Section 37: Authorisation of practitioners.

Courts and Legal Services Act 1990 · 1990 c. 41View on legislation.gov.uk

This provision is repealed
It is retained for historical reference and may not reflect the law currently in force.

Part II: Legal Services

REPEALED on 2009-03-31 by Legal Services Act 2007.

The text below is from the dated revised snapshot immediately preceding this status change. It is historical and is not current law. View the historical source.

On an application duly made by a person who proposes to provide conveyancing services, the Board shall authorise that person to provide those services, if—

it is satisfied that the applicant’s business is, and is likely to continue to be, carried on by fit and proper persons or, in the case of an application by an individual, that he is a fit and proper person; and
it is of the opinion that the applicant will comply with the requirements mentioned in subsection (7).

Any such authorisation shall be given in writing and shall take effect on such date as the Board may specify.

A person so authorised is referred to in this Act as “an authorised practitioner”.

An application for authorisation must be made in accordance with rules made by the Board, with the approval of the Secretary of State , for the purposes of this section.

On making any such application, the applicant shall pay to the Board such fee as may be specified in the rules.

The rules may, in particular, make provision—

as to the form in which any application must be made; and
for the furnishing by applicants of information required by the Board in connection with their applications.

The requirements are that the applicant—

complies with any rules made by the Board and any regulations made under section 40, so far as applicable;
ensures that satisfactory arrangements are at all times in force for covering adequately the risk of any claim made against the applicant in connection with the provision of conveyancing services provided by the applicant, however arising;
maintains satisfactory procedures for—
dealing with complaints made about any aspect of conveyancing services provided by the applicant; and
the payment of compensation;
has in force satisfactory arrangements to protect the applicant’s clients in the event of the applicant ceasing to provide conveyancing services;
is a member of the Conveyancing Ombudsman Scheme.

Subsection (8A) applies if the applicant is—

a person with permission under Part 4 of the Financial Services and Markets Act 2000 to accept deposits or to effect or carry out contracts of insurance; or
an EEA firm of the kind mentioned in paragraph 5(b) or (d) of Schedule 3 to that Act which has permission under paragraph 15 of that Schedule (as a result of qualifying for authorisation under paragraph 12(1) of that Schedule) either—
to accept deposits, or
to effect or carry out contracts of insurance.

The Board must have regard to the fact that the applicant has obtained that permission in determining whether it is satisfied as mentioned in subsection (1)(a).

Subsection (8) must be read with—

section 22 of the Financial Services and Markets Act 2000;
any relevant order under that section; and
Schedule 2 to that Act.

The Board shall maintain a register of authorised practitioners which shall be open to inspection, at all reasonable times, without charge.

The Secretary of State may by order amend the provisions of subsection (7) by imposing any additional requirement or by varying or removing any requirement.

About this text

This legislation text comes from legislation.gov.uk. Contains public sector information licensed under the Open Government Licence v3.0. These source and reuse terms cover the legislation text, not Remedy's commentary.

Reuse reviewed 21 August 2026 under Open Government Licence v3.0.