
1 

(1) This Order may be cited as the Legal Services (Scotland) Act 2010 (Commencement No. 2 and Transitional Provisions) Order 2012 and comes into force on 2nd July 2012.
(2) In this Order—
 “the 2007 Act” means the Legal Profession and Legal Aid (Scotland) Act 2007; and
 “the Act” means the Legal Services (Scotland) Act 2010.
2 
The day appointed for the coming into force of the provisions of the Act specified in column 1 of the Schedule (the subject matter of which is specified in column 2), in so far as they are not already in force, is 2nd July 2012.
3 

(1) For the purposes of determining the amounts of the annual general levy and the complaints levy which are payable by a licensed provider to the Commission under section 57C of the 2007 Act (as inserted by section 81 of the Act) during the 2012-13 financial year—
(a) the requirement in section 29(1) of the 2007 Act for the Commission to have had regard to any views expressed in its consultation under subsection (4) is to be construed as a requirement to have had regard to any views expressed in its consultation under sub-paragraph (b);
(b) the Commission must consult—
(i) the Scottish Ministers; and
(ii) each approved regulator and all other bodies that the Scottish Ministers have advised the Commission as having an interest in applying to become approved regulators;
(c) the Commission must publish—
(i) the determination as soon as reasonably practicable; and
(ii) the responses it has received under sub-paragraph (b) within two months of concluding the consultation with the exception of any responses that it has received which are subject to an express request in writing for confidentiality;
(d) the Commission must, in so far as is reasonably practicable, secure that the amounts of the annual general levy and the complaints levy are reasonably sufficient to cover its anticipated expenditure during the 2012-13 financial year in respect of sections 57A (complaints about licensed providers) and 57B (regulatory complaints) of the 2007 Act;
(e) section 29(4) to (10) of that Act does not apply.
(2) In this article, “the annual general levy”, “the complaints levy” and “the Commission” have the meanings given to them in section 46(1) of the 2007 Act.
4 
For the purposes of section 80(4) of the Act, where the Commission is determining the amount of the annual levy or complaints levy for the 2012-13 financial year, it is only to be regarded as having consulted each approved regulator where it has consulted each approved regulator and all those other bodies that the Scottish Ministers have indicated to the Commission as having an interest in applying to become approved regulators.
R CUNNINGHAM
Authorised to sign by the Scottish Ministers
St Andrew’s House,
Edinburgh
17th May 2012
SCHEDULE
Article 2


Column 1 (provisions of the Act) Column 2 (subject matter)
Section 10(2) to (6) Authorisation to act
Section 11 Request for authorisation
Section 17 Licensing appeals
Section 31 Assessment of licensed providers
Section 32 Giving information to SLAB
Section 33 Reporting to Law Society
Section 34 Steps open to Society
Section 35 Financial inspection by Society
Section 36 Review of own performance
Section 37 Monitoring by Ministers
Section 38 Measures open to Ministers
Section 39 Surrender of authorisation
Section 40 Cessation directions
Section 41 Transfer arrangements
Section 43 Change of approved regulator
Section 46 Guidance on functions
Section 48 Eligibility criteria
Section 49 Majority ownership
Section 50 Key duties
Section 51 Head of Legal Services
Section 52 Head of Practice
Section 53 Practice Committee
Section 54 Notice of appointment
Section 55 Challenge to appointment
Section 56 Disqualification from position
Section 57 Effect of disqualification
Section 58 Conditions for disqualification
Section 60 Working context
Section 61 Listing and information
Section 62 Fitness for involvement
Section 63 Exemption from fitness text
Section 64 Factors as to fitness
Section 65 Ban for improper behaviour
Section 66 Behaving properly
Section 67 More about investors
Section 68 Duty to warn
Section 69 Inability to operate
Section 70 Safeguarding clients
Section 71 Distribution of client account
Section 72 Employing disqualified lawyer
Section 73 Concealing disqualification
Section 74 Pretending to be licensed
Section 75 Professional privilege
Section 77 Role of approved regulators
Section 79 Complaints about regulators
Section 80 Levy payable by regulators
Section 81 Complaints about providers
Section 82 Register of approved regulators
Section 83 Registers of licence providers
Section 84 Lists of disqualified persons
Section 85 Privileged material
Section 86 Immunity from damages
Section 87 Appeal procedure
Section 88 Corporate offences
Section 89 Effect of professional or other rules
Section 123 Licensed providers as qualified persons
Section 124 Practice rules for licensed providers
Section 128(1)(a)(i) and (iii), (b)(ii), (c) and (d) Use of Guarantee Fund
Section 129(1)(a)(iii) and (b) to (g) and (3) Contributions to the Fund
Schedule 1 Performance targets
Schedule 2 Directions
Schedule 3 Censure
Schedule 4 Financial penalties
Schedule 5 Amendment of authorisation
Schedule 6 Rescission of authorisation
Schedule 7 Surrender of authorisation
Schedule 8 Investors in licensed providers