
1 

(1) This Act of Sederunt may be cited as the Act of Sederunt (Sheriff Court Rules) (Miscellaneous Amendments) 2008 and shall come into force on 1st July 2008.
(2) This Act of Sederunt shall be inserted in the Books of Sederunt.
(3) In this Act of Sederunt–
 “the Ordinary Cause Rules” means the Ordinary Cause Rules in Schedule 1 to the Sheriff Courts (Scotland) Act 1907;
 “the Summary Application Rules” means the Act of Sederunt (Summary Applications, Statutory Applications and Appeals etc Rules) 1999;
 “the Summary Cause Rules” means the Act of Sederunt (Summary Cause Rules) 2002
 “the Small Claim Rules” means the Act of Sederunt (Small Claim Rules) 2002;
 “the Judicial Factor Rules” means the Act of Sederunt (Judicial Factors Rules) 1992;
 “the Company Insolvency Rules” means the Act of Sederunt (Sheriff Court Company Insolvency Rules) 1986.
2 

(1) The Ordinary Cause Rules are amended in accordance with the following subparagraphs.
(2) After rule 33.33 insert–“
33.33A 

(1) In a cause mentioned in rule 33.1(a) to (h), (n) or (o), the sheriff may, at any stage of the action before the granting of final decree, make an order with such conditions, if any, as he thinks fit–
(a) directing that a defender who has not lodged a notice of intention to defend be treated as if he had lodged such a notice and the period of notice had expired on the date on which the order was made; or
(b) allowing a defender who has not lodged a notice of intention to defend to appear and be heard at a diet of proof although he has not lodged defences, but he shall not, in that event, be allowed to lead evidence without the pursuer’s consent.
(2) Where the sheriff makes an order under paragraph (1), the pursuer may recall a witness already examined or lead other evidence whether or not he closed his proof before that order was made.
(3) Where no order under paragraph (1) has been sought by a defender who has not lodged a notice of intention to defend and decree is granted against him, the sheriff may, on an application made within 14 days of the date of the decree, and with such conditions, if any, as he thinks fit, make an order recalling the decree.
(4) Where the sheriff makes an order under paragraph (3), the cause shall thereafter proceed as if the defender had lodged a notice of intention to defend and the period of notice had expired on the date on which the decree was recalled.
(5) An application under paragraph (1) or (3) shall be made by note setting out the proposed defence and explaining the defender’s failure to appear.
(6) An application under paragraph (1) or (3) shall not affect any right of appeal the defender may otherwise have.
(7) A note lodged in an application under paragraph (1) or (3) shall be served on the pursuer and any other party.”.
(3) After rule 33A.33 insert–“
33A.33A 

(1) In a cause mentioned in rule 33A.1(a), (b) or (f), the sheriff may, at any stage of the action before the granting of final decree, make an order with such conditions, if any, as he thinks fit–
(a) directing that a defender who has not lodged a notice of intention to defend be treated as if he had lodged such a notice and the period of notice had expired on the date on which the order was made; or
(b) allowing a defender who has not lodged a notice of intention to defend to appear and be heard at a diet of proof although he has not lodged defences, but he shall not, in that event, be allowed to lead evidence without the pursuer’s consent.
(2) Where the sheriff makes an order under paragraph (1), the pursuer may recall a witness already examined or lead other evidence whether or not he closed his proof before that order was made.
(3) Where no order under paragraph (1) has been sought by a defender who has not lodged a notice of intention to defend and decree is granted against him, the sheriff may, on an application made within 14 days of the date of the decree, and with such conditions, if any, as he thinks fit, make an order recalling the decree.
(4) Where the sheriff makes an order under paragraph (3), the cause shall thereafter proceed as if the defender had lodged a notice of intention to defend and the period of notice had expired on the date on which the decree was recalled.
(5) An application under paragraph (1) or (3) shall be made by note setting out the proposed defence and explaining the defender’s failure to appear.
(6) An application under paragraph (1) or (3) shall not affect any right of appeal the defender may otherwise have.
(7) A note lodged in an application under paragraph (1) or (3) shall be served on the pursuer and any other party.”.
3 

(1) The Ordinary Cause Rules are amended in accordance with the following subparagraphs.
(2) After rule 33.51 insert–“
33.51A 

(1) In this rule–
 “assessment period” shall be construed in accordance with section 132 of the Pensions Act 2004;
 “pension arrangement” shall be construed in accordance with the definition in section 27 of the Act of 1985; and
 “valuation summary” shall be construed in accordance with the definition in Schedule 2 to the Pension Protection Fund (Provision of Information) Regulations 2005.
(2) This rule applies where a party at any stage in the proceedings applies for an order under section 8 or section 16 of the Act of 1985.
(3) Where the party against whom an order referred to in paragraph (2) is sought has received notification in compliance with the Pension Protection Fund (Provision of Information) Regulations 2005 or does so after the order is sought–
(a) that there is an assessment period in relation to his pension arrangement; or
(b) that the Board of the Pension Protection Fund has assumed responsibility for all or part of his pension arrangement,
he shall comply with paragraph (4).
(4) The party shall–
(a) lodge the notification; and
(b) obtain and lodge as soon as reasonably practicable thereafter–
(i) a valuation summary; and
(ii) a forecast of his compensation entitlement.
(5) Subject to paragraph (6), the notification referred to in paragraph (4)(a) requires to be lodged–
(a) where the notification is received before the order is sought, within 7 days of the order being sought;
(b) where the notification is received after the order is sought, within 7 days of receiving the notification.
(6) Where an order is sought against the defender before the defences are lodged, and the notification is received before that step occurs, the notification shall be lodged with the defences.
(7) At the same time as lodging documents under paragraph (4), copies shall be sent to the other party to the proceedings.”.
(3) After rule 33A.48 insert–“
33A.48A 

(1) In this rule–
 “assessment period” shall be construed in accordance with section 132 of the Pensions Act 2004;
 “pension arrangement” shall be construed in accordance with the definition in section 27 of the Act of 1985; and
 “valuation summary” shall be construed in accordance with the definition in Schedule 2 to the Pension Protection Fund (Provision of Information) Regulations 2005.
(2) This rule applies where a party at any stage in the proceedings applies for an order under section 8 or section 16 of the Act of 1985.
(3) Where the party against whom an order referred to in paragraph (2) is sought has received notification in compliance with the Pension Protection Fund (Provision of Information) Regulations 2005 or does so after the order is sought–
(a) that there is an assessment period in relation to his pension arrangement; or
(b) that the Board of the Pension Protection Fund has assumed responsibility for all or part of his pension arrangement,
he shall comply with paragraph (4).
(4) The party shall–
(a) lodge the notification; and
(b) obtain and lodge as soon as reasonably practicable thereafter–
(i) a valuation summary; and
(ii) a forecast of his compensation entitlement.
(5) Subject to paragraph (6), the notification referred to in paragraph (4)(a) requires to be lodged–
(a) where the notification is received before the order is sought, within 7 days of the order being sought;
(b) where the notification is received after the order is sought, within 7 days of receiving the notification.
(6) Where an order is sought against the defender before the defences are lodged, and the notification is received before that step occurs, the notification shall be lodged with the defences.
(7) At the same time as lodging documents under paragraph (4), copies shall be sent to the other party to the proceedings.”.
4 

(1) The Ordinary Cause Rules are amended in accordance with the following subparagraphs.
(2) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
(3) In Chapter 44–
(a) after rule 44.1(2) there is inserted–“
(3) In this Chapter “the Commission” means the Commission for Equality and Human Rights.”.
(b) for rule 44.2 (relevant Commission) there is substituted–“
44.2 
The pursuer shall send a copy of the initial writ to the Commission by registered or recorded delivery post.”.
(c) rule 44.4 (taxation of Commission expenses) is omitted.
(4) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
5 

(1) The Summary Application Rules are amended in accordance with the following subparagraphs.
(2) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
(3) In Part XXXIII (equality enactments)–
(a) after rule 3.33.1(3) (application and interpretation) insert–“
(4) In this Part “the Commission” means the Commission for Equality and Human Rights.”.
(b) for rule 3.33.2 (relevant Commission) substitute–“
3.33.2 
The applicant shall, except where the applicant is the Commission, send a copy of the initial writ to the Commission by registered or recorded delivery post.”;
(c) rule 3.33.4 (taxation of Commission expenses) is omitted.
(4) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
6 

(1) The Summary Cause Rules are amended in accordance with the following subparagraphs.
(2) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
(3) In Chapter 36 (equality enactments)–
(a) after rule 36.1(2) insert–“
(3) In this Chapter “the Commission” means the Commission for Equality and Human Rights.”;
(b) for rule 36.2 (relevant Commission) substitute–“
36.2 
The pursuer shall send a copy of the summons to the Commission by registered or recorded delivery post.”;
(c) rule 36.4 (taxation of Commission expenses) is omitted.
(4) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
7 

(1) The Small Claim Rules are amended in accordance with the following subparagraphs.
(2) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
(3) In Chapter 26 (equality enactments)–
(a) after rule 26.1(2) insert–“
(3) In this Chapter “the Commission” means the Commission for Equality and Human Rights.”.
(b) for rule 26.2 (relevant Commission) substitute–“
26.2 
The pursuer shall send a copy of the summons to the Commission by registered or recorded delivery post.”;
(c) rule 26.4 (taxation of Commission expenses) is omitted.
(4) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
8 
After rule 30.8 of the Summary Cause Rules insert–“
30.9 
Where, in response to a summons for the recovery of heritable property which includes a claim for payment of money, a defender makes a written application about payment, he shall not thereby be taken to be admitting the claim for recovery of possession of the heritable property.”.
9 

(1) The Judicial Factors Rules are amended in accordance with the following subparagraphs.
(2) In rule 2(1) (interpretation)–
(a) after the definition of “the 1995 Act” insert–“
 the Council Regulation” means Council Regulation (E.C.) 1346/2000 of 29th May 2000 on insolvency proceedings as it may be amended from time to time;”; and
(b) after the definition of “Accountant” insert–“
 “centre of main interests” has the same meaning as in the Council Regulation;
 “establishment” has the same meaning as in Article 2(h) of the Council Regulation;
 “main proceedings” means proceedings opened in accordance with Article 3(1) of the Council Regulation and falling within the definition of insolvency proceedings in Article 2(a) of the Council Regulation and–
(a) in relation to England and Wales, Scotland and Northern Ireland, set out in Annex A to the Council Regulation under the heading “United Kingdom”; and
(b) in relation to another member State, set out in Annex A to the Council Regulation under the heading relating to that member State;
 “member State” means a member State of the European Community that has adopted the Council Regulation;
 “territorial proceedings” means proceedings opened in accordance with Article 3(2) and 3(4) of the Council Regulation and falling within the definition of insolvency proceedings in Article 2(a) of the Council Regulation and–
(a) in relation to England and Wales, Scotland and Northern Ireland, set out in Annex A to the Council Regulation under the heading “United Kingdom”; and
(b) in relation to another member State, set out in Annex A to the Council Regulation under the heading relating to that member State.”.
(3) After rule 4 insert–“
4.A 
Where an application is for the appointment of a factor to an individual or estate that is insolvent the application shall contain averments in relation to jurisdiction under the Council Regulation, in particular stating, so far as known to the applicant–
(a) where the centre of main interests of the individual or estate is and whether the individual or estate has any other establishments in another member State; and
(b) whether there are insolvency proceedings elsewhere and whether these proceedings are main or territorial proceedings.”.
10 

(1) The Company Insolvency Rules are amended in accordance with the following subparagraphs.
(2) In rule 3(1) (interpretation) after the definition of “the Act of 1986” insert–“
 “the Council Regulation” means Council Regulation (E.C.) 1346/2000 of 29th May 2000 on insolvency proceedings as it may be amended from time to time;”.
(3) For rule 10(1)(h) (petitions for administration orders: averments) substitute–“
(h) jurisdiction under the Council Regulation, in particular stating, so far as known to the petitioner–
(i) where the centre of main interests of the company is and whether the company has any other establishments in another member State;
(ii) whether there are insolvency proceedings elsewhere in respect of the company and whether those proceedings are main or territorial proceedings; and”.
(4) After rule 18(1)(a) insert–“
(aa) averments in relation to jurisdiction under the Council Regulation, in particular stating, so far as known to the petitioner:–
(i) where the centre of main interests of the company is and whether the company has any other establishments in another member State;
(ii) whether there are insolvency proceedings elsewhere in respect of the company and whether those proceedings are main or territorial proceedings;”.
11 
In rule 28.10 of the Ordinary Cause Rules (commissions for examinations of witnesses) after paragraph (2) insert–“
(2A) A motion under paragraph (2) may include an application for authority to record the proceedings before the commissioner by video recorder:”.
12 
After rule 3 of the Company Insolvency Rules insert–“
3A 

(1) A party may be represented by any person authorised under any enactment to conduct proceedings in the sheriff court in accordance with the terms of that enactment.
(2) The person referred to in paragraph (1) may do everything for the preparation and conduct of the proceedings as may have been done by an individual conducting his own action.
(3) For the purposes of this rule, “enactment” includes an enactment comprised in, or in an instrument made under, an Act of the Scottish the Scottish Parliament.
3B 
A party who–
(a) is or has been represented by a person authorised under any enactment to conduct proceedings in the sheriff court; and
(b) would have been found entitled to expenses if he had been represented by a solicitor or an advocate,may be awarded expenses or outlays to which a party litigant may be found entitled under the Litigants in Person (Cost and Expenses) Act 1975 or under any enactment under that Act.”.
13 
After rule 2 of the Judicial Factors Rules insert–“
2A 

(1) A party may be represented by any person authorised under any enactment to conduct proceedings in the sheriff court in accordance with the terms of that enactment.
(2) The person referred to in paragraph (1) may do everything for the preparation and conduct of the proceedings as may have been done by an individual conducting his own action.
(3) For the purposes of this rule, “enactment” includes an enactment comprised in, or in an instrument made under, an Act of the Scottish Parliament.
2B 
A party who–
(a) is or has been represented by a person authorised under any enactment to conduct proceedings in the sheriff court; and
(b) would have been found entitled to expenses if he had been represented by a solicitor or an advocate,may be awarded expenses or outlays to which a party litigant may be found entitled under the Litigants in Person (Cost and Expenses) Act 1975 or under any enactment under that Act.”.
14 

(1) The Summary Application Rules are amended in accordance with the following subparagraphs.
(2) Rules 2.33 (representation) and 2.34 (expenses) of the Summary Application Rules (being the rules bearing those numbers inserted by paragraph 3(5) of the Act of Sederunt (Ordinary Cause, Summary Application, Summary Cause and Small Claim Rules) Amendment (Miscellaneous) 2007) are renumbered 2.35 and 2.36 respectively.
(3) Part II (betting and gaming appeals) of Chapter 3 of the Summary Application Rules (rules on applications under specific statutes) is omitted.
(4) In Part XIX (Proceeds of Crime Act 2002), the heading “Civil recovery investigations” immediately following rule 3.19.20 (appeals against determination of outlays and remuneration) becomes “Civil recovery and detained cash investigations”.
15 

(1) The Act of Sederunt (Consumer Credit Act 1974) 1985 is amended in accordance with the following subparagraphs.
(2) In rule 2 (interpretation) for “1993” substitute “1999”.
(3) In rule 5A (application for a time order)–
(a) for “or section 139” substitute “, section 139 or section 140B”; and
(b) for “rule 4(1)” substitute “rule 2.4(1)”.
(4) But rule 5A as worded immediately prior to the amendment made by paragraph (3) shall continue to have effect for the purpose of the court’s power to reopen an agreement under section 139 of the Consumer Credit Act 1974 as preserved by paragraph 15 of Schedule 3 to the Consumer Credit Act 2006.
(5) In rule 6(1) (claims against third parties in summary causes) for “rule 93 of the Act of Sederunt (Summary Cause Rules, Sheriff Court) 1976 (incidental applications)” substitute “rule 11 of the Act of Sederunt (Summary Cause Rules) 2002 (third party procedure)”.
16 
In the Schedule to the Act of Sederunt (Child Support Rules) 1993, in Form 7 (form of citation for summary application for commitment to prison or disqualification from driving) omit “(INCLUDING ANY COUNTERPART TO THAT LICENCE)”.
A C HAMILTON
Lord President I.P.D.
Edinburgh
3rd June 2008
SCHEDULE 1
Paragraph 4(4)
FORM O7A
Rule 13A.3(1)


FORM O7B
Rule 13B.2(1)


FORM O7C
Rule 13B.3(1)


SCHEDULE 2
Paragraph 5(4)
FORM 11AA
Rule 2.37(3)


FORM 11AB
Rule 2.39(2)


FORM 11AC
Rule 2.40(1)


SCHEDULE 3
Paragraph 6(4)
FORM 23A
Rule 14A.3(1)


FORM 23B
Rule 14B.2(1)


FORM 23C
Rule 14B.3(1)


SCHEDULE 4
Paragraph 7(4)
FORM 14A
Rule 13A.3(1)


FORM 14B
Rule 13B.2(1)


FORM 14C
Rule 13B.3(1)

