the community.

    (3) An object stated in the memorandum of a company is a community interest object of the company if a reasonable person might consider that the carrying on of activities by the company in furtherance of the object is for the benefit of the community.

    (4) Regulations may provide that activities of a description prescribed by the regulations are to be treated as being, or as not being, activities which a reasonable person might consider are activities carried on for the benefit of the community.

    (5) "Community" includes a section of the community (whether in Northern Ireland or anywhere else); and regulations may make provision about what does, does not or may constitute a section of the community.

    (6) A company is an excluded company if it is a company of a description prescribed by regulations.

Becoming a community interest company

New companies
    
35. —(1) If a company is to be formed as a community interest company, the documents delivered to the registrar of companies under Article 21 of the 1986 Order (memorandum, articles and statement of names and particulars of directors and secretary) must be accompanied by the prescribed formation documents.

    (2) "The prescribed formation documents" means such statutory declarations or other declarations or statements as are required by regulations to accompany the documents delivered under that Article, in such form as may be approved in accordance with the regulations.

    (3) On receiving the documents delivered under that Article and the prescribed formation documents the registrar of companies must (instead of registering the memorandum and articles)—

    (4) The Regulator must decide whether the company is eligible to be formed as a community interest company.

    (5) A company is eligible to be formed as a community interest company if—

    (6) The Regulator must give notice of the decision to the registrar of companies (but the registrar is not required to record it).

    (7) If the Regulator gives notice of a decision that the company is eligible to be formed as a community interest company, Article 23 of the 1986 Order (registration of memorandum and articles) applies; and if the registrar registers the memorandum and articles he must also retain and record the prescribed formation documents.

    (8) The certificate of incorporation under Article 24 of the 1986 Order (effect of registration) is to contain a statement that the company is a community interest company.

    (9) The fact that the certificate of incorporation contains such a statement is conclusive evidence that the company is a community interest company.

    (10) If the Regulator decides that the company is not eligible to be formed as a community interest company, any subscriber to the memorandum may appeal to the Appeal Officer against the decision.

Existing companies: requirements
    
36. —(1) If a company is to become a community interest company, the company must by special resolutions under the 1986 Order—

    (2) Article 388(1) of the 1986 Order (forwarding of copies of special resolutions to registrar of companies) must be complied with in relation to each of the special resolutions at the same time.

    (3) If the special resolutions include one under Article 15 or 28 of the 1986 Order (alterations of memorandum)—

    (4) If an application is made under Article 16 of the 1986 Order (objection to alteration of memorandum under Article 15 or 28), the relevant date is—

    (5) If there is no application under Article 16 of that Order, the relevant date is the end of the period for making such an application.

    (6) The copies of the special resolutions forwarded to the registrar of companies must be accompanied by—

    (7) "The prescribed conversion documents" means such statutory declarations or other declarations or statements as are required by regulations to accompany the copies of the special resolutions, in such form as may be approved in accordance with the regulations.

Existing companies: decisions etc.
    
37. —(1) On receiving under Article 36 the copies of the special resolutions, the memorandum and articles as altered by the special resolutions and the prescribed conversion documents, the registrar of companies must (instead of recording the special resolutions and entering a new name on the register)—

    (2) The alterations of the memorandum and articles made by the special resolutions are to take effect only as provided by this Article.

    (3) The Regulator must decide whether the company is eligible to become a community interest company.

    (4) A company is eligible to become a community interest company if—

    (5) The Regulator must give notice of the decision to the registrar of companies (but the registrar is not required to record it).

    (6) If the Regulator gives notice of a decision that the company is eligible to become a community interest company, Article 38(6) of the 1986 Order (registration of new name) applies; and if the registrar of companies enters the new name of the company on the register the registrar must also retain and record the special resolutions and the prescribed conversion documents.

    (7) On the special resolutions being recorded, the alterations to the company's articles and memorandum made by the special resolutions take effect.

    (8) The certificate of incorporation under Article 38(6) of the 1986 Order is to contain a statement that the company is a community interest company.

    (9) The fact that the certificate of incorporation contains such a statement is conclusive evidence that the company is a community interest company.

    (10) If the Regulator decides that the company is not eligible to become a community interest company, the company may appeal to the Appeal Officer against the decision.

Existing companies: charities
    
38. —(1) A charitable company may not become a community interest company.

    (2) If a charitable company purports by special resolution to change its name to comply with Article 32, the Commissioners of Her Majesty's Revenue and Customs may apply to the High Court for an order quashing any altered certificate of incorporation issued under Article 38(6) of the 1986 Order.

Supervision by Regulator

Conditions for exercise of supervisory powers
    
39. —(1) In deciding whether and how to exercise the powers conferred by Articles 40 to 49 the Regulator must adopt an approach which is based on the principle that those powers should be exercised only to the extent necessary to maintain confidence in community interest companies.

    (2) No power conferred on the Regulator by—

is exercisable in relation to a community interest company unless the company default condition is satisfied in relation to the power and the company.

    (3) The company default condition is satisfied in relation to a power and a company if it appears to the Regulator necessary to exercise the power in relation to the company because—

    (4) The power conferred on the Regulator by Article 47 (transfer of shares etc.) is not exercisable in relation to a community interest company unless it appears to the Regulator that the company is an excluded company.

Investigation
    
40. —(1) The Regulator may—

    (2) Paragraph (1)(b) is in addition to paragraph 4 of Schedule 4 (powers of Regulator exercisable by authorised members of staff) and does not affect the application of that paragraph to the Regulator's power under paragraph (1)(a).

    (3) Schedule 8 (further provision about investigations under this Article) has effect.

Audit
    
41. —(1) The Regulator may by order require a community interest company to allow the annual accounts of the company to be audited by a qualified auditor appointed by the Regulator.

    (2) A person is a qualified auditor if he is eligible for appointment as a company auditor under Article 28 of the Companies (Northern Ireland) Order 1990 (NI 5) (eligibility for appointment as auditor).

    (3) Articles 397A and 397B of the 1986 Order (auditor's rights to information) apply in relation to an auditor appointed under this Article as in relation to an auditor appointed under Chapter V of Part XII of that Order.

    (4) On completion of the audit the auditor must make a report to the Regulator on such matters and in such form as the Regulator specifies.

    (5) The expenses of the audit, including the remuneration of the auditor, are to be paid by the Regulator.

    (6) An audit under this Article is in addition to, and does not affect, any audit required by or under any other statutory provision.

Civil proceedings
    
42. —(1) The Regulator may bring civil proceedings in the name and on behalf of a community interest company.

    (2) Before instituting proceedings under this Article the Regulator must give written notice to the company stating—

    (3) Any director of the company may apply to the court for an order—

    (4) On an application under paragraph (3) the court may make such order as it thinks fit.

    (5) In particular the court may (as an alternative to ordering that proposed proceedings are not to be instituted under this Article or that proceedings instituted under this Article are to be discontinued) order—

    (6) The Regulator must indemnify the company against any costs incurred by it in connection with proceedings brought under this Article.

    (7) Any costs—

are to be paid to the Regulator.

Appointment of director
    
43. —(1) The Regulator may by order appoint a director of a community interest company.

    (2) The person appointed may be anyone whom the Regulator thinks appropriate, other than a member of the Regulator's staff.

    (3) A person may be appointed as a director of a company under this Article—

    (4) An order appointing a person to be a director of a company under this Article must specify the terms on which the director is to hold office; and those terms have effect as if contained in a contract between the director and the company.

    (5) The terms specified must include the period for which the director is to hold office, and may include terms as to the remuneration of the director by the company.

    (6) A director appointed under this Article has all the powers of the directors appointed by the company (including powers exercisable only by a particular director or class of directors).

    (7) A director appointed under this Article may not be removed by the company, but may be removed by the Regulator at any time.

    (8) Where—

the obligation which would otherwise be imposed on the company under Article 296(2) of the 1986 Order (requirement that company notify change among directors to registrar) is instead an obligation of the Regulator.

    (9) But if paragraph (10) applies, Article 296(2) applies as if the period within which the Regulator must send a notification to the registrar of companies is 14 days from the date on which the Regulator receives notification under that paragraph.

    (10) Where a person appointed to be a director of the company under this Article ceases to be a director of the company (otherwise than by removal under paragraph (7)), the company must give notification of that fact to the Regulator in a form approved by the Regulator before the end of the period of 14 days beginning with the date on which the person ceases to be a director.

    (11) If the company fails to comply with paragraph (10) it commits an offence.

    (12) A person guilty of an offence under paragraph (11) is liable on summary conviction to a fine not exceeding level 5 on the standard scale.

    (13) The company may appeal to the Appeal Officer against an order under this Article.

Removal of director
    
44. —(1) The Regulator may by order remove a director of a community interest company.

    (2) If a person has been removed under paragraph (1)—

    (3) The Regulator may by order suspend a director of the company pending a decision whether to remove him.

    (4) The maximum period for which a director may be suspended under paragraph (3) is one year.

    (5) If the Regulator suspends a director under paragraph (3) the Regulator may give directions in relation to the performance of the director's functions.

    (6) The Regulator may discharge an order made under paragraph (1).

    (7) The discharge of an order made under paragraph (1) does not reinstate the person removed by the order as a director of the company, but on the discharge of the order paragraph (2) ceases to apply to the person.

    (8) The Regulator must from time to time review any order made under paragraph (3) and, if it is appropriate to do so, discharge the order.

    (9) Before making an order under paragraph (1) or (3) in relation to a director, the Regulator must give at least 14 days' notice to—

    (10) Where an order is made in relation to a director under paragraph (1) or (3) the director may appeal against the order to the High Court.

    (11) The Regulator must, before the end of the period of 14 days beginning with the date on which—

give notification of that event to the registrar of companies in a form approved by the registrar of companies.

    (12) Where paragraph (11) imposes an obligation to notify the registrar of companies of an event, Article 296(2) of the 1986 Order (requirement that company notify change among directors to registrar) does not apply in respect of the event.

Appointment of manager
    
45. —(1) The Regulator may by order appoint a manager in respect of the property and affairs of a community interest company.

    (2) The person appointed may be anyone whom the Regulator thinks appropriate, other than a member of the Regulator's staff.

    (3) An order under paragraph (1) may make provision as to the functions to be exercised by, and the powers of, the manager.

    (4) The order may in particular provide—

    (5) In carrying out his functions the manager acts as the company's agent; and a person dealing with the manager in good faith and for value need not inquire whether the manager is acting within his powers.

    (6) The appointment of the manager does not affect—

    (7) The manager's functions are to be discharged by him under the supervision of the Regulator; and the Regulator must from time to time review the order by which the manager is appointed and, if it is appropriate to do so, discharge it in whole or in part.

    (8) In particular, the Regulator must discharge the order on the appointment of a person to act as administrative receiver, administrator, provisional liquidator or liquidator of the company.

    (9) The Regulator may apply to the court for directions in relation to any matter arising in connection with the manager's functions or powers.

    (10) On an application under paragraph (9) the court may give such directions or make such orders as it thinks fit.

    (11) The costs of any application under paragraph (9) are to be paid by the company.

    (12) Regulations may authorise the Regulator—

    (13) Regulations may—

    (14) The company may appeal to the Appeal Officer against an order under this Article.

Property
    
46. —(1) The Regulator may by order—

    (2) The Regulator—

    (3) The Regulator may by order restrict—

and the order may in particular provide that transactions may not be entered into or payments made without the Regulator's consent.

    (4) The vesting or transfer of property under paragraph (1) does not constitute a breach of a covenant or condition against alienation, and no right listed in paragraph (5) operates or becomes exercisable as a result of the vesting or transfer.

    (5) The rights are—

    (6) The Regulator must from time to time review any order under this Article and, if it is appropriate to do so, discharge the order in whole or in part.

    (7) On discharging an order under paragraph (1) the Regulator may make any order as to the vesting or transfer of the property, and give any directions, which he considers appropriate.

    (8) If a person fails to comply with an order under paragraph (1)(b), the Regulator may certify that fact in writing to the court.

    (9) If, after hearing—

the court is satisfied that the offender failed without reasonable excuse to comply with the order, it may deal with him as if he had been guilty of contempt of the court.

    (10) A person who contravenes an order under paragraph (2) or (3) commits an offence, but a prosecution may be instituted only with the consent of the Regulator or the Director of Public Prosecutions for Northern Ireland.

    (11) A person guilty of an offence under paragraph (10) is liable on summary conviction to a fine not exceeding level 5 on the standard scale.

    (12) Paragraphs (8) to (10) do not prevent the bringing of civil proceedings in respect of a contravention of an order under paragraph (1)(b), (2) or (3).

    (13) The company and any person to whom the order is directed may appeal to the Appeal Officer against an order under paragraph (1) or (2).

    (14) The company may appeal to the Appeal Officer against an order under paragraph (3).

Transfer of shares etc.
    
47. —(1) If a community interest company has a share capital, the Regulator may by order transfer specified shares in the company to specified persons.

    (2) If a community interest company is a company limited by guarantee, the Regulator may by order—

    (3) An order under paragraph (1) may not transfer any shares in respect of which—

    (4) An order under this Article in relation to a company—

    (5) The company and any person from whom shares are transferred by the order may appeal to the Appeal Officer against an order under paragraph (1).

    (6) The company and any person whose interest is extinguished by the order may appeal to the Appeal Officer against an order under paragraph (2).

    (7) "Specified", in relation to an order, means specified in the order.

Petition for winding up
    
48. —(1) The Regulator may present a petition for a community interest company to be wound up if the court is of the opinion that it is just and equitable that the company should be wound up.

    (2) Paragraph (1) does not apply if the company is already being wound up by the court.

    (3) In Article 104 of the Insolvency (Northern Ireland) Order 1989 (NI 19) (application for winding up), after paragraph (5) insert—

Dissolution and striking off
    
49. —(1) If a community interest company has been dissolved, the Regulator may apply under Article 602 of the 1986 Order for an order declaring the dissolution to have been void.

    (2) If a community interest company has been struck off the register under Article 603 of the 1986 Order (defunct companies), the Regulator may apply under Article 604(2) of that Order for an order that the company's name be restored.

    (3) If an application under Article 603A of the 1986 Order (application to strike name of private company off register) is made on behalf of a community interest company, Article 603B(6) of that Order (persons to be notified of application) is to be treated as also requiring a copy of the application to be given to the Regulator.

Change of status

Re-registration
    
50. —(1) A community interest company is excluded from re-registering under Article 59 of the 1986 Order (re-registration of limited company as unlimited).

    (2) If a community interest company which is not a public company re-registers as a public company under Article 53 of the 1986 Order, or a community interest company which is a public company re-registers as a private company under Article 63 of that Order, the certificate of incorporation issued under Article 57(1)(b) or 65(1)(b) of that Order is to contain a statement that the company is a community interest company.

    (3) The fact that the certificate of incorporation contains such a statement is conclusive evidence that the company is a community interest company.

Ceasing to be a community interest company
    
51. A community interest company may not cease to be a community interest company except by dissolution or as provided—

Becoming a charity: requirements
    
52. —(1) If a community interest company is to cease being a community interest company and become a charity the company must by special resolutions under the 1986 Order—

    (2) Article 388(1) of the 1986 Order (forwarding of copies of special resolutions to registrar of companies) must be complied with in relation to each of the special resolutions at the same time.

    (3) If the special resolutions include one under Article 15 or 28 of the 1986 Order (alterations of memorandum)—

    (4) If an application is made under Article 16 of the 1986 Order (objection to alteration of memorandum under Article 15 or 28), the relevant date is—

    (5) If there is no application under Article 16 of that Order, the relevant date is the end of the period for making such an application.

    (6) The copies of the special resolutions forwarded to the registrar of companies must be accompanied by—

Becoming a charity: decisions
    
53. —(1) On receiving under Article 52 the copies of the special resolutions, the memorandum and articles as altered by the special resolutions and the statement, the registrar must (instead of recording the special resolutions and entering a new name on the register)—

    (2) The alterations of the memorandum and articles made by the special resolutions are to take effect only as provided by this Article.

    (3) The Regulator must decide whether the company is eligible to cease being a community interest company.

    (4) The company is eligible to cease being a community interest company if it has complied with Article 52 and none of the following applies—

    (5) The Regulator must give notice of the decision to the registrar of companies (but the registrar is not required to record it).

    (6) If the Regulator gives notice of a decision that the company is eligible to cease being a community interest company, Article 38(6) of the 1986 Order (registration of new name) applies; and if the registrar of companies enters the new name of the company on the register he must also retain and record the special resolutions and the statement.

    (7) On the date on which the certificate of incorporation is issued the alterations to the company's articles and memorandum made by the special resolutions take effect and the company ceases to be a community interest company.

    (8) If the Regulator decides that the company is not eligible to cease being a community interest company, the company may appeal to the Appeal Officer against the decision.

Becoming an industrial and provident society
    
54. —(1) Unless regulations make provision to the contrary, a community interest company may not convert itself into a registered society under section 62 of the Industrial and Provident Societies Act (Northern Ireland) 1969 (c. 24).

    (2) If regulations make provision allowing the conversion of community interest companies under that section they may include provision modifying that section in its application by virtue of the regulations.

Supplementary

Fees
    
55. —(1) Regulations may require the payment of such fees in connection with the Regulator's functions as may be specified in the regulations.

    (2) The regulations may provide for fees to be paid to the registrar of companies (rather than to the Regulator).

    (3) The Regulator may charge a fee for any service which is provided otherwise than in pursuance of an obligation imposed by law, other than the provision of guidance which the Regulator considers to be of general interest.

    (4) Fees paid by virtue of this Article are to be paid into the Consolidated Fund.

Extension of provisions about registrar etc.
    
56. Regulations may make amendments or modifications of any provision contained in—

in consequence of any provision contained in, or made under, this Part (in particular, so as to provide that references to the Companies Orders are to include provisions contained in, or made under, this Part).

Information
    
57. —(1) Regulations may require the registrar of companies—

    (2) A public authority may disclose to the Regulator, for any purpose connected with the exercise of the Regulator's functions, information received by the authority in connection with its functions.

    (3) The Regulator may disclose to a public authority any information received by the Regulator in connection with the functions of the Regulator—

    (4) In deciding whether to disclose information to a public authority in a country or territory outside the United Kingdom the Regulator must have regard to the considerations listed in section 243(6) of the Enterprise Act 2002 (c. 40) (overseas disclosures), but as if the reference to information of a kind to which section 237 of that Act applies were to information of the kind the Regulator is considering disclosing.

    (5) The powers to disclose information in paragraphs (2) and (3) are subject to—

    (6) Information may be disclosed under paragraph (2) or (3) subject to a restriction on its further disclosure.

    (7) A person who discloses information in contravention of a restriction imposed under paragraph (6) is guilty of an offence, but a prosecution may be instituted only with the consent of the Regulator or the Director of Public Prosecutions for Northern Ireland.

    (8) A person guilty of an offence under paragraph (7) is liable on summary conviction to a fine not exceeding level 3 on the standard scale.

    (9) In this Article "public authority" means a person or body having functions of a public nature.

Orders made by Regulator
    
58. —(1) An order made by the Regulator under this Part must be given to the community interest company in relation to which it is made and—

    (2) Orders made by the Regulator under this Part may contain any incidental or supplementary provisions the Regulator considers expedient.

    (3) When discharging an order made under this Part, the Regulator may make savings and transitional provisions.

    (4) A document certified by the Regulator to be a true copy of an order made by the Regulator is evidence of the order without further proof; and a document purporting to be so certified shall, unless the contrary is proved, be taken to be so certified.

    (5) Where the Regulator makes an order or decision against which an appeal lies under this Part, the Regulator must give reasons for the order or decision to the persons entitled to appeal against it.

Regulations
    
59. —(1) Any power to make regulations under this Part is exercisable by the Department.

    (2) Regulations under this Part may confer or impose functions on the Regulator or any other person specified in the regulations (and, unless made under paragraph 4 of Schedule 5, may provide for appeals to the Appeal Officer from a person on whom functions are conferred by the regulations).

    (3) No regulations to which this paragraph applies are to be made unless a draft of the regulations has been laid before, and approved by a resolution of, the Assembly.

    (4) Paragraph (3) applies to regulations made under (or containing provision made under)—

    (5) Regulations under this Part are (unless a draft of them has been approved by the Assembly under paragraph (3)) subject to negative resolution.

Interpretation of Part III
    
60. —(1) In this Part—

    (2) Any expression used in this Part and in the 1986 Order has the same meaning in this Part as in that Order.


A.K. Galloway
Clerk of the Privy Council


SCHEDULES


SCHEDULE 1
Article 13


NEW SCHEDULE 7B TO THE COMPANIES (NORTHERN IRELAND) ORDER 1986


In the 1986 Order, after Schedule 7A insert—





SCHEDULE 2
Article 24


MINOR AND CONSEQUENTIAL AMENDMENTS RELATING TO PART II




PART I

AMENDMENTS RELATING TO AUDITORS

Companies (Northern Ireland) Order 1990 (NI 5)

     1. The 1990 Order has effect subject to the following amendments.

     2. In Article 33(5), for "Parts I and II" substitute "Parts I, II and III".

     3. In Articles 42(1)(a) and 49(3)(c), for "established" substitute "designated".



PART II

AMENDMENTS RELATING TO ACCOUNTS AND REPORTS

Companies (Northern Ireland) Order 1986 (NI 6)

     4. The 1986 Order has effect subject to the following amendments.

     5. In Article 257E(2)(d) (rights to information)—

     6. In Article 680(1) and (2)(a) (prosecution by public authorities), after "253E," insert "253G,".

     7. In Article 680A(1) (offences by body corporate), after "253E(3)" insert ", 253G(7)".

     8. In Article 680B(1) (criminal proceedings against unincorporated bodies)—

     9. —(1) Schedule 23 (punishment of offences) is amended as follows.

    (2) After the entry relating to Article 242(5) insert—

"242ZA(6) Making a statement in a directors' report as mentioned in Article 242ZA(2) which is false.      1. On indictment.

     2. Summary.

2 years or a fine; or both.

6 months or the statutory maximum; or both.".






PART III

AMENDMENTS RELATING TO INVESTIGATIONS

Companies (Northern Ireland) Order 1986 (NI 6)

     10. The 1986 Order has effect subject to the following amendments.

     11. After Article 440 (Department's power to require production of documents) insert—

     12. For Article 442 (provision for security of information obtained) substitute—

     13. For Article 444 (punishment for furnishing false information) substitute—

     14. —(1) Article 444A (disclosure of information by Department or inspector) is amended as follows.

    (2) For paragraph (1) substitute—

    (3) After paragraph (5) insert—

     15. In Article 445 (privileged information)—

     16. In Article 680 (prosecution by public authorities)—

     17. In Article 680A (offences by bodies corporate)—

     18. In Article 680B(1) (criminal proceedings against unincorporated bodies), for "440 to 444" substitute "441, 442 to 444 or Article 446A".

     19. After Schedule 15B insert—



     20. —(1) Schedule 23 (punishment of offences) is amended as follows.




Insolvency (Northern Ireland) Order 1989 (NI 19)

     21. In Article 104A(1)(a) of the Insolvency (Northern Ireland) Order 1989 (NI 19) (petition for winding up on grounds of public interest), after "Part XV" insert "(except Article 441A)".

Companies Act 1989 (c. 40)

     22. In the table in section 87(4) of the Companies Act 1989 (c. 40) (exceptions from restrictions on disclosure), after the entry relating to the Regulator of Community Interest Companies insert—


Criminal Justice and Police Act 2001 (c. 16)

     23. In paragraph 17 of Schedule 2 to the Criminal Justice and Police Act 2001 (c. 16) (amendments of Articles 427 and 440 of the Companies (Northern Ireland) Order 1986 (NI 6)), for "Articles 427(6) and 440(9)" substitute "Article 427(6)".

Anti-terrorism, Crime and Security Act 2001 (c. 24)

     24. In paragraph 59 of Schedule 4 to the Anti-terrorism, Crime and Security Act 2001 (c. 24) (enactments to which section 17 of that Act applies), for "442(1)" substitute "442".

Company Directors Disqualification (Northern Ireland) Order 2002 (NI 4)

     25. In Article 11(2)(b)(i) of the Company Directors Disqualification (Northern Ireland) Order 2002 (NI 4) (disqualification after investigation of a company), for "or 441" substitute ", 441 or 446A".



SCHEDULE 3
Article 24


REPEALS


Short Title Extent of repeal
The Companies (Northern Ireland) Order 1986 (NI 6). Article 253C(6).

Article 264(3).

In Article 318(1), the words "any officer of the company or".

In Article 318(3) the words "officer or" (in both places) and the words from "Article 154(3)" to "nominee) or".

Article 398A(3).

In Article 680B(1), the words "Article 397A(3),".

In Schedule 4A, in paragraph 1(1), the words "Article 398A(3) (amount of auditors' remuneration) and".

In Schedule 23, the entry relating to Article 440(6).

The Companies (Northern Ireland) Order 1989 (NI 18). In Schedule 4, paragraph 4.
The Companies (Northern Ireland) Order 1990 (NI 5). Article 50(3).
The Companies (No. 2) (Northern Ireland) Order 1990 (NI 10). Article 11.

Article 13.

Article 15.

Article 17(2) and (4).

Article 55(2).

The Friendly Societies Act 1992 (c. 40). In Schedule 21, paragraph 30.
The Criminal Justice Act 1993 (c. 36). In Schedule 5, paragraph 19(1) and (2).
The Pensions (Northern Ireland) Order 1995 (NI 22). In Schedule 1, paragraph 10.
The Bank of England Act 1998 (c. 11). In Schedule 5, paragraph 63.
The Youth Justice and Criminal Evidence Act 1999 (c. 23). In Schedule 3, paragraph 15.
The Company Directors Disqualification (Northern Ireland) Order 2002 (NI 4). In Schedule 3, paragraph 5.



SCHEDULE 4
Article 26


REGULATOR OF COMMUNITY INTEREST COMPANIES FOR NORTHERN IRELAND


Regulator's terms of appointment

     1. —(1) The period for which a person is appointed as Regulator must not exceed five years.

    (2) A person who has held office as Regulator may be re-appointed, once only, for a further period not exceeding five years.

    (3) The Regulator may at any time resign the office by giving notice in writing to the Department.

    (4) The Department may at any time remove the Regulator on the ground of incapacity or misbehaviour.

    (5) Subject to that, the Regulator holds and vacates office on the terms determined by the Department.

Remuneration and pensions

     2. —(1) The Department may pay remuneration and travelling and other allowances to the Regulator.

    (2) The Department may—

     3. —(1) The Regulator may, after consulting the Department of Finance and Personnel as to numbers and terms and conditions of service, appoint such staff as the Regulator may determine.

    (2) The members of staff must include a deputy to the Regulator who is to act as Regulator—

    (3) Where a participant in a scheme under Article 3 of the Superannuation (Northern Ireland) Order 1972 (NI 10) is appointed as the Regulator, the Department of Finance and Personnel may determine that the person's term of office as the Regulator is to be treated for the purposes of the scheme as service in the employment by reference to which he was a participant (whether or not any benefits are payable by virtue of paragraph 2(2)).

Delegation of functions

     4. Anything which the Regulator is authorised or required to do may be done by a member of the Regulator's staff if authorised by the Regulator (generally or specifically) for that purpose.

Finance

     5. The Department may make payments to the Regulator.

Reports and other information

     6. —(1) The Regulator must, in respect of each financial year, prepare a report on the exercise of the Regulator's functions during the financial year.

    (2) The Regulator must prepare accounts in respect of a financial year if the Department so directs.

    (3) The Regulator must send a copy of the accounts to the Comptroller and Auditor General.

    (4) The Comptroller and Auditor General must examine, certify and report on the accounts and send a copy of the report to the Regulator.

    (5) The Regulator must include the accounts and the Comptroller and Auditor General's report on them in the report prepared by the Regulator in respect of the financial year to which the accounts relate.

    (6) The Regulator must prepare that report as soon as possible after the end of the financial year to which it relates.

    (7) The Regulator must send to the Department a copy of—

    (8) The Department must lay before the Assembly a copy of each of those reports.

    (9) The Regulator must supply the Department with such other reports and information relating to the exercise of the Regulator's functions as the Department may require.

    (10) In this paragraph—

     7. In Schedule 2 to the Commissioner for Complaints (Northern Ireland) Order 1996 (NI 7) (bodies subject to investigation), insert at the appropriate place—

     8. In Part III of Schedule 1 to the Northern Ireland Assembly Disqualification Act 1975 (c. 25) (disqualifying offices), insert at the appropriate place—



SCHEDULE 5
Article 27


APPEAL OFFICER FOR COMMUNITY INTEREST COMPANIES FOR NORTHERN IRELAND


Appeal Officer's terms of appointment

     1. —(1) The Appeal Officer holds office for the period determined by the Department on appointment (or re-appointment).

    (2) But—

    (3) Subject to that, the Appeal Officer holds and vacates office on the terms determined by the Department.

Remuneration and pensions

     2. —(1) The Department may pay remuneration and travelling and other allowances to the Appeal Officer.

    (2) The Department may—

     3. The Department may make payments to the Appeal Officer.

Procedure

     4. —(1) Regulations may make provision about the practice and procedure to be followed by the Appeal Officer.

    (2) Regulations under this paragraph may in particular impose time limits for bringing appeals.

Amendments

     5. In Schedule 2 to the Commissioner for Complaints (Northern Ireland) Order 1996 (NI 7) (bodies subject to investigation), insert at the appropriate place—

     6. In Part III of Schedule 1 to the Northern Ireland Assembly Disqualification Act 1975 (c. 25) (disqualifying offices), insert at the appropriate place—



SCHEDULE 6
Article 28


OFFICIAL PROPERTY HOLDER FOR COMMUNITY INTEREST COMPANIES FOR NORTHERN IRELAND


Status

     1. —(1) The Official Property Holder is a corporation sole.

    (2) A document purporting to be—

shall be received in evidence and shall, unless the contrary is proved, be taken to be so executed or signed.

Relationship with Regulator

     2. The Regulator must make available to the Official Property Holder such members of the Regulator's staff as the Official Property Holder may require in order to exercise the functions of the office.

Effect of vacancy

     3. The Regulator must appoint a member of the Regulator's staff who is to act as Official Property Holder—

     4. —(1) The Official Property Holder holds property vested in or transferred to him as a trustee.

    (2) The Official Property Holder may release or deal with the property—

    (3) Subject to sub-paragraph (2), the Official Property Holder may not release or deal with the property except in accordance with directions given by the Regulator.

Finance

     5. —(1) The Official Property Holder may recover his expenses in respect of property held by him from the property or from the community interest company by which, or in trust for which, the property was held before it was vested in or transferred to the Official Property Holder.

    (2) Any expenses of the Official Property Holder not recovered under sub-paragraph (1) are to be met by the Regulator.

Reports

     6. —(1) As soon as possible after the end of each financial year, the Official Property Holder must prepare a report on the exercise of the Official Property Holder's functions during the financial year.

    (2) The Official Property Holder must send a copy of the report to the Regulator.

    (3) In this paragraph "financial year" means—



SCHEDULE 7
Article 32


COMMUNITY INTEREST COMPANIES: NAMES


Companies (Northern Ireland) Order 1986 (NI 6)

     1. —(1) Article 36 (prohibition on registration of certain names) is amended as follows.

    (2) In paragraph (1)(a) for "or "public limited company" " substitute ", "public limited company", "community interest company" or "community interest public limited company" ".

    (3) In paragraph (3)(b), for “and "public limited company" substitute ", "public limited company", "community interest company", "community interest public limited company",".

     2. In Article 37(4) (alternatives of statutory designations), after sub-paragraph (b) add

     3. In Article 40(7) (further exemptions for company exempt from using "limited" as part of its name), after "which" insert "under this Article".

     4. After Article 44 insert—

     5. In Article 53(2)(b) (re-registration of private company as public: alteration of name), after "Article 35(1)" insert ", or Article 32 of the Companies (Audit, Investigations and Community Enterprise) (Northern Ireland) Order 2005,".

     6. In Article 359(1)(d) (particulars in correspondence to indicate that a company exempt from obligation to use "limited" as part of name is limited company), after "name" insert "under Article 40 or a community interest company which is not a public company".

     7. —(1) Schedule 23 (punishment of offences) is amended as follows.


Limited Liability Partnerships Act (Northern Ireland) 2002 (c. 12)

     8. In paragraph 8(2) of the Schedule (similarity of names), after the entry relating to "public limited company" insert—



SCHEDULE 8
Article 40


COMMUNITY INTEREST COMPANIES: INVESTIGATIONS


Power to require documents and information

     1. —(1) The investigator of a community interest company may require the company or any other person—

    (2) A person on whom a requirement is imposed under sub-paragraph (1) may require the investigator to produce evidence of his authority.

    (3) A requirement under sub-paragraph (1) must be complied with at such time and place as may be specified by the investigator.

    (4) The production of a document in pursuance of this paragraph does not affect any lien which a person has on the document.

    (5) The investigator may take copies of or extracts from a document produced in pursuance of this paragraph.

    (6) In relation to information recorded otherwise than in legible form, the power to require production of it includes power to require the production of a copy of it in legible form or in a form from which it can readily be produced in visible and legible form.

    (7) In this Schedule—

     2. —(1) Nothing in paragraph 1 requires a person to produce a document or provide information in respect of which a claim could be maintained in an action in the High Court to legal professional privilege, but a person who is a lawyer may be required to provide the name and address of his client.

    (2) Nothing in paragraph 1 requires a person carrying on the business of banking to produce a document, or provide information, relating to the affairs of a customer unless a requirement to produce the document, or provide the information, has been imposed on the customer under that paragraph.

Use of information as evidence

     3. —(1) A statement made by a person in compliance with a requirement imposed under paragraph 1 may be used in evidence against the person.

    (2) But in criminal proceedings—

unless evidence relating to it is adduced or a question relating to it is asked in the proceedings by or on behalf of that person.

    (3) However, sub-paragraph (2) does not apply to proceedings in which a person is charged with an offence under—

     4. —(1) This paragraph applies if a person fails to comply with a requirement imposed under paragraph 1.

    (2) The investigator may certify that fact in writing to the court.

    (3) If, after hearing—

the court is satisfied that the offender failed without reasonable excuse to comply with the requirement, it may deal with him as if he had been guilty of contempt of the court.

False information

     5. —(1) A person commits an offence if in purported compliance with a requirement under paragraph 1 to provide information, the person—

but a prosecution may be instituted only with the consent of the Director of Public Prosecutions for Northern Ireland.

    (2) A person guilty of an offence under sub-paragraph (1) is liable—



EXPLANATORY NOTE

(This note is not part of the Order)


This Order amends the law relating to company auditors and accounts, to the provision that may be made in respect of certain liabilities incurred by a company's directors, and to company investigations. It also makes provision for community interest companies.



Explanatory Memorandum



ISBN 0 11 080008 7


 © Crown copyright 2005

Prepared 9 August 2005


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