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This is a Bill, not an Act. For current law, see the Acts databases.


LEGAL PROFESSION BILL 2003

       Queensland




LEGAL PROFESSION BILL
        2003

 


 

 

Queensland LEGAL PROFESSION BILL 2003 TABLE OF PROVISIONS Section Page CHAPTER 1--INTRODUCTION PART 1--PRELIMINARY 1 Short title . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 22 2 Commencement. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 22 3 Main purposes of this Act . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 22 PART 2--INTERPRETATION Division 1--Dictionary 4 Definitions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 22 Division 2--Meaning of particular terms involving a legal title and related matters 5 Meaning of terms involving "lawyer" . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 23 6 Meaning of terms involving "legal practitioner". . . . . . . . . . . . . . . . . . . . . . 23 7 Meaning of "barrister". . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 24 8 Meaning of "solicitor". . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 24 9 Meaning of "government legal officer" and related matters . . . . . . . . . . . . . 24 Division 3--Meaning of other terms for this Act 10 Meaning of "suitability matter". . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 25 11 Meaning of "serious offence" . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 27 12 Meaning of "conviction" and "quashing a conviction". . . . . . . . . . . . . . . . . 27 13 Meaning of "information notice" . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 28 Division 4--Other matters relating to interpretation 14 Notes in text. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 29 15 Timing for doing things. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 29 16 Grounds that are reasonable in the circumstances. . . . . . . . . . . . . . . . . . . . . 29

 


 

2 Legal Profession Bill 2003 CHAPTER 2--ENGAGING IN LEGAL PRACTICE PART 1--PRELIMINARY 17 Simplified outline of ch 2 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 30 PART 2--RESERVATION OF LEGAL WORK AND RELATED MATTERS 18 Main purpose of ch 2, pt 2. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 31 19 Part does not generally apply to a government legal officer . . . . . . . . . . . . . 31 20 Prohibition on engaging in legal practice when not entitled . . . . . . . . . . . . . 31 21 Prohibition on representing or advertising entitlement to engage in legal practice when not entitled ............................... 32 22 Professional discipline. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 32 PART 3--ADMISSION OF LEGAL PRACTITIONERS Division 1--Preliminary 23 Main purpose of ch 2, pt 3. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 33 24 Definitions for ch 2, pt 3 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 33 Division 2--Eligibility and suitability for admission as legal practitioners 25 Eligibility for admission . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 34 26 Suitability for admission . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 35 Division 3--Application for admission 27 Main purposes of ch 2, pt 3, div 3 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 35 28 Application for admission . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 35 29 Role of the board relating to application for admission . . . . . . . . . . . . . . . . 35 30 Role of Supreme Court relating to application for admission. . . . . . . . . . . . 36 Division 4--Early consideration of suitability 31 Main purpose of ch 2, pt 3, div 4. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 37 32 Early consideration of suitability . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 37 33 Involvement of Supreme Court whether by referral or on appeal . . . . . . . . . 38 Division 5--Roll of legal practitioners 34 Roll of legal practitioners . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 38 35 Local legal practitioner is officer of Supreme Court . . . . . . . . . . . . . . . . . . . 39 Division 6--Miscellaneous 36 Conditional admission. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 39

 


 

3 Legal Profession Bill 2003 37 Board may appear before Supreme Court . . . . . . . . . . . . . . . . . . . . . . . . . . . 39 38 Fees payable . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 39 PART 4--LEGAL PRACTICE BY AUSTRALIAN LEGAL PRACTITIONERS Division 1--Preliminary 39 Main purposes of ch 2, pt 4 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 40 40 Meaning of "relevant regulatory authority" . . . . . . . . . . . . . . . . . . . . . . . . . 40 41 How suitability relating to holding local practising certificate is to be decided in this part ....................................... 40 Division 2--Legal practice in this jurisdiction 42 Entitlement to practise in this jurisdiction. . . . . . . . . . . . . . . . . . . . . . . . . . . 41 Division 3--Matters relating to applications for grant or renewal of local practising certificates 43 Application for grant or renewal of local practising certificate. . . . . . . . . . . 42 44 Manner of application . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 43 45 Professional indemnity insurance . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 44 46 Continuing obligation for professional indemnity insurance . . . . . . . . . . . . 45 Division 4--Grant or renewal of local practising certificates 47 Grant or renewal of local practising certificate . . . . . . . . . . . . . . . . . . . . . . . 46 48 Conditions imposed by law society or bar association . . . . . . . . . . . . . . . . . 47 49 Applications relating to conditions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 47 50 Local legal practitioner is officer of Supreme Court . . . . . . . . . . . . . . . . . . . 48 Division 5--Conditions applying to local practising certificates 51 Conditions generally . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 48 52 Statutory condition regarding notification of offence . . . . . . . . . . . . . . . . . . 49 53 Statutory condition regarding legal practice as solicitor . . . . . . . . . . . . . . . . 49 54 Compliance with conditions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 50 Division 6--Special powers relating to local practising certificates 55 Application for local practising certificate if show cause event happened after first admission ......................................... 50 56 Requirement if show cause event . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 51 57 Refusal, cancellation or suspension of local practising certificate because of failure to show cause ...................................... 51 58 Restriction on making further application. . . . . . . . . . . . . . . . . . . . . . . . . . . 52

 


 

4 Legal Profession Bill 2003 59 Relationship of this division with ch 5, pt 2 . . . . . . . . . . . . . . . . . . . . . . . . . 53 Division 7--Amendment, cancellation or suspension of local practising certificates 60 Application of ch 2, pt 4, div 7 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 53 61 Grounds for amending, cancelling or suspending a local practising certificate ...................................... 54 62 Amending, cancelling or suspending local practising certificate . . . . . . . . . 54 63 Operation of amendment, cancellation or suspension of local practising certificate ..................................... 55 64 Return of amended, cancelled or suspended local practising certificate . . . . 56 65 Other ways of amending or cancelling a local practising certificate. . . . . . . 57 66 Relationship of this division with ch 3 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 57 Division 8--Interstate legal practitioners 67 Requirement for interstate practising certificate and professional indemnity insurance . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 58 68 Extent of entitlement of certificate holder of interstate practising certificate to practise in this jurisdiction ................................ 58 69 Additional condition on interstate legal practitioner engaging in legal practice in this jurisdiction . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 59 70 Special provision about interstate legal practitioner engaging in unsupervised legal practice in this jurisdiction . . . . . . . . . . . . . . . . . . . . . 60 71 Interstate legal practitioner is officer of Supreme Court . . . . . . . . . . . . . . . . 60 Division 9--Miscellaneous provisions about local practising certificates and other matters 72 Immediate suspension of local practising certificate. . . . . . . . . . . . . . . . . . . 60 73 Duration of local practising certificates. . . . . . . . . . . . . . . . . . . . . . . . . . . . . 62 74 Surrender and cancellation of local practising certificate . . . . . . . . . . . . . . . 62 75 Protocols . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 62 76 Consideration of applicant for local practising certificate and certificate holder ..................................... 63 77 Register of local practising certificates . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 64 78 Regulatory authority may charge reasonable fees. . . . . . . . . . . . . . . . . . . . . 64 PART 5--INCORPORATED LEGAL PRACTICES Division 1--Preliminary 79 Main purpose of ch 2, pt 5. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 65 80 Meaning of "incorporated legal practice" . . . . . . . . . . . . . . . . . . . . . . . . . . . 65

 


 

5 Legal Profession Bill 2003 81 Definitions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 65 Division 2--Incorporated legal practices providing legal services 82 Non-legal services and businesses of incorporated legal practices . . . . . . . . 67 83 Corporations eligible to be incorporated legal practice. . . . . . . . . . . . . . . . . 68 84 Notice of intention to start providing legal services . . . . . . . . . . . . . . . . . . . 68 85 Prohibition on directors etc representing that corporation is incorporated legal practice . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 69 86 Notice of termination of provision of legal services . . . . . . . . . . . . . . . . . . . 69 Division 3--Lawyer directors, and other legal practitioners employed by incorporated legal practices 87 Incorporated legal practice must have lawyer director . . . . . . . . . . . . . . . . . 70 88 Obligations of lawyer director relating to misconduct . . . . . . . . . . . . . . . . . 70 89 Incorporated legal practice without lawyer director . . . . . . . . . . . . . . . . . . . 71 90 Obligations and privileges of an Australian legal practitioner who is an officer or employee . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 72 Division 4--Particular matters including application of other provisions of relevant laws 91 Insurance obligations. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 73 92 Conflicts of interest . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 73 93 Disclosure obligations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 74 94 Effect of non-disclosure of provision of particular services . . . . . . . . . . . . . 75 95 Application of a legal profession rule . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 76 96 Advertising restrictions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 76 97 Advertising by incorporated legal practice . . . . . . . . . . . . . . . . . . . . . . . . . . 76 98 Requirements relating to trust accounts and particular moneys . . . . . . . . . . 76 99 Requirements relating to fidelity fund. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 76 100 Extension to incorporated legal practice of vicarious liability relating to failure to account and dishonesty ............................. 77 101 Sharing of receipts. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 77 102 Disqualified persons . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 78 Division 5--Ensuring compliance with this Act by incorporated legal practices 103 Commissioner or law society may audit incorporated legal practice . . . . . . 78 104 Investigative powers relating to audits and other matters . . . . . . . . . . . . . . . 79 105 Examination of persons . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 80

 


 

6 Legal Profession Bill 2003 106 Inspection of books . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 81 107 Power to hold hearings . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 81 108 Failure to comply with investigation . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 82 109 Banning of incorporated legal practices . . . . . . . . . . . . . . . . . . . . . . . . . . . . 83 110 Disqualification from managing incorporated legal practice . . . . . . . . . . . . 85 111 Disclosure of information to the Australian Securities and Investments Commission .................................. 85 Division 6--External administration 112 External administration proceedings under Corporations Act . . . . . . . . . . . 86 113 External administration proceedings under other legislation . . . . . . . . . . . . 86 114 Incorporated legal practice that is subject to receivership under the QLS Act and external administration under Corporations Act . . . . . . . . . . . . . . . 87 115 Incorporated legal practice that is subject to receivership under the QLS Act and external administration under other local legislation. . . . . . . . . . . . 88 Division 7--Miscellaneous 116 Cooperation between courts . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 89 117 Relationship of Act to Corporations legislation and certain other instruments ...................................... 89 118 Undue influence. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 90 119 Regulation may require training requirement for lawyer director. . . . . . . . . 90 PART 6--FINANCIAL ARRANGEMENTS FOR THOSE WHO MAY ENGAGE IN LEGAL PRACTICE IN THIS JURISDICTION Division 1--Preliminary 120 Main purposes of ch 2, pt 6 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 90 121 Definitions for ch 2, pt 6 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 91 122 Relationship with other laws . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 91 Division 2--Prescribed accounts 123 Regulation for prescribed account. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 91 124 Deposits to prescribed account . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 92 Division 3--Interest on trust accounts paid to department 125 Arrangement with financial institution . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 92 Division 4--Legal Practitioner Interest on Trust Accounts Fund 126 Establishment of fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 93 127 Payments from fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 93

 


 

7 Legal Profession Bill 2003 128 Minister to decide distribution. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 95 129 Submission of budgets. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 95 PART 7--RULES ABOUT THOSE WHO MAY ENGAGE IN LEGAL PRACTICE IN THIS JURISDICTION Division 1--Preliminary 130 Main purposes of ch 2, pt 7 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 96 131 Power to make rules not limited to specific references to provision in other chapters or parts. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 96 132 Definitions for ch 2, pt 7 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 96 Division 2--Legal profession rules 133 Rules to be made by Governor in Council . . . . . . . . . . . . . . . . . . . . . . . . . . 97 134 Rule may apply to individuals generally or by using a defined term involving a legal title . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 97 135 Particular provision about barristers rule . . . . . . . . . . . . . . . . . . . . . . . . . . . 97 136 Solicitors rule or barristers rule may apply to government legal officer . . . . 98 137 Incorporated legal practice rule can not provide for particular matters . . . . 98 138 Recommendations to the Minister about legal profession rules . . . . . . . . . . 98 139 Monitoring role of committee . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 99 140 Public notice of proposed legal profession rule . . . . . . . . . . . . . . . . . . . . . . 99 141 Binding nature of each legal profession rule. . . . . . . . . . . . . . . . . . . . . . . . . 100 142 Relationship of legal profession rule to this Act and regulation . . . . . . . . . . 100 143 Relationship of legal profession rule and administration rule. . . . . . . . . . . . 100 Division 3--Administration rules 144 Rules other than legal profession rule . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 100 145 Indemnity rule . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 102 146 Relationship of administration rule to this Act and regulation . . . . . . . . . . . 103 147 Availability of an administration rule . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 104 PART 8--INTER-JURISDICTIONAL PROVISIONS REGARDING ADMISSION AND PRACTISING CERTIFICATES Division 1--Preliminary 148 Main purpose of ch 2, pt 8. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 104 149 Ch 3 not affected . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 105 Division 2--Notifications to be given to interstate authorities 150 Notification to other jurisdictions about application for admission . . . . . . . 105

 


 

8 Legal Profession Bill 2003 151 Notification to other jurisdictions about removal from local roll . . . . . . . . . 105 152 Law society and bar association to notify other jurisdictions about actions by it ..................................................... 106 Division 3--Notifications to be given by lawyers to local authorities 153 Lawyer to give notice of removal in another jurisdiction . . . . . . . . . . . . . . . 107 154 Lawyer to give notice of removal in foreign country . . . . . . . . . . . . . . . . . . 107 155 Provisions relating to requirement to notify . . . . . . . . . . . . . . . . . . . . . . . . . 107 Division 4--Taking of action by local authorities in response to notifications received 156 Pre-emptory removal of local lawyer's name from local roll following removal in another jurisdiction ....................... 108 157 Pre-emptory cancellation of local practising certificate following removal of name from interstate roll .................................. 109 158 Order for non-removal of name or non-cancellation of practising certificate 109 159 Show cause procedure for removal of local lawyer's name from local roll following removal in foreign country ................. 110 160 Local authority may give information to other local authority . . . . . . . . . . . 111 CHAPTER 3--COMPLAINTS, INVESTIGATION MATTERS AND DISCIPLINE PART 1--PRELIMINARY Division 1--Purposes 161 Main purposes of ch 3 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 111 Division 2--Interpretation 162 Meaning of "unsatisfactory professional conduct" . . . . . . . . . . . . . . . . . . . . 111 163 Meaning of "professional misconduct". . . . . . . . . . . . . . . . . . . . . . . . . . . . . 112 164 Conduct capable of constituting unsatisfactory professional conduct or professional misconduct .................................... 112 165 Meaning of "respondent" . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 113 Division 3--Application of this chapter 166 Australian lawyers to whom this chapter applies . . . . . . . . . . . . . . . . . . . . . 113 167 Conduct to which this chapter applies--generally . . . . . . . . . . . . . . . . . . . . 114 168 Conduct to which this chapter applies--bankruptcy, serious offences and tax offences ............................................... 115 169 Chapter also applies to law practice employees . . . . . . . . . . . . . . . . . . . . . . 116

 


 

9 Legal Profession Bill 2003 Division 4--Commissioner's obligations for complaints 170 Duty to deal with complaints efficiently and expeditiously . . . . . . . . . . . . . 116 171 Duty to inform complainant about action taken for complaint . . . . . . . . . . . 116 PART 2--MAKING COMPLAINTS 172 Conduct about which complaint may be made . . . . . . . . . . . . . . . . . . . . . . . 117 173 Making a complaint. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 117 174 Further information and verification . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 118 175 Complaints made over 3 years after conduct concerned . . . . . . . . . . . . . . . . 118 176 Summary dismissal of complaints. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 119 177 Withdrawal of complaints . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 120 178 Commissioner may delay dealing with complaint . . . . . . . . . . . . . . . . . . . . 121 PART 3--MEDIATION FOR COMPLAINTS INVOLVING CONSUMER DISPUTE 179 Definition for ch 3, pt 3 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 121 180 Mediation of complaint involving consumer dispute solely . . . . . . . . . . . . . 122 181 Mediation of hybrid complaint . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 122 PART 4--STARTING INVESTIGATIONS BASED ON COMPLAINT OR WITHOUT A COMPLAINT 182 Referral by commissioner to law society or bar association . . . . . . . . . . . . . 123 183 Commissioner investigating a complaint or investigation matter . . . . . . . . . 123 184 Australian lawyer to be notified of complaint or investigation matter . . . . 124 185 Role of law society or bar association. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 125 186 Powers for investigations. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 126 187 Submissions by Australian lawyer . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 127 188 Referral of matters for cost assessment. . . . . . . . . . . . . . . . . . . . . . . . . . . . . 128 PART 5--DISCIPLINE Division 1--Decision of commissioner 189 Decision of commissioner after investigation . . . . . . . . . . . . . . . . . . . . . . . . 128 190 Dismissal of complaint . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 128 191 Record of decision. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 129 Division 2--Proceedings in disciplinary body 192 Starting proceeding before a disciplinary body. . . . . . . . . . . . . . . . . . . . . . . 129 193 Hearings. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 129

 


 

10 Legal Profession Bill 2003 194 Variation of discipline application. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 129 195 Joinder . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 130 Division 3--Decisions of disciplinary bodies 196 Decisions of tribunal about an Australian lawyer . . . . . . . . . . . . . . . . . . . . . 130 197 Orders to be filed in Supreme Court and information notices to be given to parties etc. ............................................ 132 198 Decisions of committee about discipline application . . . . . . . . . . . . . . . . . . 133 199 Orders to be filed in Supreme Court and information notices to be given to parties etc. ............................................ 134 200 Compliance with decisions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 135 201 Interim order . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 135 202 Costs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 135 203 Other remedies not affected. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 136 PART 6--COMPENSATION ORDERS Division 1--Preliminary 204 Meaning of "compensation order" . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 137 Division 2--Compensation orders 205 Compensation order relating to pecuniary loss . . . . . . . . . . . . . . . . . . . . . . . 137 206 Effect of compensation order . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 138 207 Other remedies not affected. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 138 PART 7--APPEALS FROM DECISIONS OF DISCIPLINARY BODIES 208 Appeal may be made to Court of Appeal from tribunal's decision . . . . . . . . 138 209 Appeal to tribunal against committee's decision. . . . . . . . . . . . . . . . . . . . . . 139 210 Appeal to Court of Appeal in relation to a decision of committee . . . . . . . . 139 PART 8--PUBLICATION OF DISCIPLINARY ACTIONS 211 Definition for ch 3, pt 8 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 140 212 Discipline register . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 140 213 Other means of publicising disciplinary action. . . . . . . . . . . . . . . . . . . . . . . 141 214 Disciplinary action taken because of infirmity, injury or illness . . . . . . . . . . 141 215 Quashing of disciplinary action. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 142 216 Liability for publicising disciplinary action . . . . . . . . . . . . . . . . . . . . . . . . . 142 217 General provisions about disclosure of information . . . . . . . . . . . . . . . . . . . 143

 


 

11 Legal Profession Bill 2003 PART 9--INTER-JURISDICTIONAL PROVISIONS 218 Protocols . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 144 219 Request to another jurisdiction to investigate complaint or investigation matter .................................................. 144 220 Request from another jurisdiction to investigate complaint . . . . . . . . . . . . . 144 221 Sharing of information with corresponding authorities . . . . . . . . . . . . . . . . 145 222 Cooperation with corresponding authorities . . . . . . . . . . . . . . . . . . . . . . . . . 145 223 Compliance with orders made under corresponding laws. . . . . . . . . . . . . . . 146 224 Other powers or functions not affected . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 146 PART 10--MISCELLANEOUS 225 Information about complaints procedure . . . . . . . . . . . . . . . . . . . . . . . . . . . 146 226 Performance criteria . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 147 227 Reports to Minister . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 147 228 Offence of improper disclosure of information. . . . . . . . . . . . . . . . . . . . . . . 147 229 Protection from liability . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 148 230 Confidentiality of client communications . . . . . . . . . . . . . . . . . . . . . . . . . . . 149 231 Waiver of legal professional privilege . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 149 CHAPTER 4--ESTABLISHMENT OF ENTITIES FOR THIS ACT, AND RELATED MATTERS PART 1--LEGAL SERVICES COMMISSIONER Division 1--Preliminary 232 Main purposes of ch 4, pt 1 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 150 Division 2--Appointment 233 Legal Services Commissioner . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 150 234 Appointment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 150 235 Term of appointment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 151 236 Remuneration and conditions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 151 237 Acting commissioner. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 151 238 Termination of appointment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 151 239 Resignation of commissioner . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 152 Division 3--Functions 240 Functions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 152

 


 

12 Legal Profession Bill 2003 Division 4--Legal Services Commission 241 Establishment of commission . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 152 242 Staff and other resources . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 153 243 Preservation of rights if public service officer appointed or engaged . . . . . . 153 244 Preservation of rights if individual becomes public service officer . . . . . . . 153 245 Preservation of rights if public service officer seconded. . . . . . . . . . . . . . . . 154 246 Delegation . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 154 PART 2--DISCIPLINARY TRIBUNAL Division 1--Preliminary 247 Main purpose of ch 4, pt 2. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 155 Division 2--Establishment of Legal Practice Tribunal and related matters 248 Establishment, members and chairperson of tribunal . . . . . . . . . . . . . . . . . . 155 249 Way tribunal is to operate . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 155 250 Jurisdiction . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 155 251 Powers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 155 252 Rule-making power . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 156 253 Practice directions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 156 254 Registrar . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 156 255 Tribunal's seal . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 156 Division 3--Panels, members of panels and related matters 256 Establishment of panels for helping the tribunal. . . . . . . . . . . . . . . . . . . . . . 156 257 Appointment of panel member . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 157 258 Remuneration and appointment conditions of panel members . . . . . . . . . . . 158 259 Termination of appointment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 158 260 Resignation of members . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 159 Division 4--Role of tribunal members and panel members 261 Role of members . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 159 262 Disclosure of interests . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 159 Division 5--Constitution of tribunal for hearings 263 Constitution of tribunal for hearing. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 160 Division 6--Other provisions 264 Institution of proceedings by the commissioner . . . . . . . . . . . . . . . . . . . . . . 160

 


 

13 Legal Profession Bill 2003 265 Contempt of tribunal . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 161 266 Conduct that is contempt and an offence . . . . . . . . . . . . . . . . . . . . . . . . . . . 161 267 Protection of members etc. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 161 PART 3--LEGAL PRACTICE COMMITTEE Division 1--Preliminary 268 Main purpose of ch 4, pt 3. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 162 269 Definitions for ch 4, pt 3 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 162 Division 2--Establishment, membership of committee, functions and powers 270 Establishment of committee . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 162 271 Committee members . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 162 272 Term of appointment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 163 273 Functions and powers of committee . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 163 274 Administrative support . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 163 Division 3--Provisions about committee members 275 Eligibility for membership . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 163 276 Termination of office . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 164 277 Resignation of committee member . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 164 278 Deputy chairperson . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 164 279 Remuneration and allowances of lay members . . . . . . . . . . . . . . . . . . . . . . . 165 Division 4--Provisions about committee performing advisory functions 280 Application of ch 4, pt 3, div 4 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 165 281 Conduct of business. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 165 282 Time and place of meeting . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 165 283 Quorum . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 165 284 Presiding at meetings. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 165 285 Conduct of meetings . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 166 286 Minutes . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 166 287 Disclosure of interests . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 167 Division 5--Provisions applying to committee for hearings 288 Constitution of committee for hearing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 168 289 Conduct of meetings . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 168 290 Disclosure of interests . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 169

 


 

14 Legal Profession Bill 2003 291 Protection of members etc. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 170 PART 4--PROVISIONS APPLYING TO EACH DISCIPLINARY BODY Division 1--Parties to proceedings 292 Parties . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 170 Division 2--Conduct of proceedings 293 Public hearings . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 171 294 Procedure for hearing by a disciplinary body . . . . . . . . . . . . . . . . . . . . . . . . 171 295 Disciplinary body may proceed in absence of party or may adjourn hearing 172 296 Matter may be decided on affidavit evidence . . . . . . . . . . . . . . . . . . . . . . . . 172 297 Standard of proof. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 172 Division 3--Powers of disciplinary body 298 Power to disregard procedural lapses . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 173 299 Directions for hearings . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 173 300 Attendance notice . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 173 301 Authentication of documents. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 174 Division 4--Offences 302 False or misleading information . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 175 303 False or misleading documents . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 175 PART 5--LEGAL PRACTITIONERS ADMISSIONS BOARD Division 1--Preliminary 304 Main purpose of ch 4, pt 5. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 175 305 Definitions for ch 4, pt 5 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 175 Division 2--Establishment and membership of board 306 Establishment of board . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 176 307 Members of board . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 176 Division 3--Board's functions and powers 308 Functions and powers of board . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 177 309 Administrative support of the board . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 177 Division 4--Provisions about board members 310 Term of appointment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 177 311 Chairperson and deputy chairperson . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 177 312 Eligibility for membership . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 177

 


 

15 Legal Profession Bill 2003 313 Termination of appointment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 178 314 Resignation of board member . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 178 Division 5--Board business 315 Conduct of business. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 178 316 Times and places of meetings . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 179 317 Quorum . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 179 318 Presiding at meetings. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 179 319 Conduct of meetings . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 179 320 Minutes . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 180 321 Disclosure of interests . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 180 Division 6--Miscellaneous 322 Application of particular Acts to board . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 181 CHAPTER 5--SUITABILITY REPORTS AND INVESTIGATIONS PART 1--SUITABILITY REPORTS Division 1--Preliminary 323 Main purpose of ch 5, pt 1. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 182 324 Definitions for ch 5, pt 1 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 182 Division 2--Police reports 325 Relevant authority may ask for police report . . . . . . . . . . . . . . . . . . . . . . . . 183 Division 3--Health assessments 326 Health assessment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 183 327 Appointment of health assessor. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 184 328 Health assessment report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 184 329 Payment for health assessment and report . . . . . . . . . . . . . . . . . . . . . . . . . . 185 330 Use of health assessment report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 185 Division 4--General 331 Confidentiality of suitability report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 186 332 Operation of this part. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 187 PART 2--INVESTIGATORS AND THEIR POWERS Division 1--Preliminary 333 Main purposes of ch 5, pt 2 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 188 334 Definitions for ch 5, pt 2 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 188

 


 

16 Legal Profession Bill 2003 Division 2--Investigators 335 Appointment, qualifications etc. of investigators . . . . . . . . . . . . . . . . . . . . . 188 336 Appointment conditions and limit on powers . . . . . . . . . . . . . . . . . . . . . . . . 189 337 Issue of identity card . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 189 338 Production or display of identity card . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 190 339 When investigator ceases to hold office . . . . . . . . . . . . . . . . . . . . . . . . . . . . 190 340 Resignation . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 190 341 Return of identity card. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 191 Division 3--Entry to places 342 Power to enter places. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 191 343 Entry with consent. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 191 344 Application for warrant . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 192 345 Issue of warrant . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 193 346 Application by electronic communication and duplicate warrant ....... 194 347 Defect in relation to a warrant . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 195 348 Warrants--procedure before entry . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 196 Division 4--Powers of investigators after entry 349 General powers of investigator after entering places . . . . . . . . . . . . . . . . . . 196 350 Power to require reasonable help or information . . . . . . . . . . . . . . . . . . . . . 197 Division 5--Power of investigators to seize evidence 351 Seizing evidence at place entered under s 342 . . . . . . . . . . . . . . . . . . . . . . . 198 352 Securing seized things . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 198 353 Tampering with seized things . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 199 354 Powers to support seizure . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 199 355 Receipt for seized things . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 199 356 Forfeiture of seized things . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 200 357 Dealing with forfeited things etc. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 200 358 Return of seized things . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 201 359 Access to seized things . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 201 Division 6--General enforcement matters 360 Notice of damage. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 201 361 Compensation . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 202

 


 

17 Legal Profession Bill 2003 362 False or misleading information . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 202 363 False or misleading documents . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 203 364 Obstructing investigators. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 203 365 Impersonation of investigators . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 203 CHAPTER 6--MISCELLANEOUS MATTERS PART 1--JURISDICTION OF THE SUPREME COURT 366 Inherent jurisdiction of Supreme Court. . . . . . . . . . . . . . . . . . . . . . . . . . . . . 204 367 Jurisdiction of Supreme Court. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 204 368 Injunctions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 204 PART 2--SUSPECTED OFFENCES, PARTICULAR ASSOCIATES AND OTHER MATTERS 369 Duty of relevant entities to report suspected offences. . . . . . . . . . . . . . . . . . 206 370 Associate who is proscribed person or has been convicted of serious offence etc. ........................................... 208 371 Executive officers must ensure corporation complies with Act. . . . . . . . . . . 209 372 Offences are summary offences . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 210 373 Limitation on time for starting summary proceeding . . . . . . . . . . . . . . . . . . 210 374 Appointments and authority . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 211 375 Signatures . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 211 376 Evidentiary aids--documents . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 211 PART 3--OTHER MATTERS 377 Approved forms. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 212 378 Regulation-making power . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 212 PART 4--AMENDMENT OF ACTS 379 Acts amended in sch 1. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 213 PART 5--TRANSITIONAL, SAVINGS AND REPEAL PROVISIONS Division 1--Definitions for part 380 Definition for ch 6, pt 5 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 214 Division 2--Transitional provisions relating to ch 2, pt 2 (Reservation of legal work and related matters) 381 Act or omission that happened before the commencement may be relevant to an offence under ch 2, pt 2 ................................ 214 382 Offences committed before the commencement . . . . . . . . . . . . . . . . . . . . . . 215

 


 

18 Legal Profession Bill 2003 Division 3--Transitional provisions relating to ch 2, pt 3 (Admission of legal practitioners) 383 Application for admission made before commencement but not heard by Supreme Court before the commencement ................... 215 384 References in other Acts to applicant for admission as a barrister or as a solicitor ............................................... 216 Division 4--Transitional provisions relating to ch 2, pt 4 (Legal Practice by Australian legal practitioners) 385 Application for grant or renewal of practising certificate by person who is solicitor or barrister at first commencement . . . . . . . . . . . . . . . . . . . . . 216 386 Actions before commencement that continue to have effect. . . . . . . . . . . . . 216 Division 5--Transitional provisions relating to ch 2, pt 7 (Rules about those who may engage in legal practice in this jurisdiction) 387 Continuation of rules of law society . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 217 388 Bar association rules . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 218 Division 6--Transitional provisions relating to ch 3 (Complaints, investigation matters and discipline) 389 Complaints made to the council before commencement but not finally dealt with before that time . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 218 390 Complaints made to the legal ombudsman before commencement but not finally dealt with before that time . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 219 391 Basis of complaint mentioned in ss 173 or 390(2) . . . . . . . . . . . . . . . . . . . . 219 Division 7--Transitional provisions relating to ch 4 (Establishment of entities for this Act, and related matters) 392 Proceedings mentioned in s 5D(5) of Queensland Law Society Act 1952 . . 220 Division 8--Transitional provisions relating to the Legal Practitioners Act 1995 393 Main purposes of ch 6, pt 5, div 8 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 221 394 Expiry of particular provisions of the Legal Practitioners Act . . . . . . . . . . . 221 395 Amendment and relocation of s 58 of the Legal Practitioners Act . . . . . . . . 221 396 Accounts kept by society under s 51 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 221 397 Repeal of remaining provisions of Legal Practitioners Act. . . . . . . . . . . . . . 222 398 References to Legal Practitioners Act and related matters . . . . . . . . . . . . . . 222 399 References to other Acts etc. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 223 400 Appeals under Legal Practitioners Act . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 223

 


 

19 Legal Profession Bill 2003 Division 9--Transitional provisions relating to the Queensland Law Society Act 1952 401 Main purposes of ch 6, pt 5, div 9 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 223 402 Repeals relating to solicitors complaints tribunal under QLS Act . . . . . . . . 224 403 Repeals relating to legal ombudsman under the QLS Act. . . . . . . . . . . . . . . 224 404 Further amendment of QLS Act . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 224 Division 10--Regulation-making power for transitional purposes 405 Transitional regulation-making power . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 225 SCHEDULE 1 . . . . . . . . . . . . . . . . . . . . . . . . 226 ACTS AMENDED ACTS INTERPRETATION ACT 1954 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 226 CRIMINAL LAW (REHABILITATION OF OFFENDERS) ACT 1986 . . . 226 DIRECTOR OF PUBLIC PROSECUTIONS ACT 1984 . . . . . . . . . . . . . . . 227 DISTRICT COURT OF QUEENSLAND ACT 1967. . . . . . . . . . . . . . . . . . 228 JUSTICES ACT 1886 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 230 JUSTICES OF THE PEACE AND COMMISSIONERS FOR DECLARATIONS ACT 1991. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 234 JUVENILE JUSTICE ACT 1992 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 234 LAND SALES ACT 1984. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 235 LAND TITLE ACT 1994 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 236 LEGAL AID QUEENSLAND ACT 1997 . . . . . . . . . . . . . . . . . . . . . . . . . . 237 MAGISTRATES COURTS ACT 1921 . . . . . . . . . . . . . . . . . . . . . . . . . . . . 241 PROPERTY AGENTS AND MOTOR DEALERS ACT 2000 . . . . . . . . . . 242 RETAIL SHOP LEASES ACT 1994 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 242 SUPREME COURT ACT 1995 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 243 SUPREME COURT LIBRARY ACT 1968 . . . . . . . . . . . . . . . . . . . . . . . . . 246 SUPREME COURT OF QUEENSLAND ACT 1991 . . . . . . . . . . . . . . . . . 247 TRUST ACCOUNTS ACT 1973 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 248 SCHEDULE 2 . . . . . . . . . . . . . . . . . . . . . . . . 253 AMENDMENTS OF LEGAL PRACTITIONERS ACT 1995, SECTION 58 SCHEDULE 3 . . . . . . . . . . . . . . . . . . . . . . . . 255 LEGAL PRACTITIONERS ACT 1995, SECTION 58 AS AMENDED AND RELOCATED

 


 

20 Legal Profession Bill 2003 SCHEDULE 4 . . . . . . . . . . . . . . . . . . . . . . . . 256 AMENDMENT OF QUEENSLAND LAW SOCIETY ACT 1952 SCHEDULE 5 . . . . . . . . . . . . . . . . . . . . . . . . 266 DICTIONARY

 


 

2003 A BILL FOR An Act to provide for admission to, and the regulation of, the legal profession, and for other purposes

 


 

s1 22 s4 Legal Profession Bill 2003 The Parliament of Queensland enacts-- 1 CHAPTER 1--INTRODUCTION 2 PART 1--PRELIMINARY 3 1 Short title 4 This Act may be cited as the Legal Profession Act 2003. 5 2 Commencement 6 This Act commences on a day to be fixed by proclamation. 7 3 Main purposes of this Act 8 The main purposes of this Act are as follows-- 9 (a) to promote the administration of justice; 10 (b) to provide for the protection of consumers of legal services and 11 the public generally; 12 (c) to regulate legal practice in this jurisdiction; 13 (d) to facilitate the regulation of legal practice on a national basis. 14 PART 2--INTERPRETATION 15 Division 1--Dictionary 16 4 Definitions 17 The dictionary in schedule 5 defines particular words used in this Act. 18

 


 

s5 23 s6 Legal Profession Bill 2003 Division 2--Meaning of particular terms involving a legal title and 1 related matters 2 5 Meaning of terms involving "lawyer" 3 (1) An "Australian lawyer" is an individual who is admitted as a legal 4 practitioner under this Act or a corresponding law. 5 (2) A "local lawyer" is an individual who is admitted as a legal 6 practitioner under this Act, whether or not the individual is also admitted 7 under a corresponding law. 8 (3) Each of the following is admitted as a legal practitioner under this 9 Act-- 10 (a) an individual whose name, immediately before the 11 commencement of this section, appeared on the roll of barristers 12 as kept by the Supreme Court before the commencement; 13 (b) an individual whose name, immediately before the 14 commencement of this section, appeared on the roll of solicitors 15 as kept by the Supreme Court before the commencement. 16 (4) An "interstate lawyer" is an individual who is admitted as a legal 17 practitioner under a corresponding law, but not under this Act. 18 (5) A reference to a person who is admitted as a legal practitioner 19 includes a reference to a person who is admitted in another jurisdiction as a 20 barrister and solicitor. 21 6 Meaning of terms involving "legal practitioner" 22 (1) An "Australian legal practitioner" is an Australian lawyer who 23 holds a current local practising certificate or a current interstate practising 24 certificate. 25 (2) A "local legal practitioner" is an Australian lawyer who holds a 26 current local practising certificate. 27 (3) An "interstate legal practitioner" is an Australian lawyer who 28 holds a current interstate practising certificate, but does not hold a local 29 practising certificate. 30

 


 

s7 24 s9 Legal Profession Bill 2003 7 Meaning of "barrister" 1 A "barrister" is-- 2 (a) a local legal practitioner who holds a current local practising 3 certificate to practise as a barrister granted or renewed by the bar 4 association; or 5 (b) an interstate legal practitioner who holds an interstate practising 6 certificate that entitles the certificate holder to practise only as a 7 barrister or in the manner of a barrister. 8 8 Meaning of "solicitor" 9 A "solicitor" is-- 10 (a) a local legal practitioner who holds a current local practising 11 certificate to practise as a solicitor granted or renewed by the law 12 society; or 13 (b) an interstate legal practitioner who holds an interstate practising 14 certificate that is not subject to a condition that allows the legal 15 practitioner to practise only as a barrister or in the manner of a 16 barrister. 17 9 Meaning of "government legal officer" and related matters 18 (1) A "government legal officer" is an individual whose employment or 19 appointment in any of the following includes or may include engaging in 20 legal practice-- 21 (a) a department of this jurisdiction, the commission or an agency 22 prescribed under a regulation for this paragraph; 23 (b) a department of government of the Commonwealth; 24 (c) a department of government of another jurisdiction; 25 (d) an agency of another jurisdiction if, under a corresponding law of 26 that jurisdiction, an individual engaging in legal practice for the 27 agency is exempted from holding a practising certificate or 28 otherwise does not require a practising certificate. 29 (2) A government legal officer is "engaged in government work" when 30 the government legal officer is engaged in legal practice for the purposes of 31 the entity in relation to which the individual is an employee or appointee. 32

 


 

s 10 25 s 10 Legal Profession Bill 2003 (3) However, for an agency prescribed for subsection (1)(a), a regulation 1 may specify activities that are, or are not, government work. 2 (4) If a provision under a relevant law does not apply to a government 3 legal officer engaged in government work, the provision applies to the 4 individual who is the government legal officer if the individual is engaging 5 in legal practice other than being engaged in government work. 6 (5) If a government legal officer holds a practising certificate from the 7 bar association, a condition of the barrister's practising certificate about 8 only practising as a barrister does not apply to the government legal officer 9 to the extent that the government legal officer practises as a solicitor as part 10 of engaging in government work. 11 (6) The provisions of a relevant law about the fidelity fund do not apply 12 to a government legal officer in his or her capacity as a government legal 13 officer engaged in government work even if the government legal officer is 14 the holder of a practising certificate. 15 (7) For an individual whose employment or appointment in a department 16 of government of the Commonwealth includes or may include engaging in 17 legal practice as mentioned in subsection (1)(b), this Act is subject to the 18 Judiciary Act 1903 (Cwlth). 19 Division 3--Meaning of other terms for this Act 20 10 Meaning of "suitability matter" 21 (1) Each of the following is a "suitability matter" in relation to an 22 individual-- 23 (a) whether the individual is currently of good fame and character; 24 (b) whether the individual is or has been an insolvent under 25 administration; 26 (c) whether the individual has been convicted of an offence in 27 Australia or a foreign country, and if so-- 28 (i) the nature of the offence; and 29 (ii) how long ago the offence was committed; and 30 (iii) the individual's age when the offence was committed; 31 (d) whether the individual engaged in legal practice in Australia-- 32

 


 

s 10 26 s 10 Legal Profession Bill 2003 (i) when not admitted, or not holding a practising certificate, as 1 required under a relevant law or a corresponding law; or 2 (ii) if admitted, in contravention of a condition on which 3 admission was granted; or 4 (iii) while the individual's practising certificate is or was 5 suspended or in contravention of a condition applicable to 6 the certificate; 7 (e) whether the individual has practised law in a foreign country-- 8 (i) when not permitted under a law of that country to do so; or 9 (ii) if permitted to do so, in contravention of a condition 10 applicable to the permission; 11 (f) whether the individual is currently subject to an unresolved 12 complaint, investigation, charge or order under any of the 13 following-- 14 (i) a relevant law as in force at any time before or after the 15 commencement of this section; 16 (ii) a corresponding law or a foreign law about persons 17 engaging in legal practice; 18 (g) whether the individual-- 19 (i) is the subject of current disciplinary action, however 20 expressed, in another profession or occupation in Australia 21 or a foreign country; or 22 (ii) has been the subject of disciplinary action, however 23 expressed, relating to the other profession or occupation that 24 involved a finding of guilt; 25 (h) whether the individual's name has been removed from-- 26 (i) the roll of barristers or the roll of solicitors, but has not been 27 restored to the roll of barristers or the roll of solicitors; or 28 (ii) the roll of barristers or the roll of solicitors, but has not been 29 relocated to the roll of solicitors or the roll of barristers; or 30 (iii) an interstate roll, but has not been restored; or 31 (iv) a foreign roll; 32 (i) whether the individual's right to engage in legal practice has been 33 cancelled or suspended in Australia or a foreign country; 34

 


 

s 11 27 s 12 Legal Profession Bill 2003 (j) whether the individual has contravened, in Australia or a foreign 1 country, a law about trust money or trust accounts; 2 (k) whether, under a relevant law, a law of the Commonwealth or a 3 corresponding law, a supervisor, manager or receiver, however 4 described, is or has been appointed in relation to any legal 5 practice engaged in by the individual; 6 (l) whether the individual is or has been subject to an order under a 7 relevant law, a law of the Commonwealth or a corresponding law, 8 disqualifying the applicant from being employed by, or a partner 9 of, an Australian lawyer or from managing a corporation that is 10 an incorporated legal practice; 11 (m) whether the individual currently has a material physical or 12 mental infirmity. 13 (2) A matter is a suitability matter even if it happened before the 14 commencement of this section. 15 11 Meaning of "serious offence" 16 A "serious offence" is an offence whether committed in or outside this 17 jurisdiction that is-- 18 (a) an indictable offence against an Act, or against a law of the 19 Commonwealth or another jurisdiction, whether or not the 20 offence is or may be dealt with summarily; or 21 (b) an offence against a law of another jurisdiction that would be an 22 indictable offence against an Act if committed in this 23 jurisdiction, whether or not the offence could be dealt with 24 summarily if committed in this jurisdiction; or 25 (c) an offence against a law of a foreign country that would be an 26 indictable offence against a law of the Commonwealth, or an Act 27 if committed in this jurisdiction, whether or not the offence could 28 be dealt with summarily if committed in this jurisdiction. 29 12 Meaning of "conviction" and "quashing a conviction" 30 (1) A "conviction", for an offence, includes either of the following 31 whether or not a conviction is recorded on sentence-- 32 (a) a finding of guilt; 33

 


 

s 13 28 s 13 Legal Profession Bill 2003 (b) the acceptance of a guilty plea. 1 (2) Without limiting subsection (1), "quashing a conviction", for an 2 offence-- 3 (a) includes quashing-- 4 (i) a finding of guilt for the offence; or 5 (ii) the acceptance of a guilty plea for the offence; and 6 (b) does not include quashing a conviction if-- 7 (i) a finding of guilt in relation to the offence remains 8 unaffected; or 9 (ii) the acceptance of a guilty plea in relation to the offence 10 remains unaffected. 11 (3) A conviction includes a conviction before the commencement of this 12 section. 13 14 Note-- 15 See also Criminal Law (Rehabilitation of Offenders) Act 1986, section 9A, table, items 16 24 and 25. 13 Meaning of "information notice" 17 (1) An "information notice" is a written notice to a person about a 18 decision relating to the person stating-- 19 (a) the decision; and 20 (b) the reasons for the decision; and 21 (c) whether or not the person may appeal under this Act against the 22 decision to a stated court or entity; and 23 (d) if the person may appeal under this Act, the date by which the 24 appeal must be started. 25 (2) A provision under this Act may provide that an information notice for 26 the purposes of the provision must include other stated information. 27 (3) If a person may appeal within a number of days after the date an 28 information notice is given to the person, a defect in the notice does not 29 affect the person's right to appeal in relation to the matters dealt with in the 30 information notice. 31

 


 

s 14 29 s 16 Legal Profession Bill 2003 Division 4--Other matters relating to interpretation 1 14 Notes in text 2 A note in the text of this Act is part of this Act. 3 15 Timing for doing things 4 (1) If no time is provided or allowed for doing something under this Act, 5 the thing is to be done as soon as practicable, and as often as the relevant 6 occasion happens. 7 (2) If a provision of this Act provides that a person has a stated number 8 of days to appeal to the Supreme Court or the tribunal (the "appeal 9 period"), the court or tribunal may allow a person who may appeal within 10 the appeal period to appeal after that appeal period if the court or tribunal 11 considers it appropriate having regard to the extent and reasons for the 12 delay. 13 16 Grounds that are reasonable in the circumstances 14 (1) If a person is required, under this Act, to be satisfied or not satisfied 15 of, or have a belief or suspicion about, a particular matter before the person 16 may do or refrain from doing an act, or make a decision, the person must be 17 satisfied or not satisfied or have the belief or suspicion on grounds that are 18 reasonable in the circumstances. 19 (2) If, under this Act, a person who is satisfied or not satisfied of, or has a 20 belief or suspicion about, a particular matter is required to do or refrain 21 from doing an act, or make a decision, the person must be satisfied or not 22 satisfied, or have the belief or suspicion, on grounds that are reasonable in 23 the circumstances. 24 (3) If an entity is required under this Act to consider that a particular 25 matter is appropriate, including, for example, the following entities, before 26 the entity may do or refrain from doing an act or make a decision, the entity 27 must not do or refrain from doing the act, or make the decision, unless the 28 entity considers the particular matter is appropriate on grounds that are 29 reasonable in the circumstances-- 30 (a) a disciplinary body; 31 (b) the board; 32

 


 

s 17 30 s 17 Legal Profession Bill 2003 (c) the commissioner; 1 (d) a regulatory authority; 2 (e) an investigator. 3 CHAPTER 2--ENGAGING IN LEGAL PRACTICE 4 PART 1--PRELIMINARY 5 17 Simplified outline of ch 2 6 Generally, this chapter seeks to achieve the main purposes of this Act by 7 providing that-- 8 (a) legal practice is engaged in only by individuals who are properly 9 qualified and hold a current practising certificate; and 10 (b) only individuals who are eligible and suitable for admission are 11 admitted by the Supreme Court as legal practitioners in this 12 jurisdiction; and 13 (c) an Australian lawyer may obtain a local practising certificate 14 from the law society or bar association and become a local legal 15 practitioner; and 16 (d) corporations may engage in legal practice as incorporated legal 17 practices while they have a lawyer director; and 18 (e) accounts are to be kept by solicitors and interest payable on those 19 accounts is to be treated in a particular way; and 20 (f) rules about engaging in legal practice are to be made by the 21 Governor in Council after a process involving the law society or 22 bar association; and 23 (g) the regulation of legal practice on a national basis is promoted by 24 providing for inter-jurisdictional provisions regarding admission 25 and practising certificates. 26

 


 

s 18 31 s 20 Legal Profession Bill 2003 PART 2--RESERVATION OF LEGAL WORK AND 1 RELATED MATTERS 2 18 Main purpose of ch 2, pt 2 3 The main purpose of this part is to ensure legal practice is engaged in 4 only by individuals who are properly qualified and hold a current practising 5 certificate. 6 19 Part does not generally apply to a government legal officer 7 This part does not apply to a government legal officer engaged in 8 government work. 9 20 Prohibition on engaging in legal practice when not entitled 10 (1) An individual must not engage in legal practice in this jurisdiction 11 unless the individual is an Australian legal practitioner. 12 Maximum penalty--300 penalty units or 2 years imprisonment. 13 (2) Subsection (1)-- 14 (a) is subject to a relevant law, or a law of the Commonwealth that 15 authorises a person to engage in legal practice; and 16 (b) does not apply to preparing or assisting in the preparation of the 17 following-- 18 (i) a will if prepared in the course of the individual's 19 employment with a trustee company; 20 (ii) a contract if prepared by a real estate agent for another 21 person. 22 (3) An individual is not entitled to recover any amount for anything the 23 individual did in contravention of subsection (1). 24 (4) A person may recover from an individual, as a debt due to the person, 25 any amount the person paid to the individual for anything the individual did 26 in contravention of subsection (1). 27

 


 

s 21 32 s 22 Legal Profession Bill 2003 (5) This section is subject to chapter 2, part 4, division 8.1 1 (6) In this section-- 2 "real estate agent" see the Property Agents and Motor Dealers Act 2000, 3 schedule 2. 4 "trustee company" see the Trustee Companies Act 1968, section 4. 5 21 Prohibition on representing or advertising entitlement to engage 6 in legal practice when not entitled 7 (1) An individual must not, without a reasonable excuse, represent or 8 advertise that the individual is entitled to engage in legal practice unless the 9 individual is an Australian legal practitioner. 10 Maximum penalty--300 penalty units or 2 years imprisonment. 11 (2) This section does not apply to a representation or advertisement 12 about being entitled to engage in legal practice of a kind mentioned in 13 section 20(2)(b).2 14 (3) A reference in this section to an individual representing or 15 advertising that the individual is entitled to engage in legal practice 16 includes the individual doing anything that states or implies that the 17 individual is entitled to engage in legal practice. 18 (4) This section is subject to chapter 2, part 4, division 8.3 19 22 Professional discipline 20 (1) A contravention of section 20 or 21 by an Australian lawyer who is 21 not an Australian legal practitioner is capable of constituting unsatisfactory 22 professional conduct or professional misconduct. 23 (2) This part does not affect any liability that a individual who is an 24 Australian lawyer but not an Australian legal practitioner may have under 25 chapter 3.4 26 1 Chapter 2 (Engaging in legal practice), part 4 (Legal practice by Australian legal practitioners), division 8 (Interstate legal practitioners) 2 Section 20 (Prohibition on engaging in legal practice when not entitled) 3 Chapter 2 (Engaging in legal practice), part 4 (Legal practice by Australian legal practitioners), division 8 (Interstate legal practitioners) 4 Chapter 3 (Complaints, investigation matters and discipline)

 


 

s 23 33 s 24 Legal Profession Bill 2003 (3) An individual may be punished for an offence under section 20 or 21 1 as well as being dealt with under chapter 3 in relation to the same matters. 2 PART 3--ADMISSION OF LEGAL PRACTITIONERS 3 Division 1--Preliminary 4 23 Main purpose of ch 2, pt 3 5 The main purpose of this part is to provide for individuals who are 6 eligible and suitable for admission to be admitted by the Supreme Court as 7 legal practitioners in this jurisdiction. 8 24 Definitions for ch 2, pt 3 9 In this part-- 10 "admission rules" means the rules for the admission of legal practitioners 11 and associated matters under the Supreme Court of Queensland Act 12 1991, section 118.5 13 "applicant for admission" means an individual who has applied for 14 admission as a legal practitioner. 15 "Supreme Court", in relation to an exercise of power of the court, 16 means-- 17 (a) if the admission rules provide that the power may be exercised by 18 a single Supreme Court judge--a single Supreme Court judge; or 19 (b) otherwise--the Court of Appeal. 20 5 Supreme Court of Queensland Act 1991, section 118 (Rule-making power)

 


 

s 25 34 s 25 Legal Profession Bill 2003 Division 2--Eligibility and suitability for admission as legal practitioners 1 25 Eligibility for admission 2 (1) An individual is eligible for admission as a legal practitioner only if 3 the individual-- 4 (a) is aged 18 years or more; and 5 (b) has attained approved academic qualifications or corresponding 6 academic qualifications; and 7 (c) has satisfactorily completed approved practical legal training 8 requirements or corresponding practical legal training 9 requirements. 10 (2) In this section-- 11 "approved academic qualifications" means academic qualifications that 12 are approved under the admission rules. 13 "approved practical legal training requirements" means legal training 14 requirements that are approved under the admission rules. 15 "corresponding academic qualifications" means academic qualifications 16 that would qualify the individual for admission as a legal practitioner 17 in another jurisdiction if the board is satisfied that substantially the 18 same minimum criteria apply for the approval of academic 19 qualifications for admission in the other jurisdiction as apply in this 20 jurisdiction. 21 "corresponding practical legal training requirements" means legal 22 training requirements that would qualify the individual for admission 23 as a legal practitioner in another jurisdiction if the board is satisfied 24 that substantially the same minimum criteria apply for the approval of 25 legal training requirements for admission in the other jurisdiction as 26 apply in this jurisdiction. 27 28 Note-- 29 The board is the Legal Practitioners Admissions Board established under 30 section 306.6 6 Section 306 (Establishment of board)

 


 

s 26 35 s 29 Legal Profession Bill 2003 26 Suitability for admission 1 (1) An individual is suitable for admission as a legal practitioner only if 2 the individual is a fit and proper person to be admitted as a legal 3 practitioner. 4 (2) In deciding if the individual is a fit and proper person to be admitted 5 as a legal practitioner, the Supreme Court must consider-- 6 (a) each of the suitability matters in relation to the individual to the 7 extent a suitability matter is appropriate; and 8 (b) any other matter it considers relevant. 9 (3) However, the Supreme Court may consider an individual suitable for 10 admission despite a suitability matter because of the circumstances relating 11 to the matter. 12 Division 3--Application for admission 13 27 Main purposes of ch 2, pt 3, div 3 14 The main purposes of this division are-- 15 (a) to allow an individual who considers himself or herself eligible 16 for admission and suitable for admission to apply to the Supreme 17 Court for admission as a legal practitioner; and 18 (b) to provide for the board's role in relation to an application for 19 admission. 20 28 Application for admission 21 (1) An individual may apply (an "application for admission") to the 22 Supreme Court to be admitted under this Act as a legal practitioner. 23 (2) The application must be made in the approved form and under the 24 admission rules. 25 29 Role of the board relating to application for admission 26 (1) The board's role is to help the Supreme Court by making a 27 recommendation about each application for admission. 28

 


 

s 30 36 s 30 Legal Profession Bill 2003 (2) The board must consider each application and, in particular, whether 1 or not-- 2 (a) the application is made under the admission rules; and 3 (b) the applicant is eligible for admission; and 4 (c) the applicant is suitable for admission, including having regard to 5 all suitability matters in relation to the applicant to the extent 6 appropriate; and 7 (d) there are other matters the Supreme Court may consider relevant. 8 (3) As part of considering the application, the board may, by notice to the 9 applicant, require-- 10 (a) the applicant to give it stated documents or information; or 11 (b) the applicant to cooperate with any inquiries by the board that it 12 considers appropriate. 13 (4) An applicant's failure to comply with a notice under subsection (3) 14 by the date stated in the notice and in the way required by the notice is a 15 ground for recommending to the Supreme Court that the applicant not be 16 admitted. 17 (5) The board makes a recommendation to the Supreme Court about the 18 application by giving the recommendation to the Brisbane registrar and a 19 copy of it to the applicant. 20 (6) However, if the board considers it appropriate to apply to the 21 Supreme Court for a direction about a matter concerning an application, the 22 board may do so. 23 30 Role of Supreme Court relating to application for admission 24 (1) The Supreme Court must hear and decide each application for 25 admission in a way that it considers appropriate. 26 (2) Without limiting subsection (1), the court may-- 27 (a) if satisfied that the applicant for admission is eligible and suitable 28 for admission as a legal practitioner--make an order admitting 29 the applicant as a legal practitioner; or 30 (b) otherwise--refuse the application. 31 (3) The court's order as mentioned in subsection (2)(a) may be made 32 unconditionally or on conditions the court considers appropriate. 33

 


 

s 31 37 s 32 Legal Profession Bill 2003 (4) In deciding the application, the Supreme Court may rely on a 1 recommendation of the board under section 29(5).7 2 (5) Also, the Supreme Court may hear and decide an application for a 3 direction as mentioned in section 29(6) and give a direction to the board as 4 the court considers appropriate. 5 Division 4--Early consideration of suitability 6 31 Main purpose of ch 2, pt 3, div 4 7 The main purpose of this division is to allow an individual, including 8 someone undertaking a course of legal studies, to apply for a declaration by 9 the board, or a direction of the Supreme Court, about whether an issue 10 relating to the individual, including a suitability matter, may affect a 11 current or future application for admission. 12 32 Early consideration of suitability 13 (1) This section applies if an individual considers an issue may adversely 14 affect an assessment of the individual's suitability for admission as a local 15 legal practitioner, including, for example, a suitability matter. 16 (2) The individual may apply, in the approved form, to the board for a 17 declaration that the matter will not, without more, adversely affect the 18 board's assessment of the individual's suitability for admission. 19 (3) The board must consider the application and do 1 of the following-- 20 (a) make the declaration; 21 (b) refer the application to the Supreme Court for a direction if the 22 board considers a direction would be appropriate; 23 (c) refuse to make the declaration. 24 (4) A declaration made under subsection (3)(a), or under a direction 25 mentioned in subsection (3)(b), is binding on the board unless the applicant 26 failed to make a full and fair disclosure of all matters relevant to the 27 declaration sought. 28 (5) If the board decides to refuse to make the declaration sought-- 29 7 Section 29 (Role of the board relating to application for admission)

 


 

s 33 38 s 34 Legal Profession Bill 2003 (a) the board must give the applicant an information notice about the 1 refusal to make the declaration; and 2 (b) the applicant may appeal to the Supreme Court against the 3 refusal within 28 days after the date the information notice is 4 given to the applicant. 5 33 Involvement of Supreme Court whether by referral or on appeal 6 (1) If an application under section 32(2) is referred to the Supreme Court 7 as mentioned in section 32(3)(b), the court may give a direction to the 8 board as the court considers appropriate. 9 (2) If the applicant appeals to the Supreme Court against the decision of 10 the board to refuse to make the declaration, the appeal is to be by way of 11 rehearing, and fresh evidence or evidence in addition to or in substitution 12 for the evidence before the board may be given on the appeal. 13 (3) On an appeal under this section, the Supreme Court may make an 14 order as it considers appropriate. 15 Division 5--Roll of legal practitioners 16 34 Roll of legal practitioners 17 (1) The Supreme Court must keep a roll of legal practitioners (the "local 18 roll"). 19 (2) The local roll must include the roll of barristers, and the roll of 20 solicitors, as kept by the Supreme Court before the commencement of this 21 section. 22 (3) After the Supreme Court makes an order admitting an individual as a 23 legal practitioner-- 24 (a) the registrar for the Supreme Court district at which the Supreme 25 Court is sitting must, under the admission rules, enter the legal 26 practitioner's name on the local roll; and 27 (b) the individual must sign the local roll. 28 (4) The admission of an individual as a legal practitioner takes effect 29 when the individual signs the local roll. 30

 


 

s 35 39 s 38 Legal Profession Bill 2003 35 Local legal practitioner is officer of Supreme Court 1 An individual becomes an officer of the Supreme Court on being 2 admitted under this Act as a legal practitioner. 3 Division 6--Miscellaneous 4 36 Conditional admission 5 (1) This section applies to the following-- 6 (a) an individual admitted by the Supreme Court as a legal 7 practitioner on conditions; 8 (b) an individual who is a local legal practitioner under section 5(3) 9 if the individual's admission is subject to a condition. 10 (2) The Supreme Court may do any of the following in relation to the 11 conditions-- 12 (a) revoke or vary the conditions on which the individual is admitted, 13 whether on application of the individual or on the court's own 14 initiative; 15 (b) order the removal of the individual's name from the local roll for 16 contravening a condition. 17 (3) Without limiting subsection (2)(b), a contravention of a condition is 18 capable of constituting unsatisfactory professional conduct or professional 19 misconduct. 20 37 Board may appear before Supreme Court 21 The board, by a member of the board or by an Australian legal 22 practitioner acting for the board, is entitled to appear before and be heard 23 by the Supreme Court at a hearing about any application made under this 24 part. 25 38 Fees payable 26 The board must charge the fee prescribed under a regulation for matters 27 under this part or for matters dealt with in the admission rules. 28

 


 

s 39 40 s 41 Legal Profession Bill 2003 PART 4--LEGAL PRACTICE BY AUSTRALIAN LEGAL 1 PRACTITIONERS 2 Division 1--Preliminary 3 39 Main purposes of ch 2, pt 4 4 The main purposes of this part are as follows-- 5 (a) to provide a system for the law society to grant or renew a local 6 practising certificate to an individual who practises or intends to 7 practise as a solicitor; 8 (b) to provide a system for the bar association to grant or renew a 9 local practising certificate to an individual who practises or 10 intends to practise only as a barrister; 11 (c) to facilitate the national practice of law by allowing an interstate 12 legal practitioner to engage in legal practice in this jurisdiction or 13 an interstate lawyer to obtain a local practising certificate. 14 40 Meaning of "relevant regulatory authority" 15 A "relevant regulatory authority" is-- 16 (a) if the individual in relation to whom the expression is used 17 practises, or intends to practise, only as a barrister--the bar 18 association; or 19 (b) otherwise--the law society. 20 41 How suitability relating to holding local practising certificate is to 21 be decided in this part 22 (1) Suitability in relation to holding or continuing to hold a local 23 practising certificate is to be decided by reference to whether the applicant 24 or certificate holder is a fit and proper person to hold the certificate. 25 (2) A regulatory authority, in considering whether an individual is, or is 26 no longer, a fit and proper person to hold a local practising certificate, may 27 take into account any suitability matter relating to the individual and any of 28 the following whether happening before or after the commencement of this 29 section-- 30

 


 

s 42 41 s 42 Legal Profession Bill 2003 (a) whether the local practising certificate, or any other practising 1 certificate held or previously held by the individual, was obtained 2 because of incorrect or misleading information; 3 (b) whether the individual has contravened a relevant law, a 4 condition of any certificate mentioned in paragraph (a) or an 5 order of a disciplinary body, a corresponding tribunal or the 6 solicitors complaints tribunal; 7 (c) whether the individual has failed to pay an amount for which the 8 individual is or was liable under a relevant law, including, for 9 example, an amount payable to the fidelity fund under a relevant 10 law; 11 (d) whether, without limiting paragraph (c), the individual has 12 contravened a provision of a relevant law about professional 13 indemnity insurance; 14 (e) another matter the authority considers it is appropriate to take 15 account of because of the public interest in the integrity of the 16 legal profession. 17 (3) Even though the regulatory authority considers a matter mentioned in 18 subsection (2) in relation to an individual, the authority may consider the 19 individual is suitable to hold a local practising certificate after considering 20 the circumstances of the matter mentioned in that subsection. 21 (4) If a matter was-- 22 (a) disclosed in an application for admission as a legal practitioner in 23 this or another jurisdiction; and 24 (b) the Supreme Court or a corresponding authority decided it was 25 not sufficient to refuse the application; 26 the matter can not be taken into account as a ground for refusing to grant or 27 renew or for cancelling a local practising certificate, but may be taken into 28 account as relevant when considering other matters in relation to the 29 individual. 30 Division 2--Legal practice in this jurisdiction 31 42 Entitlement to practise in this jurisdiction 32 (1) Subject to this Act, an Australian legal practitioner is entitled to 33 engage in legal practice in this jurisdiction. 34

 


 

s 43 42 s 43 Legal Profession Bill 2003 (2) Also, a government legal officer engaged in government work is 1 entitled to engage in legal practice in this jurisdiction even though the 2 government legal officer is not an Australian legal practitioner. 3 (3) Subsection (2) does not prevent a government legal officer from 4 being the holder of a local practising certificate. 5 Division 3--Matters relating to applications for grant or renewal of local 6 practising certificates 7 43 Application for grant or renewal of local practising certificate 8 (1) An Australian lawyer may apply to a regulatory authority for the 9 grant or renewal of a local practising certificate if eligible to do so. 10 (2) An Australian lawyer is eligible to apply for the grant or renewal of a 11 local practising certificate if the lawyer complies with any regulation 12 relating to eligibility for the practising certificate and-- 13 (a) for an Australian lawyer who is not an Australian legal 14 practitioner at the time of making the application-- 15 (i) the lawyer's place of residence in Australia is this 16 jurisdiction; or 17 (ii) the lawyer reasonably expects to be engaged in legal 18 practice principally from an office in this jurisdiction during 19 the whole of the currency of the certificate applied for; or 20 (iii) the lawyer does not have a place of residence in Australia; 21 or 22 (b) for an Australian lawyer who is an Australian legal practitioner at 23 the time of making the application-- 24 (i) the jurisdiction in which the lawyer engages in legal 25 practice principally is in this jurisdiction; or 26 (ii) the lawyer holds a current local practising certificate and 27 engages in legal practice principally in another jurisdiction 28 under an arrangement that is of a temporary nature; or 29 (iii) the lawyer reasonably expects to be engaged in legal 30 practice principally in this jurisdiction during the whole of 31 the currency of the certificate applied for; or 32

 


 

s 44 43 s 44 Legal Profession Bill 2003 (iv) the lawyer does not have a place of residence in Australia; 1 or 2 (v) the lawyer's place of residence in Australia is in this 3 jurisdiction. 4 (3) For subsection (2)(b), the jurisdiction in which an Australian lawyer 5 engages in legal practice principally is to be decided by reference to the 6 lawyer's legal practice during the certificate period current at the time-- 7 (a) the application is made; or 8 (b) in the case of a late application--the application should have 9 been made. 10 (4) An Australian lawyer must not apply for the grant or renewal of a 11 local practising certificate if the lawyer is not eligible to make the 12 application. 13 (5) An Australian lawyer who engages in legal practice principally in this 14 jurisdiction during a financial year and intends to engage in legal practice 15 in the following financial year must apply for the grant or renewal of a local 16 practising certificate for the following financial year. 17 (6) Subsection (5) does not apply to an interstate legal practitioner who 18 applied for the grant or renewal of an interstate practising certificate on the 19 basis that-- 20 (a) the practitioner reasonably expected to engage in legal practice 21 principally in this jurisdiction under an arrangement that is of a 22 temporary nature; or 23 (b) the practitioner reasonably expected to engage in legal practice 24 principally in another jurisdiction during the whole of the 25 currency of the interstate practising certificate. 26 (7) A contravention of this section is capable of constituting 27 unsatisfactory professional conduct or professional misconduct. 28 44 Manner of application 29 (1) An application for the grant or renewal of a local practising certificate 30 must be-- 31

 


 

s 45 44 s 45 Legal Profession Bill 2003 (a) made in the way provided for under the relevant regulatory 1 authority's administration rules, including in the approved form; 2 and 3 (b) for an application for renewal--made within the period stated in 4 an administration rule of the authority. 5 (2) An approved form for an application for the grant or renewal of a 6 local practising certificate-- 7 (a) may require information relating to suitability matters in relation 8 to the applicant; and 9 (b) if the form requires information relating to suitability 10 matters--must direct the attention of the applicant to 11 section 55(3)8 in relation to information that need not be 12 disclosed. 13 45 Professional indemnity insurance 14 (1) A relevant regulatory authority must not grant or renew a local 15 practising certificate unless the authority-- 16 (a) for an application by an individual who is a government legal 17 officer engaged in government work--imposes a condition on the 18 certificate that the individual is not to engage in legal practice 19 other than as a government legal officer engaged in government 20 work; or 21 (b) for an application by an individual who is employed by a 22 corporation, that is not an incorporated legal practice, and who 23 provides only in-house legal services--imposes a condition on 24 the certificate that the individual is not to engage in legal practice 25 other than for providing in-house legal services; or 26 (c) for an application by anyone else--is satisfied the applicant will, 27 during the currency of the practising certificate, be covered by 28 professional indemnity insurance that complies with this Act. 29 (2) Professional indemnity insurance complies with this Act in relation 30 to a practising certificate if it complies with the requirements prescribed 31 under a regulation. 32 8 Section 55 (Application for local practising certificate if show cause event since first admission)

 


 

s 46 45 s 46 Legal Profession Bill 2003 (3) The regulation may, for example, require professional indemnity 1 insurance to be of a kind approved, or provided under a scheme approved, 2 or provided by an insurer approved, or arranged, by the relevant regulatory 3 authority for the practising certificate. 4 (4) An approval mentioned in subsection (3) may relate to professional 5 indemnity insurance approved under a corresponding law. 6 46 Continuing obligation for professional indemnity insurance 7 (1) An individual mentioned in section 45(1)(a) must notify the 8 regulatory authority, in the approved form, if the individual ceases to be-- 9 (a) a government legal officer; or 10 (b) a government legal officer only engaged in government work. 11 (2) An individual mentioned in section 45(1)(b) must notify the 12 regulatory authority, in the approved form, if the individual ceases to be 13 employed by a corporation, that is not an incorporated legal practice, in 14 providing only in-house legal services to the corporation. 15 (3) An individual mentioned in section 45(1)(c) must notify the 16 regulatory authority, in the approved form, if the individual becomes aware 17 that the individual will not be covered by professional indemnity insurance 18 that complies with the requirements prescribed under a regulation 19 mentioned in section 45(2). 20 (4) A local legal practitioner must not engage in legal practice in this 21 jurisdiction, or represent or advertise that the practitioner is entitled to 22 engage in legal practice in this jurisdiction, unless the practitioner has 23 professional indemnity insurance that complies with the requirements 24 prescribed under a regulation mentioned in section 45(2).9 25 Maximum penalty--300 penalty units or imprisonment for 2 years. 26 (5) A contravention of subsection (1), (2), (3) or (4) is capable of 27 constituting unsatisfactory professional conduct or professional 28 misconduct. 29 9 Section 45 (Professional indemnity insurance)

 


 

s 47 46 s 47 Legal Profession Bill 2003 Division 4--Grant or renewal of local practising certificates 1 47 Grant or renewal of local practising certificate 2 (1) A regulatory authority must consider an application that has been 3 made to it for the grant or renewal of a local practising certificate and 4 may-- 5 (a) grant or refuse to grant the certificate; or 6 (b) renew or refuse to renew the certificate. 7 (2) The regulatory authority may refuse to consider the application, or 8 refuse to grant or renew a local practising certificate, if the application is 9 not made under this Act and is not made in the way required by a relevant 10 administration rule of the authority. 11 (3) The authority must not grant or renew a local practising certificate if 12 the authority considers-- 13 (a) the applicant was not eligible to apply for the grant or renewal of 14 the certificate when the application was made; or 15 (b) the applicant's circumstances have changed since the application 16 was made and, having regard to information that has come to the 17 authority's attention, the applicant would not have been eligible 18 to make the application had the information been known when 19 the application was made; or 20 (c) the applicant is not suitable to hold the certificate. 21 (4) If the authority grants or renews a local practising certificate, the 22 authority must give the applicant-- 23 (a) for the grant of a certificate--a local practising certificate; or 24 (b) for the renewal of a certificate--a new local practising certificate. 25 (5) If the authority refuses to grant or renew a local practising 26 certificate-- 27 (a) the authority must give the applicant an information notice about 28 the decision to refuse the application; and 29 (b) the applicant may appeal to the Supreme Court against the 30 refusal within 28 days after the date the information notice is 31 given to the applicant. 32

 


 

s 48 47 s 49 Legal Profession Bill 2003 48 Conditions imposed by law society or bar association 1 (1) A regulatory authority may impose any reasonable and relevant 2 condition on a local practising certificate when the authority grants it. 3 (2) Without limiting subsection (1), the condition may be about any of 4 the following-- 5 (a) requiring the certificate holder to undertake and complete an 6 academic or training course; 7 (b) limiting the certificate holder to supervised legal practice in the 8 way stated in the condition; 9 (c) controlling or otherwise regulating the operation of a trust 10 account; 11 (d) if the practising certificate authorises the certificate holder to 12 practise in a particular branch of the legal profession or in a 13 particular style of legal practice--restricting the certificate holder 14 to particular conditions concerning employment or supervision; 15 (e) a matter agreed to by the certificate holder. 16 (3) However, the regulatory authority must not impose a condition as 17 mentioned in subsection (2)(a) unless-- 18 (a) the authority, having regard to the certificate holder's previous 19 academic studies, legal training, experience or conduct, considers 20 that clients of the certificate holder may be at risk of harm if the 21 condition is not imposed; or 22 (b) the condition is one that is imposed on a class of certificate 23 holders. 24 25 Note-- 26 A class of certificate holders might comprise lawyers returning to legal 27 practice after suspension or an extended break. 49 Applications relating to conditions 28 (1) This section applies if a regulatory authority imposes a condition on a 29 practising certificate. 30 (2) If the applicant did not apply for a practising certificate subject to the 31 condition-- 32 (a) the regulatory authority must give the applicant an information 33 notice about the decision to impose the condition; and 34

 


 

s 50 48 s 51 Legal Profession Bill 2003 (b) the applicant may appeal to the Supreme Court against the 1 imposition within 28 days after the date the information notice is 2 given to the applicant. 3 (3) The regulatory authority may revoke a condition imposed under this 4 section on application of the certificate holder in the approved form, or on 5 its own initiative, by giving written notice about the revocation to the 6 certificate holder. 7 (4) If an application is made by a certificate holder for the revocation of a 8 condition and the relevant regulatory authority refuses to grant the 9 application-- 10 (a) the authority must give the applicant an information notice about 11 the decision refusing the application; and 12 (b) the applicant may appeal to the Supreme Court against the 13 imposition of the condition within 28 days after the date the 14 information notice is given to the applicant. 15 50 Local legal practitioner is officer of Supreme Court 16 An individual who is not already an officer of the Supreme Court 17 becomes an officer of the court on being granted a local practising 18 certificate. 19 Division 5--Conditions applying to local practising certificates 20 51 Conditions generally 21 A local practising certificate is subject to the following-- 22 (a) a condition imposed by the relevant regulatory authority under 23 division 410 at the time the certificate is granted unless the 24 condition is revoked at a later time; 25 10 Division 4 (Grant or renewal of local practising certificates)

 


 

s 52 49 s 53 Legal Profession Bill 2003 (b) a statutory condition as mentioned in section 52 or 53;11 1 (c) a condition imposed under chapter 312 or under a corresponding 2 law; 3 (d) a condition imposed under a legal profession rule or regulation. 4 52 Statutory condition regarding notification of offence 5 (1) It is a statutory condition of a local practising certificate that the 6 certificate holder must give notice in the approved form to the relevant 7 regulatory authority if the certificate holder is convicted of an offence that 8 would have to be disclosed under the admission rules for an application for 9 admission as a legal practitioner. 10 (2) The notice must be given to the regulatory authority within 7 days 11 after the conviction. 12 (3) The regulatory authority's administration rules may specify the 13 person to whom, or the address to which, the notice is to be given or sent. 14 (4) This section does not apply to a show cause event to which 15 division 613 applies. 16 53 Statutory condition regarding legal practice as solicitor 17 (1) Each local practising certificate granted or renewed by the law 18 society must state whether the certificate holder-- 19 (a) may only engage in supervised legal practice; or 20 (b) may engage in unsupervised legal practice. 21 (2) An administration rule may provide for the requirements for an 22 individual to be eligible for a practising certificate that states that the 23 certificate holder may engage in unsupervised legal practice. 24 (3) However, the administration rule may not provide that an individual 25 is eligible for the certificate unless-- 26 11 Section 52 (Statutory condition regarding notification of offence) or 53 (Statutory condition regarding legal practice as solicitor) 12 Chapter 3 (Complaints, investigation matters and discipline) 13 Division 6 (Special powers relating to local practising certificates)

 


 

s 54 50 s 55 Legal Profession Bill 2003 (a) if the individual completed practical legal training under articles 1 of clerkship--the individual has undertaken a period of or 2 periods equivalent to 18 months supervised legal practice, 3 worked out under the regulation, after the day a practising 4 certificate is first granted; or 5 (b) if the individual completed other practical legal training--the 6 individual has undertaken a period of or periods equivalent to 7 2 years supervised legal practice, worked out under the 8 regulation, after the day a practising certificate is first granted. 9 54 Compliance with conditions 10 (1) The holder of a current local practising certificate must not 11 contravene, in this jurisdiction or elsewhere, a condition to which the 12 certificate is subject. 13 14 Example-- 15 If an individual engages in unsupervised legal practice and the relevant practising 16 certificate states the certificate holder may only engage in supervised legal practice, the 17 person contravenes a condition of the certificate. (2) A contravention of subsection (1) is capable of constituting 18 unsatisfactory professional conduct or professional misconduct. 19 Division 6--Special powers relating to local practising certificates 20 55 Application for local practising certificate if show cause event 21 happened after first admission 22 (1) This section applies if-- 23 (a) an individual is applying for the grant of a local practising 24 certificate under this Act; and 25 (b) a show cause event in relation to the individual happened, 26 whether before or after the commencement of this section, after 27 the individual was first admitted as a legal practitioner in this or 28 another jurisdiction, however the admission was expressed at the 29 time of the admission. 30 (2) As part of the application, the individual must give to the relevant 31 regulatory authority a written statement-- 32 (a) about the show cause event; and 33

 


 

s 56 51 s 57 Legal Profession Bill 2003 (b) explaining why, despite the event, the applicant is a suitable 1 person to hold a local practising certificate. 2 (3) However, an individual need not give a statement under 3 subsection (2) if the individual has previously given the regulatory 4 authority a statement under this section, or a notice and statement under 5 section 56, for the event stating why, despite the event, the individual is, or 6 continues to be, a suitable person to hold a local practising certificate. 7 (4) The regulatory authority must give a copy of a statement under 8 subsection (2) to the commissioner. 9 (5) A contravention of subsection (2) is capable of constituting 10 unsatisfactory professional conduct or professional misconduct. 11 56 Requirement if show cause event 12 (1) This section applies to a show cause event that happens in relation to 13 a local legal practitioner. 14 (2) The local legal practitioner must give to the relevant regulatory 15 authority both of the following-- 16 (a) within 7 days after the day of the event--notice, in the approved 17 form, that the event happened; 18 (b) within 28 days after the day of the event--a written statement 19 explaining why, despite the event, the practitioner continues to be 20 a suitable person to hold a local practising certificate. 21 (3) The regulatory authority must give a copy of a notice and a statement 22 under subsection (2) to the commissioner. 23 (4) A contravention of subsection (2) is capable of constituting 24 unsatisfactory professional conduct or professional misconduct. 25 (5) However, if a written statement is given after the 28 days mentioned 26 in subsection (2)(b), the regulatory authority may accept the statement and 27 take it into consideration. 28 57 Refusal, cancellation or suspension of local practising certificate 29 because of failure to show cause 30 (1) The relevant regulatory authority may refuse to grant or renew, or 31 may cancel or suspend, a local practising certificate if the applicant or 32 certificate holder-- 33

 


 

s 58 52 s 58 Legal Profession Bill 2003 (a) is required by section 55 or 5614 to give a written statement 1 relating to a matter to the regulatory authority and the applicant 2 has not done so; or 3 (b) has given a written statement under section 55 or 56 but the 4 authority does not consider that the applicant or certificate holder 5 has shown in the statement that the individual is a suitable person 6 to hold a local practising certificate. 7 (2) For the purposes of this section only, a written statement given to the 8 regulatory authority after the period prescribed under a regulation and 9 accepted by it, as mentioned in section 56(5), is given under section 56. 10 (3) If the regulatory authority decides to refuse to grant or renew, or to 11 cancel or suspend, a local practising certificate-- 12 (a) the authority must give the applicant or certificate holder an 13 information notice about the decision to refuse to grant or renew, 14 or to cancel or suspend, the certificate; and 15 (b) the applicant or certificate holder may appeal to the Supreme 16 Court against the decision within 28 days after the date the 17 information notice is given to the applicant or certificate holder. 18 (4) Also, the regulatory authority must give a copy of the information 19 notice to the commissioner. 20 58 Restriction on making further application 21 (1) This section applies if a regulatory authority decides under 22 section 5715 to refuse to grant or renew a local practising certificate to an 23 individual or to cancel or suspend an individual's local practising 24 certificate. 25 (2) The authority may also decide that the individual is not entitled to 26 apply for the grant of a local practising certificate for a stated period not 27 exceeding 5 years. 28 (3) If the authority makes a decision under subsection (2), the authority 29 must include the decision in the information notice required under 30 section 57(3)(a) and the applicant or certificate holder may also appeal to 31 14 Section 55 (Application for local practising certificate if show cause event since first admission) or 56 (Requirement if show cause event) 15 Section 57 (Refusal, cancellation or suspension of local practising certificate because of failure to show cause)

 


 

s 59 53 s 60 Legal Profession Bill 2003 the Supreme Court against the decision within 28 days after the date the 1 information notice is given to the applicant or certificate holder. 2 (4) An individual about whom a decision has been made under this 3 section, or under a provision of a corresponding law, is not entitled to apply 4 for the grant of a local practising certificate during the period stated in the 5 decision. 6 59 Relationship of this division with ch 5, pt 2 7 (1) An investigator nominated by a regulatory authority for appointment 8 as an investigator may exercise powers under chapter 5, part 216 for a 9 matter under this division as if the matter were the subject of a complaint. 10 (2) Accordingly, the provisions of chapter 5, part 2 apply in relation to a 11 matter under this division, and so apply with any necessary changes. 12 (3) Nothing in this division-- 13 (a) prevents a regulatory authority from making a complaint about a 14 matter to which this division relates; or 15 (b) the commissioner investigating or referring a matter for 16 investigation as mentioned in section 182.17 17 Division 7--Amendment, cancellation or suspension of local practising 18 certificates 19 60 Application of ch 2, pt 4, div 7 20 This division does not apply to a show cause event to which division 618 21 applies. 22 16 Chapter 5 (Suitability reports and investigations), part 2 (Investigators and their powers) 17 Section 182 (Referral by commissioner to law society or bar association) 18 Division 6 (Special powers relating to local practising certificates)

 


 

s 61 54 s 62 Legal Profession Bill 2003 61 Grounds for amending, cancelling or suspending a local 1 practising certificate 2 Each of the following is a ground for amending, cancelling or 3 suspending a local practising certificate-- 4 (a) the certificate holder is no longer a fit and proper person to hold 5 the certificate; 6 (b) the certificate holder does not have, or no longer has, 7 professional indemnity insurance that complies with this Act in 8 relation to the relevant practising certificate; 9 (c) if a condition of the certificate is that the certificate holder is 10 limited to legal practice stated in the certificate--the certificate 11 holder is engaging in legal practice that the holder is not entitled 12 to engage in under this Act. 13 14 Note for paragraph (a)-- 15 Section 4119 states how a decision about a person being fit and proper is to 16 be made. 62 Amending, cancelling or suspending local practising certificate 17 (1) If the relevant regulatory authority believes a ground exists to amend, 18 cancel or suspend an individual's local practising certificate (the 19 "proposed action"), the authority must give the individual a notice (the 20 "show cause notice") that states-- 21 (a) the proposed action and-- 22 (i) if the proposed action is to amend the certificate in a way, 23 including by imposing a condition on the certificate or by 24 changing an existing condition that may be imposed under 25 section 4820--states the proposed amendment; and 26 (ii) if the proposed action is to suspend the certificate--states 27 the proposed period of suspension; and 28 (b) the grounds for proposing to take the proposed action; and 29 (c) an outline of the facts and circumstances that form the basis for 30 the authority's belief; and 31 19 Section 41 (How suitability relating to holding local practising certificate is to be decided in this part) 20 Section 48 (Conditions imposed by law society or bar association)

 


 

s 63 55 s 63 Legal Profession Bill 2003 (d) an invitation to the certificate holder to make representations to 1 the authority, within a stated time of not less than 28 days, why 2 the proposed action should not be taken. 3 (2) If, after considering all representations made within the stated time 4 or, in its discretion, after the stated time, the regulatory authority still 5 believes a ground exists to take the proposed action, the authority may-- 6 (a) if the show cause notice stated the proposed action was to amend 7 the practising certificate--amend the certificate in the way stated, 8 or in another way the authority considers appropriate because of 9 the representations; or 10 (b) if the show cause notice stated the proposed action was to cancel 11 the practising certificate--cancel the certificate or suspend the 12 certificate for a period; or 13 (c) if the show cause notice stated the proposed action was to 14 suspend the practising certificate for a stated period--suspend 15 the certificate for a period no longer than the stated period or 16 amend the certificate in a way the authority considers appropriate 17 because of the representations. 18 (3) If the regulatory authority decides to amend, cancel or suspend the 19 local practising certificate-- 20 (a) the authority must give the certificate holder an information 21 notice about the decision to amend, cancel or suspend the 22 certificate; and 23 (b) the certificate holder may appeal to the Supreme Court against 24 the decision within 28 days after the date the information notice 25 is given to the certificate holder. 26 63 Operation of amendment, cancellation or suspension of local 27 practising certificate 28 (1) This section applies if a decision is made to amend, cancel or 29 suspend a local practising certificate under section 62.21 30 (2) Subject to subsections (3) and (4), the amendment, cancellation or 31 suspension takes effect on the later of the following-- 32 21 Section 62 (Amending, cancelling or suspending a local practising certificate)

 


 

s 64 56 s 64 Legal Profession Bill 2003 (a) the day that the information notice about the decision is given to 1 the certificate holder; 2 (b) the day stated in the information notice. 3 (3) If the practising certificate is amended, cancelled or suspended 4 because the certificate holder has been convicted of an offence-- 5 (a) the Supreme Court may, on the application of the certificate 6 holder, order that the amendment, cancellation or suspension be 7 stayed until-- 8 (i) the end of the time to appeal against the conviction; and 9 (ii) if an appeal is made against the conviction--the appeal is 10 finally decided, lapses or otherwise ends; and 11 (b) the amendment, cancellation or suspension does not have effect 12 during any period for which the stay is in force. 13 (4) If the practising certificate is amended, cancelled or suspended 14 because the certificate holder has been convicted of an offence and the 15 conviction is quashed-- 16 (a) the amendment or suspension ceases to have effect when the 17 conviction is quashed; or 18 (b) the cancellation ceases to have effect when the conviction is 19 quashed and the certificate is restored as if it had merely been 20 suspended. 21 64 Return of amended, cancelled or suspended local practising 22 certificate 23 (1) This section applies if a local legal practitioner's local practising 24 certificate is amended, cancelled or suspended by the relevant regulatory 25 authority. 26 (2) The regulatory authority may-- 27 (a) give the certificate holder a notice requiring the practitioner to 28 return the certificate to the authority in the way stated in the 29 notice within a stated period of not less than 7 days; or 30 (b) include in an information notice that the authority must give to 31 the certificate holder under this part a further notice requiring the 32 holder to return the certificate to the authority in the way stated in 33 the notice within a stated period of not less than 7 days. 34

 


 

s 65 57 s 66 Legal Profession Bill 2003 (3) The certificate holder must comply with the requirement, unless the 1 holder has a reasonable excuse. 2 Maximum penalty--50 penalty units. 3 (4) The regulatory authority must return the practising certificate to the 4 certificate holder-- 5 (a) if the certificate is amended--after amending it; or 6 (b) if the certificate is suspended and is still current at the end of the 7 suspension period--at the end of the suspension period. 8 65 Other ways of amending or cancelling a local practising certificate 9 (1) This section applies if-- 10 (a) a local legal practitioner applies, in the approved form, to the 11 regulatory authority to amend or cancel the local legal 12 practitioner's practising certificate; or 13 (b) the regulatory authority proposes to amend a local legal 14 practitioner's practising certificate-- 15 (i) only for a formal or clerical reason or in another way that 16 does not adversely affect the legal practitioner's interests; 17 and 18 (ii) the local legal practitioner agrees in writing to the 19 amendment; or 20 (c) the regulatory authority considers cancellation of the local legal 21 practitioner is appropriate because the practitioner's name has 22 been removed from the local roll. 23 (2) The authority may amend or cancel the local practising certificate as 24 mentioned in subsection (1) by written notice given to the legal 25 practitioner. 26 66 Relationship of this division with ch 3 27 Nothing in this division prevents-- 28 (a) a regulatory authority from making a complaint about a matter to 29 which this division relates; or 30

 


 

s 67 58 s 68 Legal Profession Bill 2003 (b) the commissioner investigating or referring a matter for 1 investigation as mentioned in section 182.22 2 Division 8--Interstate legal practitioners 3 67 Requirement for interstate practising certificate and professional 4 indemnity insurance 5 (1) An interstate legal practitioner must not engage in legal practice in 6 this jurisdiction, or represent or advertise that the practitioner is entitled to 7 engage in legal practice in this jurisdiction, unless the practitioner-- 8 (a) is covered by professional indemnity insurance that-- 9 (i) covers legal practice in this jurisdiction; and 10 (ii) complies with the requirements prescribed under a 11 regulation, being requirements that are no more onerous 12 than the requirements under section 45(2);23 or 13 (b) is employed by a corporation, other than an incorporated legal 14 practice, and the only legal services provided by the practitioner 15 in this jurisdiction are in-house legal services. 16 Maximum penalty--300 penalty units or imprisonment for 2 years. 17 (2) A contravention of subsection (1) is capable of constituting 18 unsatisfactory professional conduct or professional misconduct. 19 (3) A regulation may require an interstate legal practitioner to disclose 20 information about professional indemnity insurance to clients or 21 prospective clients. 22 68 Extent of entitlement of certificate holder of interstate practising 23 certificate to practise in this jurisdiction 24 (1) This part does not authorise an interstate legal practitioner to engage 25 in legal practice in this jurisdiction to a greater extent than a local legal 26 practitioner may be authorised under a local practising certificate to engage 27 in legal practice in this jurisdiction. 28 22 Section 182 (Referral by commissioner to law society or bar association) 23 Section 45 (Professional indemnity insurance)

 


 

s 69 59 s 69 Legal Profession Bill 2003 (2) Also, the interstate legal practitioner's right to engage in legal 1 practice in this jurisdiction-- 2 (a) is subject to any conditions imposed by the relevant regulatory 3 authority under section 69;24 and 4 (b) to the greatest practicable extent and with all necessary 5 changes-- 6 (i) is the same as the practitioner's right to engage in legal 7 practice in the practitioner's home jurisdiction; and 8 (ii) is subject to any condition applicable to the practitioner's 9 right to engage in legal practice in that jurisdiction, 10 including any conditions imposed on the practitioner's 11 admission. 12 (3) An interstate legal practitioner must not engage in legal practice in 13 this jurisdiction in a way that is not authorised under this Act or in 14 contravention of any condition mentioned in this section. 15 (4) A contravention of this section is capable of constituting 16 unsatisfactory professional conduct or professional misconduct. 17 69 Additional condition on interstate legal practitioner engaging in 18 legal practice in this jurisdiction 19 (1) The relevant regulatory authority may impose a condition on an 20 interstate legal practitioner engaged in legal practice in this jurisdiction that 21 it may impose under this Act on a local practising certificate at the time the 22 certificate is granted or renewed. 23 (2) However, conditions imposed under this section must not be more 24 onerous than conditions applying to local legal practitioners. 25 (3) If the regulatory authority imposes a condition on an interstate legal 26 practitioner engaged in legal practice in this jurisdiction-- 27 (a) the authority must give the interstate legal practitioner an 28 information notice about the decision to impose the condition; 29 and 30 24 Section 69 (Additional condition on interstate legal practitioner engaging in legal practice in this jurisdiction)

 


 

s 70 60 s 72 Legal Profession Bill 2003 (b) the interstate legal practitioner may appeal to the Supreme Court 1 against the decision within 28 days after the date the information 2 notice is given to the certificate holder. 3 70 Special provision about interstate legal practitioner engaging in 4 unsupervised legal practice in this jurisdiction 5 An interstate legal practitioner may not engage in unsupervised legal 6 practice in this jurisdiction unless-- 7 (a) if the interstate legal practitioner completed practical legal 8 training under articles of clerkship--the practitioner has 9 undertaken a period of or periods equivalent to 18 months 10 supervised legal practice, worked out under the regulation, after 11 the day the practitioner's first practising certificate was granted; 12 or 13 (b) if the interstate legal practitioner completed other practical legal 14 training--the practitioner has undertaken a period of or periods 15 equivalent to 2 years supervised legal practice, worked out under 16 the regulation, after the day the practitioner's first practising 17 certificate was granted. 18 71 Interstate legal practitioner is officer of Supreme Court 19 An interstate legal practitioner has all the duties and obligations of an 20 officer of the Supreme Court, and for those duties and obligations is subject 21 to the jurisdiction of the Supreme Court. 22 Division 9--Miscellaneous provisions about local practising certificates 23 and other matters 24 72 Immediate suspension of local practising certificate 25 (1) This section applies whether or not action in relation to a local legal 26 practitioner has been started under division 6.25 27 (2) If the relevant regulatory authority considers it necessary in the 28 public interest to immediately suspend a local practising certificate for any 29 25 Division 6 (Special powers relating to local practising certificates)

 


 

s 72 61 s 72 Legal Profession Bill 2003 of the following reasons, whether they happened before or after the 1 commencement of this section, the authority may, by information notice 2 given to the local legal practitioner about the decision to suspend the 3 certificate, immediately suspend the practising certificate-- 4 (a) the local legal practitioner has become an insolvent under 5 administration; 6 (b) the local legal practitioner has been convicted of a serious 7 offence or tax offence; 8 (c) a ground exists on which the certificate could be cancelled or 9 suspended under section 62.26 10 (3) Subject to subsection (7), the practising certificate continues to be 11 suspended until the earlier of the following-- 12 (a) the time at which the regulatory authority informs the local legal 13 practitioner of the authority's decision by information notice 14 under section 62(3); 15 (b) the end of 56 days after the information notice is given to the 16 local legal practitioner under this section. 17 (4) The information notice mentioned in subsection (2) must also state 18 that the local legal practitioner may make representations to the regulatory 19 authority about the suspension. 20 (5) If the local legal practitioner makes representations to the regulatory 21 authority about the suspension, the authority must consider the 22 representations. 23 (6) The regulatory authority may revoke the suspension at any time, 24 whether or not because of representations made to it by the local legal 25 practitioner. 26 (7) Also, the regulatory authority may apply to the Supreme Court for an 27 order extending the period of the suspension and, if the court considers it 28 appropriate and the suspension has not ended under subsection (3), the 29 court may extend the period of the suspension for a further period of not 30 more than a further 56 days after the date of the court order. 31 (8) The regulatory authority must give the certificate holder an 32 information notice about its decision to apply under subsection (7) for an 33 order extending the period of the suspension. 34 26 Section 62 (Amending, cancelling or suspending local practising certificate)

 


 

s 73 62 s 75 Legal Profession Bill 2003 73 Duration of local practising certificates 1 (1) A local practising certificate granted under this Act is in force from 2 the date stated in it until the end of the financial year in which it is granted, 3 unless the certificate is sooner cancelled or suspended. 4 (2) A local practising certificate renewed under this Act is in force until 5 the end of the financial year following its previous period of currency, 6 unless the certificate is sooner cancelled or suspended. 7 (3) If a local legal practitioner applies for the renewal of a local 8 practising certificate before the time stated in the regulatory authority's 9 administration rule for applying for a renewal and the authority has not 10 decided the application by the following 1 July, the certificate-- 11 (a) continues in force on and after that 1 July until 1 of the following 12 happens-- 13 (i) the authority renews or refuses to renew the certificate; 14 (ii) the local legal practitioner withdraws the application for 15 renewal; 16 (iii) the certificate is cancelled or suspended; and 17 (b) if renewed, is taken to have been renewed on that 1 July. 18 74 Surrender and cancellation of local practising certificate 19 (1) The holder of a local practising certificate may surrender the 20 certificate to the relevant regulatory authority. 21 (2) The authority may cancel a practising certificate surrendered under 22 subsection (1). 23 75 Protocols 24 (1) A regulatory authority may enter into arrangements ("protocols") 25 with regulatory authorities of other jurisdictions about deciding-- 26 (a) the jurisdiction from which an Australian lawyer practises law 27 principally or can reasonably expect to practise law principally; 28 or 29 (b) the circumstances in which an arrangement under which an 30 Australian legal practitioner practises in a jurisdiction-- 31 (i) may be regarded as being of a temporary nature; or 32

 


 

s 76 63 s 76 Legal Profession Bill 2003 (ii) ceases to be of a temporary nature; or 1 (c) the circumstances in which an Australian legal practitioner may 2 reasonably expect to practise law principally in a jurisdiction 3 during the currency of the practitioner's local practising 4 certificate or interstate practising certificate. 5 (2) For the purposes of this Act, and to the extent that the protocols are 6 relevant, a matter mentioned in subsection (1)(a), (b) or (c) is to be decided 7 under the protocols. 8 (3) The regulatory authority may enter into an arrangement that amends, 9 revokes or replaces a protocol. 10 (4) A protocol has effect in this jurisdiction only to the extent it is 11 approved under a regulation. 12 76 Consideration of applicant for local practising certificate 13 and certificate holder 14 (1) The purpose of this section is to enable a regulatory authority to 15 obtain a document or information, or a person's cooperation, to the extent 16 necessary for the authority to consider whether or not to grant, renew, 17 cancel or suspend a local practising certificate, or to impose conditions on a 18 local practising certificate. 19 (2) The relevant regulatory authority may, by written notice to the 20 applicant or certificate holder, ask the applicant or certificate holder-- 21 (a) to give it a stated document or information that the authority 22 believes is necessary for the authority's consideration about a 23 local practising certificate; or 24 (b) to cooperate in a stated way with the authority in an investigation 25 or inquiry that the authority believes is necessary for the 26 authority's consideration about a local practising certificate. 27 (3) The regulatory authority may decide to not grant or renew, to cancel 28 or suspend or to impose conditions on, a local practising certificate, if the 29 applicant or the certificate holder fails-- 30 (a) to give the stated documents or information as requested under 31 subsection (2); or 32 (b) to cooperate with the authority in its investigations or inquiries as 33 requested under subsection (2). 34

 


 

s 77 64 s 78 Legal Profession Bill 2003 77 Register of local practising certificates 1 (1) A regulatory authority must, in the way it considers appropriate, keep 2 a register of the names of Australian lawyers to whom it grants local 3 practising certificates. 4 (2) The register must-- 5 (a) state conditions, if any, imposed on a local practising certificate 6 relating to the certificate holder engaging in legal practice; and 7 (b) include other particulars prescribed under a regulation. 8 (3) A regulatory authority must keep its register-- 9 (a) available for inspection, without charge, at the authority's 10 principal place of business during normal business hours; or 11 (b) on the authority's internet site or an internet site identified on the 12 authority's internet site. 13 78 Regulatory authority may charge reasonable fees 14 (1) A regulatory authority may charge fees for the services that it 15 provides. 16 (2) The fees must be reasonable having regard to the funding that the 17 regulatory authority receives under this Act and the cost to the authority of 18 performing its functions under a relevant law. 19 (3) The fees set by a regulatory authority may be included in an 20 administration rule. 21 (4) Despite subsection (1), a regulatory authority may not charge a fee 22 for a service provided to another entity that has functions under a relevant 23 law. 24

 


 

s 79 65 s 81 Legal Profession Bill 2003 PART 5--INCORPORATED LEGAL PRACTICES 1 Division 1--Preliminary 2 79 Main purpose of ch 2, pt 5 3 The main purpose of this part is to regulate the provision of legal 4 services by corporations in this jurisdiction, whether or not the legal 5 services are provided in conjunction with other services. 6 80 Meaning of "incorporated legal practice" 7 (1) A corporation is an "incorporated legal practice" if it engages in 8 legal practice in this jurisdiction, whether or not it provides services that 9 are not legal services. 10 (2) However, a corporation is not an incorporated legal practice if the 11 legal services provided by it are only either or both the following 12 services-- 13 (a) in-house legal services; 14 (b) services that are not legally required to be provided by an 15 Australian legal practitioner and that are provided by an officer 16 or employee of the corporation who is not an Australian legal 17 practitioner. 18 (3) Also, a corporation that provides legal services is not an incorporated 19 legal practice if-- 20 (a) the corporation is prescribed under a regulation as a corporation 21 that is not an incorporated legal practice; and 22 (b) the corporation complies with provisions of that regulation 23 applying provisions of this part, with or without changes. 24 (4) Nothing in this part affects or applies to the provision by an 25 incorporated legal practice of legal services in 1 or more other jurisdictions 26 under a corresponding law or corresponding laws. 27 81 Definitions 28 In this part-- 29

 


 

s 81 66 s 81 Legal Profession Bill 2003 "corporation" means-- 1 (a) a company within the meaning of the Corporations Act; or 2 (b) a body corporate prescribed under a regulation. 3 "director" means-- 4 (a) in relation to a company within the meaning of the Corporations 5 Act--a director as defined in section 9 of that Act; or 6 (b) in relation to another body corporate prescribed under a 7 regulation--a person stated or described in a regulation as a 8 director. 9 "disqualified person" means any of the following persons whether the 10 thing that has happened to the person happened before or after the 11 commencement of this part-- 12 (a) a person whose name has, whether or not at his or her own 13 request, been removed from an Australian roll and who has not 14 subsequently been admitted or re-admitted as a lawyer under a 15 relevant law or a corresponding law; 16 (b) a person whose practising certificate has been cancelled or 17 suspended under a relevant law or a corresponding law and who, 18 because of the cancellation, is not an Australian legal practitioner 19 or in relation to whom that suspension has not finished; 20 (c) a person who has been refused a renewal of a practising 21 certificate under a relevant law or a corresponding law, and to 22 whom a practising certificate has not been granted at a later time; 23 (d) a person who is the subject of an order under a relevant law or a 24 corresponding law prohibiting a law practice from employing or 25 paying the person in connection with the relevant practice; 26 (e) a person who is the subject of an order under a corresponding 27 law prohibiting an Australian legal practitioner from being a 28 partner of the person in a business that includes the provision of 29 legal services; 30 (f) a person who is the subject of an order under section 110,27 a 31 corresponding law or a provision of a corresponding law relating 32 to prohibitions on partnerships with non-legal partners. 33 "ILP authority" means-- 34 27 Section 110 (Disqualification from managing incorporated legal practice)

 


 

s 82 67 s 82 Legal Profession Bill 2003 (a) the commissioner; or 1 (b) the law society; or 2 (c) the commissioner and the law society acting jointly under an 3 arrangement made between the commissioner and law society. 4 "lawyer director" means a director of an incorporated legal practice who 5 is an Australian legal practitioner who holds an unrestricted practising 6 certificate. 7 "officer" means-- 8 (a) in relation to a company within the meaning of the Corporations 9 Act--an officer as defined in section 9 of that Act; or 10 (b) in relation to another body corporate prescribed under a 11 regulation--a person stated or described in the regulation as an 12 officer. 13 "professional obligations", of an Australian legal practitioner, include-- 14 (a) duties to the Supreme Court; and 15 (b) obligations in connection with conflicts of interest; and 16 (c) duties to clients, including disclosure; and 17 (d) ethical rules the legal practitioner must observe. 18 "related body corporate" means-- 19 (a) in relation to a company within the meaning of the Corporations 20 Act--a related body corporate within the meaning of section 50 21 of that Act; or 22 (b) in relation to any other body corporate prescribed under a 23 regulation--a person stated or described in the regulation as a 24 related body corporate. 25 Division 2--Incorporated legal practices providing legal services 26 82 Non-legal services and businesses of incorporated legal practices 27 (1) An incorporated legal practice may provide any service and conduct 28 any business that the corporation may lawfully provide or conduct, except 29 as provided by this section. 30

 


 

s 83 68 s 84 Legal Profession Bill 2003 (2) An incorporated legal practice must not conduct a managed 1 investment scheme within the meaning of the Corporations Act, 2 chapter 5C.28 3 (3) Also if a regulation prohibits an incorporated legal practice, or a 4 related body corporate of the practice, from providing a service or 5 conducting a business of a kind stated in the regulation, the practice must 6 not provide the service or conduct the business. 7 8 Note-- 9 Contravention of this section or the regulation is a ground for banning an incorporated 10 legal practice under section 109.29 83 Corporations eligible to be incorporated legal practice 11 (1) Any corporation is, subject to this part, eligible to be an incorporated 12 legal practice. 13 (2) This section does not authorise a corporation to provide legal 14 services if the corporation is prohibited from doing so under-- 15 (a) this Act; or 16 (b) a law of the Commonwealth under which it is incorporated or its 17 affairs are regulated; or 18 (c) an Act, or a law of another jurisdiction, under which it is 19 incorporated or its affairs are regulated. 20 (3) An incorporated legal practice is not required to hold a practising 21 certificate. 22 84 Notice of intention to start providing legal services 23 (1) Before a corporation starts to engage in legal practice in this 24 jurisdiction, the corporation must give the law society written notice in the 25 approved form of its intention to do so. 26 (2) A corporation must not engage in legal practice in this jurisdiction if 27 it has not given a notice under subsection (1). 28 Maximum penalty-- 29 28 Corporations Act, chapter 5C (Managed investment schemes) 29 Section 109 (Banning of incorporated legal practices)

 


 

s 85 69 s 86 Legal Profession Bill 2003 (a) for an individual guilty under the Criminal Code, chapter 2 of an 1 offence or for section 37130--300 penalty units; or 2 (b) for a corporation--1 500 penalty units. 3 (3) A corporation that starts to engage in legal practice in this jurisdiction 4 without giving a notice under subsection (1) is in default of this section 5 until it gives the law society notice, in the approved form, of the failure to 6 comply with that subsection and the fact that it has started to engage in 7 legal practice. 8 (4) The giving of a notice under subsection (3) does not affect a 9 corporation's liability under subsection (1) or (2). 10 (5) A corporation is not entitled to recover any amount for anything the 11 corporation did in contravention of subsection (2). 12 (6) A person may recover from a corporation, as a debt due to the person, 13 any amount the person paid to the corporation for anything the corporation 14 did in contravention of subsection (2). 15 85 Prohibition on directors etc representing that corporation is 16 incorporated legal practice 17 (1) A director, officer, employee or agent of a corporation must not, 18 without a reasonable excuse, represent or advertise that the corporation is 19 an incorporated legal practice unless a notice in relation to the corporation 20 has been given under section 84. 21 Maximum penalty--300 penalty units or 2 years imprisonment. 22 (2) A reference in this section to a director, officer, employee or agent of 23 a corporation representing or advertising that the corporation is an 24 incorporated legal practice includes the director, officer, employee or agent 25 doing anything that states or implies that the corporation is entitled to 26 engage in legal practice. 27 86 Notice of termination of provision of legal services 28 A corporation must, within the period prescribed under a regulation after 29 it stops engaging in legal practice in this jurisdiction as an incorporated 30 legal practice, give the law society written notice in the approved form of 31 that fact. 32 30 Section 371 (Executive officers must ensure corporation complies with Act)

 


 

s 87 70 s 88 Legal Profession Bill 2003 Maximum penalty-- 1 (a) for an individual guilty under the Criminal Code, chapter 2 of an 2 offence or for section 37131--20 penalty units; or 3 (b) for a corporation--100 penalty units. 4 Division 3--Lawyer directors, and other legal practitioners employed by 5 incorporated legal practices 6 87 Incorporated legal practice must have lawyer director 7 (1) An incorporated legal practice is required to have at least 1 lawyer 8 director. 9 (2) Each lawyer director of an incorporated legal practice is, for the 10 purposes only of this Act, responsible for the management of the legal 11 services provided in this jurisdiction by the incorporated legal practice. 12 (3) Each lawyer director of an incorporated legal practice must ensure 13 that appropriate management systems are implemented and maintained to 14 enable the provision of legal services by the incorporated legal practice-- 15 (a) under the professional obligations of Australian legal 16 practitioners and other obligations imposed under this Act; and 17 (b) so that the obligations of the Australian legal practitioners who 18 are officers or employees of the practice are not affected by other 19 officers or employees of the practice. 20 (4) Nothing in this part derogates from the obligations or liability of a 21 director of an incorporated legal practice under any other law. 22 88 Obligations of lawyer director relating to misconduct 23 (1) Each of the following is capable of constituting unsatisfactory 24 professional conduct or professional misconduct by a lawyer director-- 25 (a) unsatisfactory professional conduct or professional misconduct 26 of an Australian legal practitioner employed by the incorporated 27 legal practice; 28 31 Section 371 (Executive officers must ensure corporation complies with Act)

 


 

s 89 71 s 89 Legal Profession Bill 2003 (b) conduct of any other director, not being an Australian legal 1 practitioner, of the incorporated legal practice that adversely 2 affects the provision of legal services by the practice; 3 (c) the unsuitability of any other director, not being an Australian 4 legal practitioner, of the incorporated legal practice to be a 5 director of a corporation that provides legal services. 6 (2) A lawyer director of an incorporated legal practice must ensure that 7 all reasonable action available to the lawyer director is taken to deal with 8 any unsatisfactory professional conduct or professional misconduct of an 9 Australian legal practitioner employed by the practice. 10 (3) A contravention of subsection (2) is capable of constituting 11 unsatisfactory professional conduct or professional misconduct by the 12 lawyer director. 13 89 Incorporated legal practice without lawyer director 14 (1) An incorporated legal practice contravenes this subsection if it does 15 not have a lawyer director for the corporation for a period 16 exceeding 7 days. 17 (2) If an incorporated legal practice stops having a lawyer director, the 18 incorporated legal practice must notify the law society of that fact, by 19 notice in the approved form given to the law society within 7 days after the 20 practice stops having a lawyer director. 21 Maximum penalty-- 22 (a) for an individual guilty under the Criminal Code, chapter 2 of an 23 offence or for section 37132--60 penalty units; or 24 (b) for a corporation--300 penalty units. 25 (3) An incorporated legal practice that contravenes subsection (1) is 26 taken to be in default of lawyer director requirements under this section for 27 the period from the end of the period of 7 days until-- 28 (a) it has at least 1 lawyer director; or 29 (b) an individual is appointed under this section, or the provisions of 30 a corresponding law, in relation to the practice. 31 32 Section 371 (Executive officers must ensure corporation complies with Act)

 


 

s 90 72 s 90 Legal Profession Bill 2003 (4) An incorporated legal practice must not provide legal services in this 1 jurisdiction during any period it is in default of lawyer director 2 requirements as mentioned in subsection (3). 3 Maximum penalty-- 4 (a) for an individual guilty under the Criminal Code, chapter 2 of an 5 offence or for section 37133--180 penalty units; or 6 (b) for a corporation--900 penalty units. 7 (5) The law society may, if it considers it appropriate, appoint an 8 Australian legal practitioner who is an employee of the incorporated legal 9 practice, or another individual nominated by the society, in the absence of a 10 lawyer director, to exercise or perform the functions or duties conferred or 11 imposed on a lawyer director under this part. 12 (6) An Australian legal practitioner is not eligible to be appointed under 13 this section unless the practitioner holds an unrestricted practising 14 certificate. 15 (7) The appointment under this section of an individual to exercise or 16 perform functions or duties of a lawyer director does not, for any other 17 purpose, confer or impose on the individual any of the other functions or 18 duties of a director of the incorporated legal practice. 19 (8) An incorporated legal practice does not contravene subsection (1) 20 during any period during which an individual holds an appointment under 21 subsection (5) in relation to the practice. 22 90 Obligations and privileges of an Australian legal practitioner who 23 is an officer or employee 24 (1) An Australian legal practitioner who provides legal services for an 25 incorporated legal practice in the capacity of an officer or employee of the 26 incorporated legal practice-- 27 (a) is not excused from compliance with the professional obligations 28 of an Australian legal practitioner, or any obligations as an 29 Australian legal practitioner under any law; and 30 (b) does not lose the professional privileges of an Australian legal 31 practitioner. 32 33 Section 371 (Executive officers must ensure corporation complies with Act)

 


 

s 91 73 s 92 Legal Profession Bill 2003 (2) For the purpose only of subsection (1), the professional obligations 1 and professional privileges of an Australian legal practitioner apply as if-- 2 (a) for an incorporated legal practice with 2 or more lawyer 3 directors--the practice were a partnership of the lawyer directors 4 and the employees of the practice were employees of the lawyer 5 directors; and 6 (b) for an incorporated legal practice with only 1 lawyer 7 director--the practice were a sole practitioner and the employees 8 of the practice were employees of the lawyer director. 9 (3) To remove any doubt, it is declared that the law relating to client legal 10 privilege, or other legal professional privilege, is not excluded or otherwise 11 affected because an Australian legal practitioner is acting in the capacity of 12 an officer or employee of an incorporated legal practice. 13 (4) The directors of an incorporated legal practice do not breach their 14 duties as directors merely because legal services are provided without fee 15 or reward by the Australian legal practitioners employed by the practice. 16 Division 4--Particular matters including application of other provisions 17 of relevant laws 18 91 Insurance obligations 19 (1) The provisions of this Act, including provisions of an administration 20 rule, relating to insurance apply with any necessary changes to 21 incorporated legal practices in relation to the provision of legal services in 22 the same way that the provisions apply to Australian legal practitioners. 23 (2) However, this section does not affect an obligation of an Australian 24 legal practitioner, who is an officer or employee of an incorporated legal 25 practice, to comply with the provisions of this Act or an administration rule 26 relating to insurance. 27 92 Conflicts of interest 28 (1) For the purposes of the application of any law, including the common 29 law or a legal profession rule relating to conflicts of interest, to the conduct 30 of-- 31 (a) a lawyer director of an incorporated legal practice; or 32

 


 

s 93 74 s 93 Legal Profession Bill 2003 (b) an Australian legal practitioner who is an officer or employee of 1 an incorporated legal practice; 2 the interests of the incorporated legal practice or any related body corporate 3 are also taken to be those of the practitioner concerned (in addition to any 4 interests that the practitioner has apart from this subsection). 5 (2) A legal profession rule may be made for additional duties and 6 obligations in connection with conflicts of interest arising out of the 7 conduct of an incorporated legal practice. 8 9 Note-- 10 Under section 90,34 a legal practitioner who is an officer or employee of an incorporated 11 legal practice must comply with the same professional obligations as other practitioners 12 in connection with conflicts of interest. 93 Disclosure obligations 13 (1) This section applies if a person engages an incorporated legal 14 practice to provide services that the person might reasonably assume to be 15 legal services, but does not apply if the practice provides only legal 16 services in this jurisdiction. 17 (2) Each lawyer director of the incorporated legal practice, and any 18 Australian legal practitioner who is an employee and who provides the 19 services on behalf of the practice, must ensure that a disclosure is made to 20 the person about the services that complies with the requirements of this 21 section and a regulation made for this section. 22 Maximum penalty--100 penalty units. 23 (3) The disclosure must be made by giving the person a written notice-- 24 (a) setting out-- 25 (i) the legal services, if any, to be provided; and 26 (ii) the services other than legal services, if any, to be provided 27 in connection with the provision of legal services; and 28 (b) stating whether or not all the legal services will be provided by 29 an Australian legal practitioner; and 30 34 Section 90 (Obligations and privileges of an Australian legal practitioner who is an officer or employee)

 


 

s 94 75 s 94 Legal Profession Bill 2003 (c) if some or all of the legal services will not be provided by an 1 Australian legal practitioner--identifying those services and 2 indicating the status or qualifications of the person or persons 3 who will provide the services; and 4 (d) stating that this Act applies to the provision of legal services but 5 not to the provision of services that are not legal services. 6 (4) A regulation may provide for the following matters-- 7 (a) the way in which disclosure is to be made; 8 (b) additional matters required to be disclosed in connection with the 9 provision of legal services, or services other than legal services, 10 by an incorporated legal practice. 11 (5) Without limiting subsection (4), the additional matters may include 12 the kind of services provided by the incorporated legal practice and 13 whether those services are or are not covered by the insurance35 or other 14 provisions of this Act. 15 (6) A disclosure under this section to a person about the provision of 16 legal services may relate to the provision of legal services on 1 occasion or 17 on more than 1 occasion. 18 94 Effect of non-disclosure of provision of particular services 19 (1) If-- 20 (a) a legal service provided by an incorporated legal practice is of a 21 kind that may legally be provided by a person other than an 22 Australian legal practitioner; and 23 (b) no disclosure is made under section 9336 that the officer or 24 employee providing the service is not an Australian legal 25 practitioner; 26 the standard of care owed by the practice in relation to the service is the 27 standard that would be applicable if the service had been provided by an 28 Australian legal practitioner. 29 (2) The reference in subsection (1) to a legal service includes a service 30 that the person who engaged the incorporated legal practice to provide the 31 service might reasonably assume to be a legal service. 32 35 See section 91 (Insurance obligations). 36 Section 93 (Disclosure obligations)

 


 

s 95 76 s 99 Legal Profession Bill 2003 95 Application of a legal profession rule 1 A legal profession rule, so far as it applies to an Australian legal 2 practitioner, applies to an Australian legal practitioner who is an officer or 3 employee of an incorporated legal practice, unless the rule otherwise 4 provides. 5 96 Advertising restrictions 6 A restriction imposed under this or any other Act in connection with 7 advertising by Australian legal practitioners applies to advertising by an 8 incorporated legal practice in relation to the provision of legal services. 9 97 Advertising by incorporated legal practice 10 An advertisement by an incorporated legal practice about the provision 11 of legal services is, for the purposes of disciplinary proceedings taken 12 against an Australian legal practitioner, taken to have been authorised by 13 each lawyer director of the incorporated legal practice. 14 98 Requirements relating to trust accounts and particular moneys 15 A provision under a relevant law relating to trust moneys or trust 16 accounts applies to an incorporated legal practice in the same way as the 17 provision applies to a solicitor within the meaning of the Trust Accounts 18 Act 1973. 19 99 Requirements relating to fidelity fund 20 (1) The provisions of relevant law relating to the fidelity fund apply, 21 subject to this section, with any necessary adaptations to incorporated legal 22 practices in the same way that they apply to Australian legal practitioners. 23 (2) Nothing in this section affects any obligation of an Australian legal 24 practitioner who is an officer or employee of an incorporated legal practice 25 to comply with the provisions of a relevant law relating to the fidelity fund. 26 (3) An incorporated legal practice is required to make payments to or on 27 account of the fidelity fund under a relevant law as if it were an Australian 28 lawyer applying for or holding a local practising certificate. 29 (4) The law society may suspend the local practising certificate of a 30 lawyer director of the practice if any payment is not made by the due date. 31

 


 

s 100 77 s 101 Legal Profession Bill 2003 (5) The amounts payable to the fidelity fund by an incorporated legal 1 practice may be worked out by reference to the total number of Australian 2 legal practitioners employed by the practice and other relevant matters. 3 100 Extension to incorporated legal practice of vicarious liability 4 relating to failure to account and dishonesty 5 (1) This section applies to any of the following, being proceedings based 6 on the vicarious liability of an incorporated legal practice-- 7 (a) civil proceedings relating to a failure to account for, pay or 8 deliver money or other property received by, or entrusted to, the 9 practice or to any officer or employee of the practice in the 10 course of the provision of legal services by the practice, being 11 money or other property under the direct or indirect control of 12 the practice; 13 (b) civil proceedings for any other debt owed, or damages payable, 14 to a client because of a dishonest act or omission by an 15 Australian legal practitioner who is an employee of the practice 16 in connection with the provision of legal services to the client. 17 (2) If the incorporated legal practice would not, apart from this section, 18 be vicariously liable for any acts or omissions of its officers and employees 19 in those proceedings, but would be liable for those acts or omissions if the 20 practice and those officers and employees were carrying on business in 21 partnership, the practice is taken to be vicariously liable for those acts or 22 omissions. 23 101 Sharing of receipts 24 (1) Nothing under this Act prevents an Australian legal practitioner from 25 sharing with an incorporated legal practice receipts arising from the 26 provision of legal services by the practitioner. 27 (2) This section does not extend to the sharing of receipts in 28 contravention of section 102,37 and has effect subject to section 135.38 29 37 Section 102 (Disqualified persons) 38 Section 135 (Particular provision about barristers rule)

 


 

s 102 78 s 103 Legal Profession Bill 2003 102 Disqualified persons 1 (1) An incorporated legal practice commits an offence if a person who is 2 a disqualified person-- 3 (a) is an officer or employee of the incorporated legal practice, 4 whether or not the person provides legal services, or is an officer 5 or employee of a related body corporate; or 6 (b) is a partner of the incorporated legal practice in a business that 7 includes the provision of legal services; or 8 (c) shares the receipts of the provision of legal services by the 9 incorporated legal practice; or 10 (d) is engaged or paid in connection with the provision of legal 11 services by the incorporated legal practice. 12 Maximum penalty-- 13 (a) for an individual guilty under the Criminal Code, chapter 2 of an 14 offence or for section 37139--60 penalty units; or 15 (b) for a corporation--300 penalty units. 16 (2) Failure by a lawyer director of an incorporated legal practice to 17 ensure that the incorporated legal practice complies with subsection (1) is 18 capable of constituting professional misconduct. 19 Division 5--Ensuring compliance with this Act by incorporated legal 20 practices 21 103 Commissioner or law society may audit incorporated legal 22 practice 23 (1) An ILP authority may conduct an audit of an incorporated legal 24 practice about-- 25 (a) the compliance of the practice, and of its officers and employees, 26 with the requirements of-- 27 (i) this part; or 28 (ii) a regulation so far as the regulation applies to incorporated 29 legal practices; or 30 39 Section 371 (Executive officers must ensure corporation complies with Act)

 


 

s 104 79 s 104 Legal Profession Bill 2003 (iii) an incorporated legal practice rule; and 1 (b) the management of the provision of legal services by the 2 incorporated legal practice, including the supervision of officers 3 and employees providing the services. 4 (2) An audit may be conducted whether or not a complaint has been 5 made involving legal services provided by the incorporated legal practice, 6 however that complaint is expressed, including, for example, as a 7 complaint about the practice, a lawyer director of the practice, or an 8 employee of the practice who is engaged in providing, or associated with 9 the provision of, legal services. 10 (3) A report of the audit-- 11 (a) must be given to the incorporated legal practice concerned; and 12 (b) may be given to another ILP authority; and 13 (c) may be taken into account in connection with-- 14 (i) discipline application involving an Australian lawyer or law 15 practice employee; or 16 (ii) the grant, renewal, amendment, cancellation or suspension 17 of a practising certificate of an Australian legal practitioner. 18 104 Investigative powers relating to audits and other matters 19 (1) An ILP authority or, if both ILP authorities are acting jointly, both 20 ILP authorities may exercise the powers set out in sections 105, 106 21 and 10740 for the following purposes-- 22 (a) an audit conducted under this division; 23 (b) an investigation under a relevant law relating to the trust accounts 24 of an incorporated legal practice; 25 (c) an investigation relating to a complaint made under a relevant 26 law involving legal services provided by an incorporated legal 27 practice however that complaint is expressed. 28 (2) This section does not limit the powers under chapter 3, or chapter 5, 29 part 2, in relation to a lawyer director, or an employee, of an ILP. 30 40 Sections 105 (Examination of persons), 106 (Inspection of books) and 107 (Power to hold hearings)

 


 

s 105 80 s 105 Legal Profession Bill 2003 105 Examination of persons 1 (1) Each ILP authority has and may exercise the same powers as those 2 conferred on the Australian Securities and Investments Commission by the 3 Australian Securities and Investments Commission Act 2001 (Cwlth), 4 part 3, division 2.41 5 (2) The Australian Securities and Investments Commission Act 2001 6 (Cwlth), part 3, division 2, applies to and in relation to the exercise of those 7 powers with the necessary changes, including the following changes-- 8 (a) a reference to the Australian Securities and Investments 9 Commission, however expressed, is taken to be a reference to an 10 ILP authority; 11 (b) a reference to a matter that is being or is to be investigated under 12 part 3, division 142 of that Act is taken to be a reference to a 13 matter that is being or is to be investigated by an ILP authority; 14 (c) a reference in section 1943 of that Act to a person is taken to be a 15 reference to an Australian legal practitioner or an incorporated 16 legal practice; 17 (d) a reference to an inspector is taken to be a reference to an 18 investigator under section 335;44 19 (e) a reference to a prescribed form is taken to be a reference to an 20 approved form that is approved by an ILP authority. 21 (3) The Australian Securities and Investments Commission Act 2001 22 (Cwlth), sections 22(2) and (3), 25(2) and (2A), 26 and 2745 do not apply in 23 relation to the exercise of the powers conferred on an ILP authority by this 24 section. 25 41 Australian Securities and Investments Commission Act 2001 (Cwlth), part 3 (Investigations and information-gathering), division 2 (Examination of persons) 42 Australian Securities and Investments Commission Act 2001 (Cwlth), part 3 (Investigations and information-gathering), division 1 (Investigations) 43 Australian Securities and Investments Commission Act 2001 (Cwlth), section 19 (Notice requiring appearance for examination) 44 Section 335 (Appointment, qualifications etc. of investigators) 45 Australian Securities and Investments Commission Act 2001 (Cwlth), sections 22 (Examination to take place in private), 25 (Giving to other persons copies of record), 26 (Copies given subject to conditions) and 27 (Record to accompany report)

 


 

s 106 81 s 107 Legal Profession Bill 2003 106 Inspection of books 1 (1) An ILP authority has and may exercise the same powers as those 2 conferred on the Australian Securities and Investments Commission by the 3 Australian Securities and Investments Commission Act 2001 (Cwlth), 4 sections 30(1), 34 and 37 to 39.46 5 (2) Those provisions apply in relation to the exercise of those powers, 6 with the necessary changes, including the following changes-- 7 (a) a reference to the Australian Securities and Investments 8 Commission, however expressed, is taken to be a reference to the 9 ILP authority; 10 (b) a reference to a body corporate, including a body corporate that 11 is not an exempt public authority, is taken to be a reference to an 12 incorporated legal practice; 13 (c) a reference to an eligible person in relation to an incorporated 14 legal practice is taken to be a reference to an officer or employee 15 of the incorporated legal practice; 16 (d) a reference to a member or staff member is taken to be a 17 reference to the ILP authority or a person authorised by the 18 authority who is an officer or employee of the authority; 19 (e) a reference in section 37 of that Act to a proceeding is taken to be 20 a reference to an investigation. 21 107 Power to hold hearings 22 (1) An ILP authority may hold hearings for the purposes of an 23 investigation. 24 (2) The Australian Securities and Investments Commission Act 2001 25 (Cwlth), sections 52, 56(1), 58, 59(1), (2), (5), (6) and (8) and 60 26 46 Australian Securities and Investments Commission Act 2001, sections 30 (Notice to produce books about affairs of body corporate or registered scheme), 34 (ASIC may authorise persons to require production of books), 37 (Powers where books produced or seized), 38 (Powers where books not produced) and 39 (Power to require person to identify property of body corporate)

 


 

s 108 82 s 108 Legal Profession Bill 2003 (paragraph (b) excepted)47 apply in relation to a hearing with any necessary 1 changes, including the following changes-- 2 (a) a reference to the Australian Securities and Investments 3 Commission (however expressed) is taken to be a reference to an 4 ILP authority; 5 (b) a reference to a member or staff member is taken to be a 6 reference to an ILP authority, or a person authorised by an ILP 7 authority who is an officer or employee of the authority; 8 (c) a reference to a prescribed form is taken to be a reference to a 9 form approved by an ILP authority. 10 108 Failure to comply with investigation 11 The following acts or omissions are capable of constituting 12 unsatisfactory professional conduct or professional misconduct-- 13 (a) a failure by an Australian legal practitioner to comply with any 14 requirement made by an ILP authority, or a person authorised by 15 the authority, in the exercise of powers conferred by sections 16 105, 106 and 107;48 17 (b) a contravention by an Australian legal practitioner of any 18 condition imposed by an ILP authority in the exercise of powers 19 conferred by those sections; 20 (c) a failure by a lawyer director of an incorporated legal practice to 21 ensure that the incorporated legal practice, or any officer or 22 employee of the incorporated legal practice, complies with any of 23 the following-- 24 (i) any requirement made by an ILP authority, or a person 25 authorised by the ILP authority, in the exercise of powers 26 conferred by sections 105, 106 and 107; 27 47 Australian Securities and Investments Commission Act 2001, sections 52 (General discretion to hold hearing in public or private), 56 (Who may be present when hearing takes place in private), 58 (Power to summon witnesses and take evidence), 59 (Proceedings at hearings) and 60 (ASIC to take account of evidence and submissions) 48 Sections 105 (Examination of persons), 106 (Inspection of books) and 107 (Power to hold hearings)

 


 

s 109 83 s 109 Legal Profession Bill 2003 (ii) any condition imposed by an ILP authority in the exercise of 1 powers conferred by those sections. 2 109 Banning of incorporated legal practices 3 (1) The Supreme Court may, on the application of an ILP authority, 4 make an order disqualifying a corporation from providing legal services in 5 this jurisdiction for the period the court considers appropriate if the court is 6 satisfied that-- 7 (a) a ground for disqualifying the corporation under this section has 8 been established; and 9 (b) the disqualification is justified. 10 (2) If the Supreme Court considers it appropriate, an order under this 11 section may be made-- 12 (a) subject to conditions as to the conduct of the incorporated legal 13 practice; or 14 (b) subject to conditions as to when or in what circumstances the 15 order is to take effect; or 16 (c) together with orders to safeguard the interests of clients or 17 employees of the incorporated legal practice. 18 (3) Action may be taken against an incorporated legal practice on any of 19 the following grounds-- 20 (a) a lawyer director or an Australian legal practitioner who is an 21 officer or employee of the corporation is found guilty of 22 professional misconduct under a relevant law or a corresponding 23 law; 24 (b) an ILP authority is satisfied, after conducting an audit of the 25 incorporated legal practice, that the incorporated legal practice 26 has failed to implement satisfactory management and supervision 27 of its provision of legal services; 28 (c) the incorporated legal practice, or a related body corporate, has 29 contravened section 8249 or a regulation made under that section; 30 (d) the incorporated legal practice has contravened section 102;50 31 49 Section 82 (Non-legal services and businesses of incorporated legal practices) 50 Section 102 (Disqualified persons)

 


 

s 109 84 s 109 Legal Profession Bill 2003 (e) a person is acting in the management of the incorporated legal 1 practice who is the subject of an order under-- 2 (i) section 11051 or under provisions of a corresponding law; or 3 (ii) a provision of a corresponding law relating to prohibitions 4 on partnerships with non-legal partners. 5 (4) If a corporation is disqualified under this section, the ILP authority 6 that applied for the order must notify the corresponding authority of every 7 other jurisdiction. 8 (5) If a corporation is disqualified from providing legal services in 9 another jurisdiction under a corresponding law, the commissioner may 10 decide that the corporation is taken to be disqualified from providing legal 11 services in this jurisdiction for the same period, but nothing in this 12 subsection prevents an ILP authority from instead applying for an order 13 under this section. 14 (6) A corporation that provides legal services in contravention of a 15 disqualification under this section commits an offence. 16 Maximum penalty-- 17 (a) for an individual guilty under the Criminal Code, chapter 2 of an 18 offence or for section 37152--180 penalty units; or 19 (b) for a corporation--900 penalty units. 20 (7) A corporation that is disqualified under this section ceases to be an 21 incorporated legal practice. 22 (8) Conduct of an Australian legal practitioner who provides legal 23 services on behalf of a corporation in the capacity of an officer or employee 24 of the corporation is capable of being unsatisfactory professional conduct 25 or professional misconduct if the practitioner ought reasonably to have 26 known that the corporation is disqualified under this section. 27 (9) A regulation may provide for the publication and notification of 28 orders made under this section, including notification of corresponding 29 authorities of other jurisdictions. 30 51 Section 110 (Disqualification from managing incorporated legal practice) 52 Section 371 (Executive officers must ensure corporation complies with Act)

 


 

s 110 85 s 111 Legal Profession Bill 2003 110 Disqualification from managing incorporated legal practice 1 (1) The Supreme Court may, on the application of an ILP authority, 2 make an order disqualifying a person from managing a corporation that is 3 an incorporated legal practice for the period the court considers appropriate 4 if the court is satisfied that-- 5 (a) the person is a person who could be disqualified under the 6 Corporations Act, section 206C, 206D, 206E or 206F53 from 7 managing corporations; and 8 (b) the disqualification is justified. 9 (2) The Supreme Court may, on the application of a person subject to a 10 disqualification order under this section, revoke the order. 11 (3) A disqualification order made under subsection (1) has effect for the 12 purposes only of this Act and does not affect the application or operation of 13 the Corporations Act. 14 (4) A regulation may provide for the publication and notification of 15 orders made under this section. 16 (5) A person who is disqualified from managing a corporation under 17 provisions of a corresponding law that correspond to this section is 18 disqualified from managing a corporation that is an incorporated legal 19 practice. 20 111 Disclosure of information to the Australian Securities and 21 Investments Commission 22 (1) This section applies if an ILP authority, in connection with 23 performing functions or exercising powers under this Act, acquired 24 information concerning a corporation that is or was an incorporated legal 25 practice. 26 (2) The ILP authority may disclose to the Australian Securities and 27 Investments Commission information concerning the corporation that is 28 relevant to the commission's functions. 29 (3) Information may be provided under subsection (2) despite any law 30 relating to secrecy or confidentiality, including any provisions of this Act. 31 53 Corporations Act, sections 206C (Court power of disqualification--contravention of civil penalty provision), 206D (Court power of disqualification--insolvency and non-payment of debts), 206E (Court power of disqualification--repeated contraventions of Act) and 206F (ASIC's power of disqualification)

 


 

s 112 86 s 113 Legal Profession Bill 2003 Division 6--External administration 1 112 External administration proceedings under Corporations Act 2 (1) This section applies to proceedings in any court under the 3 Corporations Act, chapter 554-- 4 (a) relating to a corporation that is an externally-administered body 5 corporate under that Act and that is or was an incorporated legal 6 practice; or 7 (b) relating to a corporation that is or was an incorporated legal 8 practice becoming an externally-administered body corporate 9 under that Act. 10 (2) Each ILP authority is entitled to intervene in the proceedings, unless 11 the court decides that the proceedings do not concern or affect the 12 provision of legal services by the incorporated legal practice. 13 (3) The court may, when exercising its jurisdiction in the proceedings, 14 have regard to the interests of the clients of the incorporated legal practice 15 who have been or are to be provided with legal services by the practice. 16 (4) Subsection (3) does not authorise the court to make any decision that 17 is contrary to a specific provision of the Corporations Act. 18 (5) Subsections (2) and (3) are declared to be Corporations legislation 19 displacement provisions for the purposes of the Corporations Act, 20 section 5G in relation to the provisions of chapter 5 of that Act. 21 22 Note-- 23 The Corporations Act, section 5G, provides that if a State law declares a provision of a 24 State law to be a Corporations legislation displacement provision, any provision of the 25 Corporations legislation with which the State provision would otherwise be 26 inconsistent does not apply to the extent necessary to avoid the inconsistency. 113 External administration proceedings under other legislation 27 (1) This section applies to proceedings for the external administration, 28 however expressed, of an incorporated legal practice but does not apply to 29 proceedings to which section 11255 applies. 30 54 Corporations Act, chapter 5 (External administration) 55 Section 112 (External administration proceedings under Corporations Act)

 


 

s 114 87 s 114 Legal Profession Bill 2003 (2) Each ILP authority is entitled to intervene in the proceedings, unless 1 the court decides that the proceedings do not concern or affect the 2 provision of legal services by the incorporated legal practice. 3 (3) The court may, when exercising its jurisdiction in the proceedings, 4 have regard to the interests of the clients of the incorporated legal practice 5 who have been or are to be provided with legal services by the practice. 6 (4) Subsection (3) does not authorise the court to make any decision that 7 is contrary to a specific provision of any legislation applicable to the 8 incorporated legal practice. 9 114 Incorporated legal practice that is subject to receivership under 10 the QLS Act and external administration under Corporations Act 11 (1) This section applies if an incorporated legal practice is the subject of 12 both-- 13 (a) the appointment of a QLS receiver; and 14 (b) the appointment of a Corporations Act administrator. 15 (2) The QLS receiver is under a duty to notify the Corporations Act 16 administrator of the appointment of the QLS receiver, whether the 17 appointment precedes, follows or is contemporaneous with the 18 appointment of the Corporations Act administrator. 19 (3) The QLS receiver or the Corporations Act administrator, or both of 20 them jointly, may apply to the Supreme Court for the resolution of issues 21 arising from or in connection with the dual appointments and their 22 respective powers, except if proceedings mentioned in section 11256 have 23 been started. 24 (4) The Supreme Court may make any orders it considers appropriate, 25 and no liability attaches to the QLS receiver or the Corporations Act 26 administrator for any act or omission done by the receiver or administrator 27 in good faith for the purpose of carrying out or acting under the orders. 28 (5) Each ILP authority is entitled to intervene in the proceedings, unless 29 the court decides that the proceedings do not concern or affect the 30 provision of legal services by the incorporated legal practice. 31 (6) The provisions of subsections (3) and (4) are declared to be 32 Corporations legislation displacement provisions for the purposes of the 33 56 Section 112 (External administration proceedings under Corporations Act)

 


 

s 115 88 s 115 Legal Profession Bill 2003 Corporations Act, section 5G in relation to the provisions of chapter 5 of 1 that Act. 2 (7) In this section-- 3 "Corporations Act administrator" means-- 4 (a) a receiver, receiver and manager, liquidator (including a 5 provisional liquidator), controller, administrator or deed 6 administrator appointed under the Corporations Act; or 7 (b) a person who is appointed to exercise powers under that Act and 8 who is prescribed under a regulation for this definition. 9 "QLS receiver" means a receiver appointed under the Queensland Law 10 Society Act 1952, section 11A.57 11 115 Incorporated legal practice that is subject to receivership under 12 the QLS Act and external administration under other local 13 legislation 14 (1) This section applies if an incorporated legal practice is the subject of 15 both-- 16 (a) the appointment of a QLS receiver; and 17 (b) the appointment of an external administrator. 18 (2) The QLS receiver is under a duty to notify the external administrator 19 of the appointment of the QLS receiver, whether the appointment precedes, 20 follows or is contemporaneous with the appointment of the external 21 administrator. 22 (3) The QLS receiver or the external administrator, or both of them 23 jointly, may apply to the Supreme Court for the resolution of issues arising 24 from or in connection with the dual appointments and their respective 25 powers. 26 (4) The Supreme Court may make any orders it considers appropriate, 27 and no liability attaches to the QLS receiver or the external administrator 28 for any act or omission done by the receiver or administrator in good faith 29 for the purpose of carrying out or acting under the orders. 30 57 Queensland Law Society Act 1952, section 11A (Appointment of receiver of trust property)

 


 

s 116 89 s 117 Legal Profession Bill 2003 (5) Each ILP authority is entitled to intervene in the proceedings, unless 1 the court decides that the proceedings do not concern or affect the 2 provision of legal services by the incorporated legal practice. 3 (6) In this section-- 4 "external administrator" means a person who is appointed to exercise 5 powers under an Act and who is prescribed under a regulation for this 6 definition. 7 "QLS receiver" means a receiver appointed under the Queensland Law 8 Society Act 1952, section 11A. 9 Division 7--Miscellaneous 10 116 Cooperation between courts 11 Courts of this jurisdiction may make arrangements for communicating 12 and cooperating with other courts or tribunals in connection with the 13 exercise of powers under this part. 14 117 Relationship of Act to Corporations legislation and certain 15 other instruments 16 (1) A provision under a relevant law that applies in relation to an 17 incorporated legal practice prevails, to the extent of any inconsistency, over 18 the constitution or other constituent documents of the practice. 19 (2) A regulation may declare a provision under a relevant law that relates 20 to an incorporated legal practice to be a Corporations legislation 21 displacement provision for the purposes of the Corporations Act, 22 section 5G.58 23 (3) A regulation may declare a matter relating to an incorporated legal 24 practice that is prohibited, required, authorised or permitted under a 25 relevant law to be an excluded matter for the purposes of the Corporations 26 Act, section 5F,59 in relation to-- 27 (a) the whole of the Corporations legislation; or 28 58 Corporations Act, section 5G (Avoiding direct inconsistency arising between the Corporations legislation and State and Territory laws) 59 Corporations Act, section 5F (Corporations legislation does not apply to matters declared by State or Territory laws to be an excluded matter)

 


 

s 118 90 s 120 Legal Profession Bill 2003 (b) a specified provision of the Corporations legislation; or 1 (c) the Corporations legislation other than a specified provision; or 2 (d) the Corporations legislation other than to a specified extent. 3 (4) In this section-- 4 "matter" includes act, omission, body, person or thing. 5 118 Undue influence 6 A person, whether or not an officer or an employee of an incorporated 7 legal practice, must not cause or induce a lawyer director, or any other 8 Australian legal practitioner who provides legal services for an 9 incorporated legal practice, to contravene this Act or his or her professional 10 obligations as an Australian legal practitioner. 11 Maximum penalty--300 penalty units. 12 119 Regulation may require training requirement for lawyer director 13 (1) A regulation may provide that a lawyer director of an incorporated 14 legal practice must undertake training as required by the regulation. 15 (2) Without limiting subsection (1), the regulation may provide that a 16 person who has a qualification or experience of a type prescribed under the 17 regulation need not undertake that training. 18 PART 6--FINANCIAL ARRANGEMENTS FOR THOSE 19 WHO MAY ENGAGE IN LEGAL PRACTICE IN THIS 20 JURISDICTION 21 Division 1--Preliminary 22 120 Main purposes of ch 2, pt 6 23 The main purposes of this part are as follows-- 24 (a) to provide for the making of a regulation requiring particular 25 solicitors to deposit amounts into prescribed accounts; 26

 


 

s 121 91 s 123 Legal Profession Bill 2003 (b) to allow the chief executive to enter into agreements with 1 financial institutions, with whom solicitors have deposited 2 amounts under a regulation, for the payment of interest on the 3 trust accounts; 4 (c) to establish the Legal Practitioner Interest on Trust Accounts 5 Fund into which amounts received as interest must be paid; 6 (d) to ensure the interest paid into the fund, and other moneys 7 received for the fund, do not become part of the consolidated 8 fund; 9 (e) to provide for persons to whom or purposes for which amounts 10 may be paid from the fund. 11 121 Definitions for ch 2, pt 6 12 In this part-- 13 "fund" means the Legal Practitioner Interest on Trust Accounts Fund 14 established under section 126.60 15 "prescribed account" means an account prescribed under a regulation as 16 an account into which a solicitor must deposit moneys. 17 "solicitor" means a solicitor to whom the Trust Accounts Act 1973 applies. 18 "trust account" means a trust account kept by a solicitor under the Trust 19 Accounts Act 1973. 20 122 Relationship with other laws 21 The Trust Accounts Act 1973 provides for the audit of solicitors' trust 22 accounts. 23 Division 2--Prescribed accounts 24 123 Regulation for prescribed account 25 (1) A regulation may make provision for, and for matters relating to, 26 prescribed accounts. 27 60 Section 126 (Establishment of fund)

 


 

s 124 92 s 125 Legal Profession Bill 2003 (2) Without limiting subsection (1), the regulation may prescribe as 1 follows-- 2 (a) a solicitor to whom the regulation applies must deposit an 3 amount into a prescribed account; 4 (b) the way to work out an amount mentioned in paragraph (a), 5 including, for example, on the basis of the minimum amount held 6 by a solicitor in the solicitor's trust account for a calendar month 7 or year; 8 (c) the way in which the amounts may be paid to a solicitor from a 9 prescribed account; 10 (d) the way in which the law society may supervise compliance with 11 the regulation. 12 (3) If a solicitor contravenes a regulation as mentioned in 13 subsection (2)(a), it is capable of constituting unsatisfactory professional 14 conduct or professional misconduct. 15 124 Deposits to prescribed account 16 (1) No action at law or in equity may lie against any solicitor relating to 17 a matter or thing done by the solicitor for complying with a regulation as 18 mentioned in section 123 that applied to the solicitor. 19 (2) However, this section does not affect in any way the rights and 20 remedies of a claimant against the solicitor in the event of negligence or 21 dishonesty of the solicitor in relation to trust moneys. 22 Division 3--Interest on trust accounts paid to department 23 125 Arrangement with financial institution 24 The chief executive may enter into an arrangement with a financial 25 institution about the financial institution paying interest to the department 26 on-- 27 (a) prescribed accounts; and 28 (b) trust accounts kept by solicitors. 29

 


 

s 126 93 s 127 Legal Profession Bill 2003 Division 4--Legal Practitioner Interest on Trust Accounts Fund 1 126 Establishment of fund 2 (1) The Legal Practitioner Interest on Trust Accounts Fund is 3 established. 4 (2) Accounts for the fund must be kept as part of the departmental 5 accounts of the department. 6 (3) Amounts received for the fund must be deposited in a departmental 7 financial-institution account of the department used only for amounts 8 received for the fund. 9 (4) Amounts received for the fund include-- 10 (a) all interest payable to the department under an arrangement 11 entered into under section 12561 and 12 (b) other amounts payable for the fund under an Act. 13 (5) For the Financial Administration and Audit Act 1977, the amounts 14 received for the fund are not received or held for the State. 15 16 Note-- 17 The amounts are other moneys under the Financial Administration and Audit Act 1977. (6) An amount is payable from the fund only under section 127.62 18 (7) In this section-- 19 "departmental accounts", of a department, means the accounts of the 20 department under the Financial Administration and Audit Act 1977, 21 section 12. 22 "departmental financial-institution account", of a department, means an 23 account of the department kept under the Financial Administration 24 and Audit Act 1977, section 18. 25 127 Payments from fund 26 (1) The chief executive may make payments from the fund to or for any 27 of the following-- 28 61 Section 125 (Arrangement with financial institution) 62 Section 127 (Payments from fund)

 


 

s 127 94 s 127 Legal Profession Bill 2003 (a) Legal Aid Queensland; 1 (b) the fidelity fund; 2 (c) the Supreme Court Library; 3 (d) the commissioner; 4 (e) a disciplinary body; 5 (f) the board; 6 (g) part of the cost of the regulatory functions of the law society or 7 bar association; 8 (h) grants approved by the Minister for any of the following 9 purposes-- 10 (i) the advancement of law reform; 11 (ii) the collection, assessment and dissemination of information 12 concerning legal education, the law, the legal system, law 13 reform, the legal profession and legal services; 14 (iii) facilitating access to the legal system, legal information and 15 education and legal services for members of the community, 16 particularly economically or socially disadvantaged 17 members of the community; 18 (i) the department for the cost of administering this part. 19 (2) Also, the chief executive may make payments from the fund for a 20 grant or matter mentioned in the following if the law society incurred a 21 liability for the grant or matter before the commencement of this section-- 22 (a) a grant approved under the Queensland Law Society Act 1952, 23 section 36N; 24 (b) a matter approved by the Minister under section 36E(b)(iii) of 25 that Act.63 26 (3) The chief executive must not make a payment under subsection (1) 27 or (2) unless the Minister has decided the amount may be paid and has 28 given written authority to the chief executive to pay the amount. 29 63 Queensland Law Society Act 1952, section 36N (Functions of grants committee) and section 36E (Distributions from contribution fund)

 


 

s 128 95 s 129 Legal Profession Bill 2003 128 Minister to decide distribution 1 (1) The Minister must decide-- 2 (a) whether a payment is to be made under section 127;64 and 3 (b) if the Minister decides a payment is to be made, the amount of 4 the payment and any conditions applicable to the payment. 5 (2) For subsection (1), the chief executive must make recommendations 6 to the Minister. 7 (3) The amount used for a purpose mentioned in section 127(1)(h) must 8 not be more than the amount prescribed under a regulation for this 9 subsection. 10 129 Submission of budgets 11 (1) To help the Minister in making decisions under section 128,65 the 12 chief executive may ask a potential beneficiary to prepare and submit a 13 budget to the chief executive, for the period the chief executive directs, 14 concerning the income and expenditure of the potential beneficiary, 15 including projected income and expenditure. 16 (2) The budget is to include the information the chief executive directs. 17 (3) In particular, the chief executive may require the provision of 18 information about the administration of the beneficiary. 19 (4) In this section-- 20 "potential beneficiary", of a payment, means the entity to which or in 21 relation to which a payment would be paid for a purpose mentioned in 22 section 127(1).66 23 64 Section 127 (Payments from fund) 65 Section 128 (Minister to decide distribution) 66 Section 127 (Payments from fund)

 


 

s 130 96 s 132 Legal Profession Bill 2003 PART 7--RULES ABOUT THOSE WHO MAY ENGAGE 1 IN LEGAL PRACTICE IN THIS JURISDICTION 2 Division 1--Preliminary 3 130 Main purposes of ch 2, pt 7 4 The main purposes of this part are as follows-- 5 (a) to promote the maintenance of high standards of professional 6 conduct by Australian lawyers and incorporated legal practices 7 by providing for legal profession rules; 8 (b) to allow each regulatory authority to provide for administrative 9 matters by providing for administration rules. 10 131 Power to make rules not limited to specific references to provision 11 in other chapters or parts 12 The power to make a legal profession rule or an administration rule is 13 not limited to matters for which this Act, other than this part, specifically 14 authorises the making of a legal profession rule or an administration rule. 15 132 Definitions for ch 2, pt 7 16 In this part-- 17 "administration rule" see section 144(3). 18 "barristers rule" see section 133(b). 19 "incorporated legal practice rule" see section 133(c). 20 "indemnity rule" see section 144(4). 21 "legal profession rule" means-- 22 (a) a solicitors rule; or 23 (b) a barristers rule; or 24 (c) an incorporated legal practice rule. 25 "solicitors rule" see section 133(a). 26

 


 

s 133 97 s 135 Legal Profession Bill 2003 Division 2--Legal profession rules 1 133 Rules to be made by Governor in Council 2 The Governor in Council may make the following-- 3 (a) a rule under this Act for any aspect of legal practice, including 4 standards of conduct expected of individuals who engage, or 5 intend to engage, in legal practice as a solicitor in this 6 jurisdiction (a "solicitors rule"); 7 (b) a rule under this Act for any aspect of legal practice, including 8 standards of conduct expected of individuals who engage, or 9 intend to engage, in legal practice as a barrister in this 10 jurisdiction (a "barristers rule"); 11 (c) a rule under this Act for any aspect of legal practice, including 12 standards of conduct expected of incorporated legal practices, 13 lawyer directors and qualified employees of the practices (the 14 "incorporated legal practice rule"). 15 134 Rule may apply to individuals generally or by using a defined 16 term involving a legal title 17 (1) A solicitors rule or barristers rule may apply to an individual 18 generally or by reference to whether the individual is any of the 19 following-- 20 (a) a local legal practitioner, interstate legal practitioner or 21 Australian legal practitioner; 22 (b) a local lawyer, interstate lawyer or Australian lawyer. 23 (2) An incorporated legal practice rule may apply to an incorporated 24 legal practice or a lawyer director or qualified employee of the practice. 25 135 Particular provision about barristers rule 26 A barristers rule may provide for a barrister to be prohibited from any or 27 all of the following-- 28 (a) engaging in legal practice-- 29 (i) otherwise than as a sole practitioner; or 30 (ii) in partnership with any person; or 31

 


 

s 136 98 s 138 Legal Profession Bill 2003 (iii) as the employee of any person; 1 (b) holding office as a lawyer director of an incorporated legal 2 practice. 3 136 Solicitors rule or barristers rule may apply to government legal 4 officer 5 The solicitors rule and barristers rule may provide that a rule applies to a 6 government legal officer. 7 137 Incorporated legal practice rule can not provide for particular 8 matters 9 An incorporated legal practice rule can not-- 10 (a) regulate any services that an incorporated legal practice may 11 provide or regulate conduct other than in connection with-- 12 (i) the provision of legal services; or 13 (ii) other services in circumstances where a conflict of interest 14 relating to the provision of legal services may arise; or 15 (b) regulate the conduct of officers or employees of an incorporated 16 legal practice other than in connection with-- 17 (i) the provision of legal services; or 18 (ii) other services in circumstances where a conflict of interest 19 relating to the provision of legal services may arise. 20 138 Recommendations to the Minister about legal profession rules 21 (1) The law society may make a recommendation to the Minister in 22 relation to-- 23 (a) the solicitors rule; and 24 (b) the incorporated legal practice rule. 25 (2) The bar association may make a recommendation to the Minister in 26 relation to the barristers rule. 27 (3) Without limiting subsection (1)(b), the law society's 28 recommendation about the incorporated legal practice rule may provide for 29 the following-- 30

 


 

s 139 99 s 140 Legal Profession Bill 2003 (a) matters that relate to the provision of legal services by or in 1 connection with an incorporated legal practice; 2 (b) professional obligations relating to legal services provided by or 3 in connection with an incorporated legal practice; 4 (c) the provision of other services by an incorporated legal practice 5 in circumstances in which a conflict of interest relating to the 6 provision of legal services may arise. 7 139 Monitoring role of committee 8 (1) The committee may make a recommendation to the Minister in 9 relation to any legal profession rule. 10 11 Note-- 12 The committee is the Legal Practice Committee established under section 270. (2) For subsection (1), the committee is-- 13 (a) to monitor the adequacy of each legal profession rule; and 14 (b) to consider any particular matter about which the Minister asks 15 the committee to make a recommendation for a legal profession 16 rule. 17 140 Public notice of proposed legal profession rule 18 (1) A regulatory authority that proposes to make a recommendation 19 about a legal profession rule must ensure that a notice is published in a 20 daily newspaper circulating in this jurisdiction-- 21 (a) explaining the object of the proposed rule; and 22 (b) advising where or how a copy of the proposed rule may be 23 accessed, obtained or inspected; and 24 (c) inviting comments and submissions within a stated period of not 25 less than 21 days from the date of first publication of the notice. 26 (2) The regulatory authority must ensure that a copy of the proposed rule 27 is given to the Minister before the notice is published. 28 (3) The regulatory authority must not make a recommendation about the 29 rule before the end of the period stated in the notice for making comments 30 and submissions and must ensure that any comments and submissions 31 received within that period are appropriately considered. 32

 


 

s 141 100 s 144 Legal Profession Bill 2003 (4) Subsections (1) to (3) do not apply to a proposed rule that the 1 Minister considers does not warrant publication because of its urgent 2 nature or of its minor or technical nature. 3 141 Binding nature of each legal profession rule 4 (1) Each provision of a legal profession rule is binding on a person to 5 whom the provision applies. 6 (2) Failure to comply with the provision of the legal profession rule by 7 an individual to whom the provision applies-- 8 (a) is capable of constituting unsatisfactory professional conduct or 9 professional misconduct; but 10 (b) is not a breach of this Act unless a provision of this Act otherwise 11 provides. 12 142 Relationship of legal profession rule to this Act and regulation 13 (1) A regulation may be made in relation to any matter for which a legal 14 profession rule may be made. 15 (2) A provision of a legal profession rule does not have effect to the 16 extent that it is inconsistent with this Act. 17 143 Relationship of legal profession rule and administration rule 18 (1) A legal profession rule may identify a provision of an administration 19 rule as a provision that a holder of a practising certificate, granted or 20 renewed by the regulatory authority who made the administration rule, 21 must comply with. 22 (2) If a provision of an administration rule is identified as mentioned in 23 subsection (1), a contravention of the provision is capable of constituting 24 unsatisfactory professional conduct or professional misconduct. 25 Division 3--Administration rules 26 144 Rules other than legal profession rule 27 (1) To the extent a regulatory authority does not have power under 28 another Act or otherwise to make rules for a matter mentioned in 29

 


 

s 144 101 s 144 Legal Profession Bill 2003 subsection (2) and another Act does not prevent a rule being made about 1 the matter, the regulatory authority may make a rule about the matter that 2 applies to-- 3 (a) Australian legal practitioners, including interstate legal 4 practitioners practising in this jurisdiction; and 5 (b) if the regulatory authority is the law society--an incorporated 6 legal practice. 7 (2) The matters about which a regulatory authority may make rules are 8 as follows-- 9 (a) types of practising certificates that the regulatory authority may 10 grant or renew, including, for example, practising certificates for 11 supervised legal practice or unsupervised legal practice by 12 solicitors; 13 (b) the courses of study that an Australian lawyer is required to 14 complete-- 15 (i) for the grant of a practising certificate by the law society for 16 unsupervised legal practice; and 17 (ii) for the grant of a practising certificate by the bar association 18 for practice as a barrister; 19 (c) matters relating to the courses of study mentioned in 20 paragraph (b) including enrolment procedures, fees payable, 21 minimum course attendance requirements, examination and 22 assessment and procedures for the review of assessments and 23 appeals against assessments; 24 (d) exempting an individual who applies for a practising certificate 25 from the requirement to have completed a course of study 26 mentioned in paragraph (b) given the length and nature of the 27 individual's experience in unsupervised practice or practice as a 28 barrister; 29 (e) the legal practice by an individual that may constitute supervised 30 legal practice, having regard to-- 31 (i) the length and nature of the legal practice engaged in by the 32 individual; and 33 (ii) the length and nature of the legal practice engaged in by the 34 person, if any, who supervised the individual's legal 35 practice; 36

 


 

s 145 102 s 145 Legal Profession Bill 2003 (f) approved forms to be used for an application to the regulatory 1 authority and the way an approved form is to be given to the 2 authority, including the time for giving the form to it; 3 (g) the timing for payment of fees, levies and contributions payable 4 under this Act; 5 (h) matters relating to other matters that may be approved by the 6 regulatory authority under this Act; 7 (i) matters relating to indemnity against loss arising from claims in 8 relation to every description of civil liability incurred by a local 9 legal practitioner or former local legal practitioner, including a 10 person who was a solicitor at any time before the commencement 11 of this section, in connection with practitioner's practice or in 12 connection with any trust of which the practitioner was a trustee. 13 (3) A rule about a matter mentioned in subsection (2) is an 14 "administration rule". 15 (4) An administration rule about a matter mentioned in subsection (2)(h) 16 is an "indemnity rule". 17 (5) This division does not affect a regulatory authority's power under 18 another Act or otherwise to make a rule that is not an administration rule or 19 indemnity rule. 20 145 Indemnity rule 21 (1) An indemnity rule-- 22 (a) may authorise or require the regulatory authority to establish and 23 maintain a fund or funds; or 24 (b) may authorise or require the regulatory authority to take out and 25 keep insurance with insurers carrying on insurance business and 26 approved by the authority for the purposes of the insurance; or 27 (c) may require local legal practitioners holding practising 28 certificates granted or renewed by the authority, or a class of 29 certificate holders, to take out and keep insurance with insurers 30 carrying on insurance business and approved by the authority for 31 the purposes of the insurance. 32 (2) An indemnity rule-- 33

 


 

s 146 103 s 146 Legal Profession Bill 2003 (a) may specify the terms and conditions on which indemnity is to 1 be available and any circumstances in which the right to 2 indemnity is to be excluded or modified; and 3 (b) may provide for the management, administration and protection 4 of any fund established and maintained under the indemnity rule, 5 and require certificate holders of practising certificates granted or 6 renewed by the authority, or a class of certificate holders, to make 7 payments to a fund; and 8 (c) may require certificate holders of practising certificates granted 9 or renewed by the authority, or a class of certificate holders, to 10 make payments by way of premium on any insurance policy 11 taken out and maintained by the authority under the indemnity 12 rule; and 13 (d) may require a local legal practitioner to disclose information 14 about professional indemnity insurance to clients or prospective 15 clients; and 16 (e) may prescribe terms and conditions with which an insurance 17 policy, required by the indemnity rule made for the purposes of 18 subsection (1)(c), must comply; and 19 (f) may authorise the authority to decide the amount of a payment 20 required by the indemnity rule, subject to limits or under the rule; 21 and 22 (g) may authorise the authority or insurer to take proceedings against 23 a certificate holder or former certificate holder for amounts paid 24 by way of indemnity in connection with a matter in relation to 25 which he or she has failed to comply with the indemnity rule, and 26 may specify circumstances in which the proceedings may be 27 taken; and 28 (h) may empower the law society to take steps as it considers 29 necessary or expedient to find out whether or not the indemnity 30 rule is being complied with. 31 (3) This section does not limit section 144(2)(h). 32 146 Relationship of administration rule to this Act and regulation 33 (1) A regulation may be made in relation to any matter for which an 34 administration rule may be made. 35

 


 

s 147 104 s 148 Legal Profession Bill 2003 (2) A provision of a regulatory authority's administration rule does not 1 have effect to the extent that it is inconsistent with this Act, a regulation or 2 a legal profession rule relevant to the authority. 3 (3) Despite another Act, an administration rule can not provide that 4 contravention of the rule-- 5 (a) is an offence; or 6 (b) is capable of constituting unsatisfactory professional conduct or 7 professional misconduct. 8 9 Note-- 10 Under the Statutory Instruments Act 1992, section 2367 a regulation may apply, adopt or 11 incorporate an administration rule. 147 Availability of an administration rule 12 A regulatory authority must ensure that an up-to-date version of each 13 administration rule is available for public inspection-- 14 (a) at the authority's principal place of business; or 15 (b) on the authority's internet site or an internet site identified on the 16 authority's internet site. 17 PART 8--INTER-JURISDICTIONAL PROVISIONS 18 REGARDING ADMISSION AND PRACTISING 19 CERTIFICATES 20 Division 1--Preliminary 21 148 Main purpose of ch 2, pt 8 22 The main purpose of this part is to provide for the notification of and 23 response to action taken by courts and other regulatory authorities in 24 67 Statutory Instruments Act 1992, section 23 (Statutory instrument may make provision by applying another document)

 


 

s 149 105 s 151 Legal Profession Bill 2003 relation to the admission of individuals as legal practitioners and their right 1 to practise in Australia. 2 149 Ch 3 not affected 3 This part does not affect a function or power under chapter 3. 68 4 Division 2--Notifications to be given to interstate authorities 5 150 Notification to other jurisdictions about application for admission 6 (1) This section applies to each application for admission. 7 (2) The board may give the corresponding authority of another 8 jurisdiction written notice of any of the following to the extent that it is 9 relevant to the corresponding authority's functions or powers-- 10 (a) the making of the application; 11 (b) the board's recommendation under section 29 in relation to the 69 12 application; 13 (c) the withdrawal of the application after an investigation or inquiry 14 is made or started, or a suitability report is sought or obtained, in 15 relation to the application or the applicant; 16 (d) the refusal of the Supreme Court to admit the applicant as a legal 17 practitioner under this Act. 18 (3) The notice must state the applicant's name and address as last known 19 to the board and may contain other relevant information. 20 151 Notification to other jurisdictions about removal from local roll 21 (1) This section applies if a local lawyer's name is removed from the 22 local roll, except if the removal happens under section 156.70 23 (2) The Brisbane registrar must give the corresponding authority of each 24 other jurisdiction written notice of the removal. 25 68 Chapter 3 (Complaints, investigation matters and discipline) 69 Section 29 (Role of the board relating to application for admission) 70 Section 156 (Pre-emptory removal of local lawyer's name from local roll following removal in another jurisdiction)

 


 

s 152 106 s 152 Legal Profession Bill 2003 (3) The notice must state the following-- 1 (a) the lawyer's name and address as last known to the Brisbane 2 registrar; 3 (b) the date the lawyer's name was removed from the roll; 4 (c) the reason for removing the lawyer's name; 5 (d) other information prescribed under a regulation for this section. 6 152 Law society and bar association to notify other jurisdictions about 7 actions by it 8 (1) Subsection (2) applies if-- 9 (a) a regulatory authority takes any of the following actions in 10 relation to an Australian lawyer-- 11 (i) refuses to grant the lawyer a local practising certificate; 12 (ii) cancels, suspends or refuses to renew the lawyer's local 13 practising certificate; 14 (b) the lawyer successfully appeals against the taking of an action 15 mentioned in paragraph (a). 16 (2) The regulatory authority must give the regulatory authorities of other 17 jurisdictions written notice of the action taken or the result of the appeal. 18 (3) The notice must state the following-- 19 (a) the lawyer's name and address as last known to the regulatory 20 authority for this jurisdiction; 21 (b) particulars of-- 22 (i) the action taken and the reasons for it; or 23 (ii) the result of the appeal; 24 (c) other relevant information that the authority considers should be 25 included in the notice. 26 (4) The regulatory authority may give the regulatory authorities of other 27 jurisdictions written notice of a condition imposed on an Australian 28 lawyer's local practising certificate. 29

 


 

s 153 107 s 155 Legal Profession Bill 2003 Division 3--Notifications to be given by lawyers to local authorities 1 153 Lawyer to give notice of removal in another jurisdiction 2 (1) If a local lawyer's name has been removed from an interstate roll, the 3 lawyer must give the Brisbane registrar written notice of the removal. 4 Maximum penalty--100 penalty units. 5 (2) If a local legal practitioner's name has been removed from an 6 interstate roll, the practitioner must give the relevant regulatory authority 7 written notice of the removal. 8 Maximum penalty--100 penalty units. 9 (3) This section does not apply if the name has been removed from an 10 interstate roll under a corresponding law to section 156.71 11 154 Lawyer to give notice of removal in foreign country 12 (1) If a local lawyer's name has been removed from a foreign roll, the 13 lawyer must give each regulatory authority written notice of the removal. 14 Maximum penalty--200 penalty units. 15 (2) If a local legal practitioner's name has been removed from a foreign 16 roll, the practitioner must give the relevant regulatory authority written 17 notice of the removal. 18 Maximum penalty--200 penalty units. 19 155 Provisions relating to requirement to notify 20 (1) A notice to be given under this division by a local lawyer or local 21 legal practitioner must-- 22 (a) state his or her name and address; and 23 (b) identify the roll from which his or her name has been removed; 24 and 25 (c) state the date of the removal; and 26 71 Section 156 (Pre-emptory removal of local lawyer's name from local roll following removal in another jurisdiction)

 


 

s 156 108 s 156 Legal Profession Bill 2003 (d) be accompanied by a copy of any official notification given to 1 him or her in connection with the removal. 2 (2) A contravention of section 153 or 154, including failing to comply 3 with subsection (1) in relation to the notice for those sections, is capable of 4 constituting unsatisfactory professional conduct or professional 5 misconduct. 6 Division 4--Taking of action by local authorities in response to 7 notifications received 8 156 Pre-emptory removal of local lawyer's name from local roll 9 following removal in another jurisdiction 10 (1) This section applies if the Brisbane registrar is satisfied that-- 11 (a) a local lawyer's name has been removed from an interstate roll; 12 and 13 (b) no order under section 158(1)(a)72 is, at the time of that removal, 14 in force in relation to the lawyer's name. 15 (2) The Brisbane registrar must remove, or arrange with another registrar 16 for the removal of, the lawyer's name from the local roll. 17 (3) The Brisbane registrar may, but need not, give the lawyer written 18 notice of the date on which the registrar proposes to remove the name from 19 the local roll. 20 (4) The Brisbane registrar must give the former local lawyer written 21 notice of the removal of the name from the local roll, unless notice of the 22 date of the proposed removal was previously given. 23 (5) The name of the former local lawyer is, on his or her application to 24 the Brisbane registrar or on the registrar's own initiative, to be restored to 25 the local roll if the name is restored to the interstate roll. 26 (6) Nothing in this section prevents the former local lawyer from 27 afterwards applying for admission under section 28.73 28 72 Section 158 (Order for non-removal of name or non-cancellation of practising certificate) 73 Section 28 (Application for admission)

 


 

s 157 109 s 158 Legal Profession Bill 2003 157 Pre-emptory cancellation of local practising certificate following 1 removal of name from interstate roll 2 (1) This section applies if-- 3 (a) an individual's name is removed from an interstate roll; and 4 (b) the individual is the holder of a local practising certificate; and 5 (c) no order under section 158(1)(b) is, at the time of that removal, 74 6 in force in relation to the individual's local practising certificate. 7 (2) If the authority is given written notice of the removal by the 8 regulatory authority for the other jurisdiction, the relevant regulatory 9 authority must cancel the local practising certificate. 10 (3) The authority may, but need not, give the individual notice of the date 11 on which the authority proposes to remove the name from the local roll. 12 (4) The authority must give the individual notice of the cancellation, 13 unless notice of the date of the proposed cancellation was previously given. 14 (5) Nothing in this section prevents the former local lawyer from 15 applying for a local practising certificate at a later time. 16 158 Order for non-removal of name or non-cancellation of practising 17 certificate 18 (1) If an Australian lawyer reasonably expects that the lawyer's name 19 will be removed from an interstate roll, the lawyer may apply to the 20 Supreme Court for either or both of the following orders (each of which is 21 a "prevention order")-- 22 (a) an order that the lawyer's name not be removed from the local 23 roll under section 156; 24 (b) an order that the lawyer's local practising certificate not be 25 cancelled under section 157.75 26 (2) After hearing the application, the Supreme Court may-- 27 (a) refuse to make the prevention order; or 28 74 Section 158 (Order for non-removal of name or non-cancellation of practising certificate) 75 Section 156 (Pre-emptory removal of local lawyer's name from local roll following removal in another jurisdiction) and 157 (Pre-emptory cancellation of local practising certificate following removal of name from interstate roll)

 


 

s 159 110 s 159 Legal Profession Bill 2003 (b) make the prevention order if it is satisfied that-- 1 (i) the lawyer's name is likely to be removed from the interstate 2 roll; and 3 (ii) the reason for the removal of the lawyer's name from the 4 interstate roll will not involve disciplinary action or the 5 possibility of disciplinary action. 6 (3) A prevention order may be made subject to any conditions the court 7 considers appropriate and remains in force for the period stated in it. 8 (4) The court may revoke a prevention order, including on its own 9 initiative. 10 (5) If a prevention order is revoked either or both of sections 156 11 and 157, as relevant, apply as if the lawyer's name were removed from the 12 interstate roll on the day the revocation takes effect. 13 (6) Nothing in this section affects action being taken in relation to the 14 lawyer under another provision of this Act. 15 159 Show cause procedure for removal of local lawyer's name from 16 local roll following removal in foreign country 17 (1) This section applies if a local lawyer's name has been removed from 18 a foreign roll and the name has not been restored. 19 (2) The relevant regulatory authority may serve on the local lawyer a 20 notice stating that the authority will apply to the Supreme Court for a order 21 that the lawyer's name be removed from the local roll unless the lawyer 22 shows cause to the authority why his or her name should not be removed. 23 (3) If the local lawyer does not satisfy the regulatory authority that the 24 lawyer's name should not be removed from the local roll, the authority may 25 apply to the Supreme Court for an order that the lawyer's name be removed 26 from the local roll. 27 (4) On hearing the application made under this section, the Supreme 28 Court may order the local lawyer's name be removed from the local roll or 29 refuse to make the order. 30 (5) The local lawyer is entitled to appear before and be heard by the 31 Supreme Court at a hearing about an application under this section. 32

 


 

s 160 111 s 162 Legal Profession Bill 2003 160 Local authority may give information to other local authority 1 (1) A local authority that receives information from an authority of 2 another jurisdiction under provisions of a corresponding law that 3 correspond to this part may give the information to another local authority. 4 (2) In this section-- 5 "local authority" mean an entity relevant to this jurisdiction that has 6 functions or powers under this Act. 7 CHAPTER 3--COMPLAINTS, INVESTIGATION 8 MATTERS AND DISCIPLINE 9 PART 1--PRELIMINARY 10 Division 1--Purposes 11 161 Main purposes of ch 3 12 The main purposes of this chapter are as follows-- 13 (a) to provide for the discipline of the legal profession; 14 (b) to promote and enforce the professional standards, competence 15 and honesty of the legal profession; 16 (c) to provide a means of redress for complaints by consumers of the 17 services of the legal profession about Australian lawyers and 18 employees. 19 Division 2--Interpretation 20 162 Meaning of "unsatisfactory professional conduct" 21 "Unsatisfactory professional conduct" includes conduct of an 22 Australian lawyer happening in connection with the lawyer engaging in 23

 


 

s 163 112 s 164 Legal Profession Bill 2003 legal practice that falls short of the standard of competence and diligence 1 that a member of the public is entitled to expect of a reasonably competent 2 Australian lawyer. 3 4 Note-- 5 See section 39176 for how this term is defined for complaints made under the 6 Queensland Law Society Act 1952 that are dealt with under this Act. 163 Meaning of "professional misconduct" 7 (1) "Professional misconduct" includes unsatisfactory professional 8 conduct of an Australian lawyer, if the conduct involves a substantial or 9 consistent failure to reach or maintain a reasonable standard of competence 10 and diligence. 11 (2) Also, "professional misconduct" includes conduct of an Australian 12 lawyer, whether happening in connection with the lawyer engaging in legal 13 practice or happening otherwise than in connection with the practice, that 14 would, if established, justify a finding that the lawyer is not suitable to 15 engage in legal practice. 16 (3) For finding that an Australian lawyer is not suitable to engage in legal 17 practice as mentioned in subsection (2), regard may be given to the 18 suitability matters that would be considered if the lawyer were an applicant 19 for admission. 20 21 Note-- 22 See section 391 for how this term is defined for complaints made under the Queensland 23 Law Society Act 1952 that are dealt with under this Act. 164 Conduct capable of constituting unsatisfactory professional 24 conduct or professional misconduct 25 Without limiting section 162 or 163, the following conduct is capable of 26 constituting unsatisfactory professional conduct or professional 27 misconduct-- 28 (a) an offence against a relevant law; 29 (b) charging of excessive legal fees or costs in connection with 30 engaging in legal practice; 31 76 Section 391 (Basis of complaint mentioned in ss 173 or 390(2))

 


 

s 165 113 s 166 Legal Profession Bill 2003 (c) conduct for which a court has convicted an Australian lawyer 1 for-- 2 (i) a serious offence; or 3 (ii) a tax offence; or 4 (iii) an offence involving dishonesty; 5 (d) an act of bankruptcy under the Bankruptcy Act 1966 (Cwlth); 6 (e) conduct that is, or is capable of being, unsatisfactory professional 7 conduct or professional misconduct under an Act or a legal 8 profession rule. 9 165 Meaning of "respondent" 10 A "respondent" is an individual to whom this chapter applies and-- 11 (a) who is the subject of a complaint; or 12 (b) about whom the commissioner, on his or her own initiative, starts 13 an investigation under section 182.77 14 Division 3--Application of this chapter 15 166 Australian lawyers to whom this chapter applies 16 (1) This chapter applies to an Australian lawyer for conduct to which this 17 chapter applies, whether or not 1 or more of the following apply-- 18 (a) the lawyer is a local lawyer; 19 (b) the lawyer holds a practising certificate issued under this Act; 20 (c) the lawyer holds a practising certificate issued under a 21 corresponding law; 22 (d) the lawyer resides or has an office in this jurisdiction; 23 (e) the lawyer is a government legal officer; 24 (f) the lawyer's conduct is or was part of the lawyer's role as a 25 lawyer director of an incorporated legal practice or the lawyer 26 77 Section 182 (Referral by commissioner to law society or bar association)

 


 

s 167 114 s 167 Legal Profession Bill 2003 providing legal services as a qualified employee of an 1 incorporated legal practice; 2 (g) if a complaint is made about the lawyer--the complainant 3 resides, works or has an office in this jurisdiction. 4 (2) Also, this chapter applies to-- 5 (a) an individual who was an Australian lawyer for conduct 6 happening while the individual was an Australian lawyer; or 7 (b) if the individual was a solicitor or barrister in this jurisdiction 8 before the commencement of this section but is not a local lawyer 9 on the commencement--the individual for conduct happening 10 while the individual was a solicitor or barrister in this 11 jurisdiction. 12 (3) The chapter applies to an individual mentioned in subsection (2) in 13 the same way as it applies to an Australian lawyer, with any necessary 14 changes. 15 167 Conduct to which this chapter applies--generally 16 (1) This chapter applies to conduct in this jurisdiction of an Australian 17 lawyer whether or not the conduct was engaged in before or after the 18 commencement of this section. 19 (2) Also, this chapter applies to conduct outside this jurisdiction of an 20 Australian lawyer whether or not the conduct was engaged in before or 21 after the commencement of this section-- 22 (a) if the conduct is part of a course of conduct that happened partly 23 in this jurisdiction and partly in another jurisdiction, and either-- 24 (i) the corresponding authority of each other jurisdiction in 25 which the conduct happened consents to it being dealt with 26 under this Act; or 27 (ii) the Australian lawyer and, if a complaint is made by a 28 person about the lawyer, the complainant consent to it being 29 dealt with under this Act; or 30 (b) if the conduct happened in Australia but wholly outside this 31 jurisdiction and the Australian lawyer is a local lawyer or a local 32 legal practitioner, and either-- 33

 


 

s 168 115 s 168 Legal Profession Bill 2003 (i) the corresponding authority of each jurisdiction in which 1 the conduct happened consents to it being dealt with under 2 this Act; or 3 (ii) the Australian lawyer and, if a complaint is made by a 4 person about the lawyer, the complainant consent to it being 5 dealt with under this Act; or 6 (c) if the conduct happened wholly or partly outside Australia and 7 the Australian lawyer is a local lawyer or a local legal 8 practitioner. 9 (3) However, this chapter does not apply to conduct in this jurisdiction 10 if-- 11 (a) the commissioner consents to the conduct being dealt with under 12 a corresponding law; or 13 (b) the Australian lawyer and, if a complaint is made by a person 14 about the lawyer, the complainant consent to the conduct being 15 dealt with under a corresponding law. 16 (4) The commissioner may give consent for the purposes of 17 subsection (3), and may do so conditionally or unconditionally. 18 168 Conduct to which this chapter applies--bankruptcy, serious 19 offences and tax offences 20 (1) This chapter applies to the following conduct of a local legal 21 practitioner whether happening in Australia or elsewhere and whether the 22 conduct was engaged in before or after the commencement of this 23 section-- 24 (a) conduct for which a court has convicted the practitioner for-- 25 (i) a serious offence; or 26 (ii) a tax offence; or 27 (iii) an offence involving dishonesty; 28 (b) an act of bankruptcy under the Bankruptcy Act 1966 (Cwlth). 29 (2) This section has effect despite anything in section 167.78 30 78 Section 167 (Conduct to which this chapter applies--generally)

 


 

s 169 116 s 171 Legal Profession Bill 2003 169 Chapter also applies to law practice employees 1 (1) This chapter applies to the conduct of a law practice employee in 2 relation to conduct to which this chapter applies under subsection (2). 3 (2) This chapter applies to the conduct of the employee in relation to the 4 relevant practice whether or not-- 5 (a) the conduct is part of a course of conduct that happened partly in 6 this jurisdiction and partly in another jurisdiction; or 7 (b) the conduct was engaged in before or after the commencement of 8 this section. 9 Division 4--Commissioner's obligations for complaints 10 170 Duty to deal with complaints efficiently and expeditiously 11 The commissioner must, under this Act, deal with complaints as 12 efficiently and expeditiously as is practicable.79 13 171 Duty to inform complainant about action taken for complaint 14 (1) The commissioner must keep a complainant informed about the way 15 the complaint is dealt with. 16 (2) Without limiting subsection (1), the commissioner must give the 17 complainant-- 18 (a) notice of the receipt of the complaint by the commissioner; and 19 (b) a copy of any discipline application made because of the 20 complaint; and 21 (c) written notice of a decision of a disciplinary body relating to the 22 complaint. 23 79 See section 178 (Commissioner may delay dealing with complaint).

 


 

s 172 117 s 173 Legal Profession Bill 2003 PART 2--MAKING COMPLAINTS 1 172 Conduct about which complaint may be made 2 (1) A complaint may be made under this chapter about-- 3 (a) an Australian lawyer's conduct to which this chapter applies; or 4 (b) the conduct of a law practice employee to which this chapter 5 applies. 6 (2) A complaint may be made under this chapter about conduct 7 happening outside this jurisdiction, but the complaint must not be dealt 8 with under this chapter unless this chapter is or becomes applicable to the 9 conduct. 10 173 Making a complaint 11 (1) An entity may make a complaint in writing to the commissioner 12 about the conduct of an Australian lawyer or law practice employee, 13 including, for example-- 14 (a) a client of the law practice; or 15 (b) the relevant regulatory authority. 16 (2) However for a government legal officer, only the following entities 17 may make a complaint about the conduct of the officer in relation to the 18 government work engaged in by the officer-- 19 (a) a relevant regulatory authority; 20 (b) the chief executive officer, however expressed, of the department 21 or agency in which the officer is a government legal officer or, if 22 the chief executive officer may delegate that power, a delegate. 23 (3) The complaint must-- 24 (a) identify the complainant; and 25 (b) if possible, identify the individual about whom the complaint is 26 made; and 27 (c) describe the alleged conduct the subject of the complaint. 28 (4) Even if a regulatory authority approves a form for making 29 complaints, a complaint may be made under subsection (1) other than in 30 the approved form. 31

 


 

s 174 118 s 175 Legal Profession Bill 2003 174 Further information and verification 1 (1) The commissioner may, by written notice to a complainant, require 2 the complainant to do 1 or more of the following-- 3 (a) to give further information about the complaint; 4 (b) to verify the complaint, or any further information, by statutory 5 declaration; 6 (c) to sign an approved form that acknowledges the waiver of legal 7 professional privilege as mentioned in section 231.80 8 (2) The notice must state a date, that is reasonable, by which the 9 complainant must comply with the notice. 10 (3) The commissioner may extend the time for the complainant to 11 comply with subsection (1) on application by the complainant before the 12 date stated in the notice. 13 175 Complaints made over 3 years after conduct concerned 14 (1) This section applies if a complaint is received by the commissioner 15 more than 3 years after the conduct happened that is the subject of the 16 complaint, including conduct that happened before the commencement of 17 this section. 18 (2) The commissioner may-- 19 (a) refer the complaint to mediation; or 20 (b) dismiss the complaint unless the commissioner decides that-- 21 (i) it is just and fair to deal with the complaint having regard to 22 the extent and reasons for the delay; or 23 (ii) the complaint involves conduct of the following type and it 24 is in the public interest to deal with the complaint-- 25 (A) conduct of an Australian lawyer that the commissioner 26 considers may be professional misconduct; or 27 (B) conduct of a law practice employee that the 28 commissioner considers may be misconduct in relation 29 to the relevant practice. 30 (3) The commissioner must give an information notice to-- 31 80 Section 231 (Waiver of legal professional privilege)

 


 

s 176 119 s 176 Legal Profession Bill 2003 (a) if the commissioner dismisses the complaint--the complainant; 1 or 2 (b) if the commissioner makes a decision mentioned in 3 subsection (2)(b)(i) or (ii)--the respondent. 4 (4) For working out whether it is more than 3 years since conduct that is 5 the subject of the complaint happened, the commissioner must calculate 6 from the last day that the conduct happened. 7 (5) This section does not limit the commissioner's power to dismiss a 8 complaint under section 176.81 9 (6) This section is subject to 391.82 10 176 Summary dismissal of complaints 11 (1) The commissioner may dismiss the complaint for 1 or more of the 12 following reasons-- 13 (a) the commissioner has given the complainant a notice under 14 section 17483 and, within the time stated in the notice or under an 15 extension under that section, the complainant has not complied 16 with the notice; 17 (b) the complaint does not disclose conduct that the commissioner 18 considers may be-- 19 (i) conduct to which this chapter applies; and 20 (ii) unsatisfactory professional conduct or professional 21 misconduct of an Australian lawyer or misconduct of a law 22 practice employee in relation to the relevant practice; 23 (c) the commissioner considers the complaint is vexatious, 24 misconceived or frivolous; 25 (d) the conduct complained about has been the subject of a previous 26 complaint that has been dismissed or dealt with, and the 27 commissioner considers that the complaint discloses no reason to 28 reconsider the matter; 29 81 Section 176 (Summary dismissal of complaints) 82 Section 391 (Basis of complaint mentioned in ss 173 or 390(2)) 83 Section 174 (Further information and verification)

 


 

s 177 120 s 177 Legal Profession Bill 2003 (e) for a complaint about an Australian lawyer--the lawyer's name 1 has already been removed from the local roll or an interstate roll. 2 (2) The commissioner may dismiss a complaint under this section 3 without completing an investigation if, having considered the complaint, 4 the commissioner forms the view that the complaint requires no further 5 investigation. 6 (3) If a complaint is dismissed for the reason mentioned in 7 subsection (1)(a), the dismissal does not prevent the complainant from 8 making a fresh complaint under section 173.84 9 (4) In this section-- 10 "previous complaint" includes-- 11 (a) a complaint under the Queensland Law Society Act 1952 if the 12 complaint was made under that Act before the commencement of 13 this definition; and 14 (b) a complaint made to the bar association if the complaint was 15 made before that commencement. 16 177 Withdrawal of complaints 17 (1) The complainant may withdraw the complaint by notice to the 18 commissioner. 19 (2) If the notice about the withdrawal is oral, the commissioner must do 20 each of the following unless the complainant gives the commissioner 21 written confirmation of the withdrawal-- 22 (a) make a written record of the withdrawal; 23 (b) give the complainant a copy of the record, or send a copy of it 24 addressed to the complainant at the complainant's address last 25 known to the commissioner. 26 (3) However, the withdrawal of the complaint does not prevent action 27 being taken on a complaint by another person or by the commissioner on 28 the commissioner's own initiative. 29 (4) In this section-- 30 "withdrawal" of a complaint includes withdrawal of some only or part 31 only of the matters that form the subject of the complaint. 32 84 Section 173 (Making a complaint)

 


 

s 178 121 s 179 Legal Profession Bill 2003 178 Commissioner may delay dealing with complaint 1 (1) The commissioner may delay dealing with a complaint for 1 or more 2 of the following reasons-- 3 (a) the complainant has asked for a delay and the commissioner 4 considers the request reasonable; 5 (b) for a complaint about an Australian lawyer--the lawyer is under 6 investigation in this jurisdiction or another jurisdiction and, 7 under this Act or a corresponding law of that other jurisdiction, 8 the lawyer's name may be removed from the local roll or 9 interstate roll; 10 (c) the matter the subject of the complaint is being or about to be 11 dealt with in another way; 12 (d) the commissioner considers that it is in the public interest to 13 delay dealing with the complaint. 14 (2) Subsection (1) applies despite sections 15 and 170.85 15 PART 3--MEDIATION FOR COMPLAINTS INVOLVING 16 CONSUMER DISPUTE 17 179 Definition for ch 3, pt 3 18 In this part-- 19 "consumer dispute" means a dispute between a person and a law practice 20 about conduct of-- 21 (a) an Australian lawyer to the extent the commissioner considers 22 that the dispute does not involve an issue of unsatisfactory 23 professional conduct or professional misconduct; or 24 (b) a law practice employee to the extent the commissioner considers 25 that the dispute does not involve an issue of misconduct in 26 relation to the relevant practice. 27 85 Sections 15 (Timing for doing things) and 170 (Duty to deal with complaints efficiently and expeditiously)

 


 

s 180 122 s 181 Legal Profession Bill 2003 180 Mediation of complaint involving consumer dispute solely 1 (1) This section applies to a complaint that involves a consumer dispute. 2 (2) The commissioner may-- 3 (a) suggest to the complainant and the Australian lawyer or law 4 practice that they enter into a process of mediation; and 5 (b) refer the matter to the relevant regulatory authority to see if the 6 authority may help in the mediation or otherwise in the 7 resolution of the complaint. 8 (3) The commissioner is then not required to take further action on the 9 complaint. 10 181 Mediation of hybrid complaint 11 (1) This section applies to a complaint that involves both of the 12 following-- 13 (a) a consumer dispute; 14 (b) an issue of unsatisfactory professional conduct or professional 15 misconduct by an Australian lawyer or of misconduct by a law 16 practice employee in relation to the relevant practice. 17 (2) The commissioner may-- 18 (a) suggest to the complainant and the Australian lawyer or law 19 practice that they enter into a process of mediation; and 20 (b) refer the matter to the relevant regulatory authority to see if the 21 authority may help in the mediation or otherwise in the 22 resolution of the complaint. 23 (3) The complaint must continue to be dealt with under this chapter after 24 or during the mediation or attempt at mediation. 25

 


 

s 182 123 s 183 Legal Profession Bill 2003 PART 4--STARTING INVESTIGATIONS BASED ON 1 COMPLAINT OR WITHOUT A COMPLAINT 2 182 Referral by commissioner to law society or bar association 3 (1) This section applies if-- 4 (a) a complaint is received by the commissioner and is not dismissed 5 under section 175(2)(b) or 17686 or withdrawn under 6 section 177;87 or 7 (b) a complaint is withdrawn under section 177 but the 8 commissioner has continued to investigate the matter on the 9 commissioner's own initiative; or 10 (c) the commissioner believes that an investigation about a matter 11 (an "investigation matter") should be started into the conduct of 12 an Australian lawyer or a law practice employee. 13 (2) The commissioner may refer the complaint or the investigation 14 matter to the relevant regulatory authority. 15 (3) The referral may state a date by which the regulatory authority is to 16 report to the commissioner about the complaint or investigation matter and 17 directions to the authority about the way in which the authority is to 18 conduct the investigation. 19 (4) The commissioner may extend the date for the report but may require 20 the authority to give the commissioner an interim report. 21 (5) At any time while the regulatory authority is carrying out its 22 investigation, including after the commissioner is given an interim report, 23 the commissioner may give directions or further directions about the way 24 in which the authority is to conduct the investigation. 25 183 Commissioner investigating a complaint or investigation matter 26 (1) The commissioner must investigate a complaint or an investigation 27 matter if the commissioner is satisfied-- 28 86 Section 175 (Complaints made over 3 years after conduct concerned) or 176 (Summary dismissal of complaints) 87 Section 177 (Withdrawal of complaint)

 


 

s 184 124 s 184 Legal Profession Bill 2003 (a) it is inconsistent with the public interest for the relevant 1 regulatory authority to investigate the complaint or investigation 2 matter; or 3 (b) it is in the public interest for the commissioner to investigate the 4 complaint or investigation matter. 5 (2) Also, the commissioner must investigate a complaint or investigation 6 matter that is not mentioned in subsection (1) but is not referred to a 7 regulatory authority under section 182(2).88 8 (3) If the commissioner considers it appropriate to start or continue an 9 investigation into a complaint or investigation matter that was referred to a 10 a regulatory authority under section 182(2), the commissioner may do so 11 by giving a written notice of the commissioner's decision to the authority. 12 (4) A regulatory authority given a notice under subsection (3) must give 13 to the commissioner all documents relating to the investigation into the 14 complaint or investigation matter. 15 184 Australian lawyer to be notified of complaint or 16 investigation matter 17 (1) The entity carrying out an investigation as mentioned in section 182 18 or 18389 must ensure that written notice of the following is given to the 19 Australian lawyer about whom, or the law practice about which, the 20 complaint is made or an investigation matter relates-- 21 (a) the making of the complaint or investigation matter; 22 (b) the nature of the complaint or investigation matter; 23 (c) the identity of the complainant; 24 (d) action taken by the entity in relation to the complaint or 25 investigation matter before giving the notice. 26 (2) Also, the notice must advise the Australian lawyer or law practice 27 that the lawyer or law practice may make submissions to the entity by a 28 stated date that is reasonable. 29 88 Section 182 (Referral by commissioner to law society or bar association) 89 Section 182 (Referral by commissioner to law society or bar association) or 183 (Commissioner investigating a complaint or investigation matter)

 


 

s 185 125 s 185 Legal Profession Bill 2003 (3) Despite section 15,90 the entity may delay giving the Australian 1 lawyer or law practice notice under subsection (1) until the entity-- 2 (a) considers notice of the complaint or investigation matter will not 3 prejudice the investigation of the complaint or investigation 4 matter; or 5 (b) the complainant complies with a notice given under 6 section 174(1).91 7 185 Role of law society or bar association 8 (1) If a complaint or investigation matter is referred to a regulatory 9 authority, it must investigate the complaint or investigation matter and 10 report to the commissioner about the complaint or matter by the stated date 11 or a later date stated in an extension. 12 (2) For subsection (1), the authority may investigate a complaint or 13 investigation matter by an investigator investigating the complaint or 14 matter and presenting evidence to the authority for its consideration and 15 report. 16 (3) However, the investigator must be an investigator appointed because 17 of a nomination by the authority. 18 (4) The report must-- 19 (a) be in an approved form approved by the commissioner; and 20 (b) include a recommendation about whether proceedings before a 21 disciplinary body in relation to the complaint or investigation 22 matter should be started. 23 (5) Without limiting the matters to which the authority may have regard 24 when making a recommendation as mentioned in subsection (4)(b), the 25 authority may have regard to the following-- 26 (a) the public interest in the complaint or investigation matter being 27 heard and decided by a disciplinary body; 28 (b) the likelihood of a finding of unsatisfactory professional conduct 29 or professional misconduct against the Australian lawyer or of 30 misconduct of the law practice employee in relation to the 31 relevant practice; 32 90 Section 15 (Timing for doing things) 91 Section 174 (Further information and verification)

 


 

s 186 126 s 186 Legal Profession Bill 2003 (c) other actions or proceedings that may have started or finished in 1 relation to the conduct the subject of the complaint or 2 investigation matter or to the same lawyer or law practice 3 employee. 4 (6) If the authority recommends making a discipline application, the 5 report must also include a draft of the application and the evidence to 6 support the application. 7 186 Powers for investigations 8 (1) The entity carrying out an investigation as mentioned in section 182 9 or 18392 may, for the investigation-- 10 (a) require an Australian lawyer who is the subject of the 11 investigation-- 12 (i) to give the entity, in writing or personally, within a stated 13 reasonable time a full explanation of the matter being 14 investigated; or 15 (ii) to appear before the entity at a stated reasonable time and 16 place; or 17 (iii) to produce to the entity within a stated reasonable time any 18 document in the lawyer's custody, possession or control that 19 the lawyer is entitled at law to produce; or 20 (b) engage a costs assessor to report on the reasonableness of a 21 lawyer's bill of costs. 22 (2) The lawyer must comply with a requirement under subsection (1)(a). 23 Maximum penalty--50 penalty units. 24 (3) If the lawyer fails to comply with the requirement, the entity may 25 give the lawyer written notice that if the failure continues for a further 14 26 days after the notice is given the lawyer may be dealt with for professional 27 misconduct. 28 (4) If notice under subsection (3) is given and the failure continues for 29 the 14 day period-- 30 92 Section 182 (Referral by commissioner to law society or bar association) or 183 (Commissioner investigating a complaint or investigation matter)

 


 

s 187 127 s 187 Legal Profession Bill 2003 (a) the lawyer is taken to have committed professional misconduct, 1 unless the lawyer has a reasonable excuse for not complying with 2 the requirement within the period; and 3 (b) the entity may bring a charge of professional misconduct against 4 the lawyer. 5 (5) In a hearing before the tribunal about a charge of professional 6 misconduct, a copy of the notice mentioned in subsection (3) and any 7 enclosures with the notice are evidence of the matters in the notice and the 8 enclosures. 9 (6) A lawyer may refuse to give the entity an explanation of a matter 10 being investigated if-- 11 (a) the lawyer satisfies the entity that to give the explanation would 12 contravene, or invalidate, a policy for professional indemnity 13 insurance held by the lawyer; or 14 (b) the explanation would incriminate the lawyer. 15 187 Submissions by Australian lawyer 16 (1) The Australian lawyer or law practice in relation to a complaint or 17 investigation matter who is given a notice under section 18493 may, by the 18 date stated in that notice, make written submissions to the commissioner or 19 the stated relevant regulatory authority about the complaint or investigation 20 matter. 21 (2) At the request of the lawyer or law practice or the authority, the 22 commissioner may substitute a later date by which submissions may be 23 made. 24 (3) The commissioner or authority must consider the submissions made 25 before the stated date or any later date before deciding whether to make a 26 discipline application relating to the complaint or investigation matter. 27 93 Section 184 (Australian lawyer to be notified of complaint or investigation matter)

 


 

s 188 128 s 190 Legal Profession Bill 2003 188 Referral of matters for cost assessment 1 For the purpose of investigating a complaint, the entity carrying out an 2 investigation as mentioned in section 182 or 18394 may refer a matter to a 3 costs assessor for assessment of costs charged or claimed by a law practice. 4 PART 5--DISCIPLINE 5 Division 1--Decision of commissioner 6 189 Decision of commissioner after investigation 7 As the commissioner considers appropriate in relation to a complaint or 8 investigation matter that has been or continues to be investigated, the 9 commissioner may start proceedings under this part with a disciplinary 10 body. 11 190 Dismissal of complaint 12 (1) The commissioner may dismiss the complaint or investigation matter 13 if satisfied that-- 14 (a) there is no reasonable likelihood of a finding by a disciplinary 15 body of-- 16 (i) for an Australian lawyer--either unsatisfactory professional 17 conduct or professional misconduct; or 18 (ii) for a law practice employee--misconduct in relation to the 19 relevant practice; or 20 (b) it is in the public interest to do so. 21 (2) The commissioner must give the lawyer or law practice and any 22 complainant written notice about the commissioner's decision to dismiss 23 the complaint or investigation matter. 24 94 Section 182 (Referral by commissioner to law society or bar association) or 183 (Commissioner investigating a complaint or investigation matter)

 


 

s 191 129 s 194 Legal Profession Bill 2003 191 Record of decision 1 The commissioner must cause a record of his or her decision about a 2 complaint or an investigation matter, together with reasons for the decision, 3 to be kept for each complaint or investigation matter dealt with under this 4 division. 5 Division 2--Proceedings in disciplinary body 6 192 Starting proceeding before a disciplinary body 7 (1) The commissioner may apply-- 8 (a) to the tribunal for an order against an Australian lawyer in 9 relation to a complaint against the lawyer or an investigation 10 matter; or 11 (b) to the committee for an order-- 12 (i) against an Australian lawyer in relation to a complaint 13 against the lawyer or an investigation matter; or 14 (ii) against a law practice employee in relation to a complaint 15 against the employee or an investigation matter involving 16 the employee. 17 (2) An application under subsection (1) is a "discipline application". 18 193 Hearings 19 The disciplinary body must hear and decide each allegation stated in the 20 discipline application. 21 194 Variation of discipline application 22 (1) The disciplinary body may, on the commissioner's application, vary a 23 discipline application by omitting allegations or including additional 24 allegations, if the body is satisfied that it is reasonable to do so having 25 regard to all the circumstances. 26 (2) Without limiting subsection (1), when considering whether or not it 27 is reasonable to vary a discipline application, the disciplinary body must 28 have regard to whether varying the application will affect the fairness of the 29 proceedings. 30

 


 

s 195 130 s 196 Legal Profession Bill 2003 (3) A variation to include an additional allegation is not precluded 1 merely because the alleged conduct happened more than 3 years before the 2 variation is made, including conduct that happened before the 3 commencement of this section. 4 195 Joinder 5 A disciplinary body may, subject to its rules, order the joinder of more 6 than 1 discipline application involving the same or different Australian 7 lawyers or law practice employees. 8 Division 3--Decisions of disciplinary bodies 9 196 Decisions of tribunal about an Australian lawyer 10 (1) This section applies if, after the tribunal has completed a hearing of a 11 discipline application in relation to a complaint or an investigation matter 12 against an Australian lawyer, the tribunal is satisfied that the Australian 13 lawyer is guilty of unsatisfactory professional conduct or professional 14 misconduct. 15 (2) The tribunal may, under this subsection, make 1 or more of the 16 following in a way it considers appropriate-- 17 (a) an order recommending that the name of the Australian lawyer 18 be removed from the local roll; 19 (b) an order that the Australian lawyer's local practising certificate 20 be cancelled or suspended; 21 (c) an order that a local practising certificate not be issued to the 22 Australian lawyer until the end of a stated period; 23 (d) an order that-- 24 (i) imposes stated conditions on the Australian lawyer's 25 practising certificate issued or to be issued under this Act; 26 and 27 (ii) imposes the conditions for a stated period; and 28 (iii) specifies the time, if any, after which the Australian lawyer 29 may apply to the tribunal for the conditions to be amended 30 or removed; 31

 


 

s 196 131 s 196 Legal Profession Bill 2003 (e) an order publicly reprimanding the Australian lawyer or, if there 1 are special circumstances, privately reprimanding the lawyer; 2 (f) an order that no law practice in this jurisdiction may, for a period 3 stated in the order of not more than 5 years-- 4 (i) employ or continue to employ the Australian lawyer in a law 5 practice in this jurisdiction; or 6 (ii) employ or continue to employ the Australian lawyer in this 7 jurisdiction unless the conditions of employment are subject 8 to conditions stated in the order. 9 (3) The tribunal may, under this subsection, make 1 or more of the 10 following-- 11 (a) an order recommending that the name of the Australian lawyer 12 be removed under a corresponding law from an interstate roll; 13 (b) an order that the Australian lawyer's interstate practising 14 certificate be cancelled or suspended under a corresponding law; 15 (c) an order that an interstate practising certificate not be, under a 16 corresponding law, granted to the Australian lawyer until the end 17 of a stated period; 18 (d) an order that-- 19 (i) stated conditions be imposed under a corresponding law on 20 the Australian lawyer's interstate practising certificate; and 21 (ii) the conditions be imposed for a stated period; and 22 (iii) specifies the time, if any, after which the Australian lawyer 23 may apply under the corresponding law for the conditions to 24 be amended or removed; 25 (e) an order that the Australian lawyer's registration under a 26 corresponding law as a foreign lawyer under that law be 27 cancelled. 28 (4) The tribunal may, under this subsection, make 1 or more of the 29 following-- 30 (a) an order that the Australian lawyer pay a penalty of a stated 31 amount, not exceeding $100 000; 32 (b) a compensation order; 33 (c) an order that the Australian lawyer undertake and complete a 34 stated course of further legal education; 35

 


 

s 197 132 s 197 Legal Profession Bill 2003 (d) an order that, for a stated period, the Australian lawyer engage in 1 legal practice under supervision as stated in the order; 2 (e) an order that the Australian lawyer do or refrain from doing 3 something in connection with the lawyer engaging in legal 4 practice; 5 (f) an order that the Australian lawyer stop accepting instructions as 6 a public notary in relation to notarial services; 7 (g) an order that engaging in legal practice by the Australian lawyer 8 is to be managed for a stated period in a stated way or subject to 9 stated conditions; 10 (h) an order that engaging in legal practice by the Australian lawyer 11 is to be subject to periodic inspection by a person nominated by 12 the relevant regulatory authority for a stated period; 13 (i) an order that the Australian lawyer seek advice from a stated 14 person in relation to the lawyer's management of engaging in 15 legal practice. 16 (5) To remove any doubt, it is declared that the tribunal may make any 17 number of orders mentioned in any or all of subsections (2), (3) and (4). 18 (6) Also, the tribunal may make ancillary orders, including an order for 19 payment by the Australian lawyer of expenses associated with orders under 20 subsection (4), as assessed in or under the order or as agreed. 21 (7) The tribunal may find an individual guilty of unsatisfactory 22 professional conduct even though the discipline application alleged 23 professional misconduct. 24 197 Orders to be filed in Supreme Court and information notices to be 25 given to parties etc. 26 (1) This section applies to the Brisbane registrar after the tribunal makes 27 an order under sections 196 or 202 or part 695 in relation to a discipline 28 application, including a discipline application that the tribunal dealt with 29 on an appeal from the committee under section 209.96 30 (2) The Brisbane registrar must-- 31 95 Sections 196 (Decisions of tribunal about an Australian lawyer) and 202 (Costs) or part 6 (Compensation orders) 96 Section 209 (Appeal to tribunal against committee's decision)

 


 

s 198 133 s 198 Legal Profession Bill 2003 (a) file the order in a Supreme Court registry; and 1 (b) give the parties in relation to the discipline application a copy of 2 the order and an information notice about the final decision about 3 the discipline application; and 4 (c) give the Minister a copy of the order. 5 (3) On being filed, the order is an order of the Supreme Court and may 6 be enforced accordingly. 7 198 Decisions of committee about discipline application 8 (1) This section applies if, after a committee has completed a hearing of 9 a discipline application in relation to a complaint or an investigation matter 10 against an Australian lawyer or a law practice employee, the committee is 11 satisfied-- 12 (a) for the lawyer--that the lawyer is guilty of unsatisfactory 13 professional conduct; or 14 (b) for the employee--that the employee is guilty of misconduct in 15 relation to the relevant practice. 16 (2) The committee may make 1 or more of the following in relation to an 17 Australian lawyer-- 18 (a) an order publicly reprimanding the Australian lawyer or, if there 19 are special circumstances, privately reprimanding the lawyer; 20 (b) an order that the Australian lawyer pay a penalty of a stated 21 amount, not exceeding $10 000; 22 (c) a compensation order; 23 (d) an order that the Australian lawyer do or refrain from doing 24 something in connection with the lawyer engaging in legal 25 practice; 26 (e) an order that engaging in legal practice by the Australian lawyer 27 is to be managed for a stated period in a stated way or subject to 28 stated conditions; 29 (f) an order that engaging in legal practice by the Australian lawyer 30 is to be subject to periodic inspection by a person nominated by 31 the relevant regulatory authority for a stated period; 32

 


 

s 199 134 s 199 Legal Profession Bill 2003 (g) an order that the Australian lawyer seek advice from a person 1 nominated by the relevant regulatory authority in relation to the 2 lawyer's management of engaging in legal practice. 3 (3) Also, the committee may make ancillary orders, including an order 4 for payment by the Australian lawyer of expenses associated with orders 5 under subsection (2), as assessed in or under the order or as agreed. 6 (4) For a law practice employee, the committee may order that no law 7 practice in this jurisdiction may, for a period stated in the order of not more 8 than 5 years-- 9 (a) employ or continue to employ the employee in a law practice in 10 relation to the relevant practice in this jurisdiction; or 11 (b) employ or continue to employ the employee in this jurisdiction 12 unless the conditions of employment are subject to conditions 13 stated in the order. 14 (5) In this section-- 15 "law practice employee" means an individual who is or was a law practice 16 employee. 17 199 Orders to be filed in Supreme Court and information notices to be 18 given to parties etc. 19 (1) This section applies after the committee makes an order under 20 sections 198 or 202 or part 697 in relation to a discipline application. 21 (2) The commissioner must-- 22 (a) give the other party in relation to the discipline application a 23 copy of the order and an information notice about the final 24 decision about the discipline application; and 25 (b) give the Minister a copy of the order. 26 (3) If there is no appeal from the decision within the 28 days allowed for 27 the appeal, the commissioner must file the order in a Supreme Court 28 registry. 29 (4) On being filed, the order is an order of the Supreme Court and may 30 be enforced accordingly. 31 97 Sections 198 (Decisions of committee about discipline application) and 202 (Costs) or part 6 (Compensation orders)

 


 

s 200 135 s 202 Legal Profession Bill 2003 200 Compliance with decisions 1 (1) To the extent an entity has a function or power under this Act relevant 2 to an order of a disciplinary body, the entity must-- 3 (a) give effect to an order made under section 196(2);98 and 4 (b) enforce an order made under section 196(4) or (6) or 198(2) 5 or (3) so far as the order relates to the legal practice of, or other 6 matters affecting, the Australian lawyer concerned in this 7 jurisdiction. 8 (2) The commissioner must ensure that entities having functions or 9 powers under a corresponding law of another jurisdiction are notified of the 10 making and contents of-- 11 (a) an order of the tribunal made under section 196(3) in relation to 12 that corresponding law; and 13 (b) an order of the body made under section 196(4) or (6) or 198(2) 14 or (3) so far as the order relates to the legal practice of, or other 15 matters affecting, the Australian lawyer concerned in that other 16 jurisdiction. 17 (3) If the tribunal makes an order recommending that the name of an 18 Australian lawyer be removed from the local roll, the Brisbane registrar 19 must remove, or arrange with another registrar for the removal of, the name 20 from the local roll. 21 201 Interim order 22 A disciplinary body may make an interim order as it considers 23 appropriate before making its final decision about a discipline application. 24 202 Costs 25 (1) A disciplinary body must make an order requiring an individual 26 whom it has found guilty to pay costs, including costs of the commissioner 27 and the complainant, unless the disciplinary body is satisfied exceptional 28 circumstances exist. 29 (2) A disciplinary body may make an order requiring an individual 30 whom it has not found guilty to pay costs, including costs of the 31 98 Section 196 (Decisions of tribunal about an Australian lawyer)

 


 

s 203 136 s 203 Legal Profession Bill 2003 commissioner and the complainant, if the disciplinary body is satisfied 1 that-- 2 (a) the sole or principal reason why the proceedings were started in 3 the disciplinary body was the individual's failure to cooperate 4 with the commissioner or a relevant regulatory authority; or 5 (b) there is some other reason warranting the making of an order in 6 the particular circumstances. 7 (3) A disciplinary body may make an order requiring the commissioner 8 to pay costs, but may do so only if it is satisfied that-- 9 (a) the Australian lawyer or law practice employee is not guilty; and 10 (b) the body considers that special circumstances warrant the 11 making of the order. 12 (4) An order for costs-- 13 (a) may be for a stated amount; or 14 (b) may be for an unstated amount but must specify the basis on 15 which the amount must be decided. 16 (5) An order for costs may specify the terms on which costs must be 17 paid. 18 (6) In this section-- 19 "guilty" means guilty of unsatisfactory professional conduct or 20 professional misconduct, or of misconduct in relation to a relevant 21 practice, as mentioned in section 196(1) or 198(1). 22 203 Other remedies not affected 23 This part does not affect any other remedy available to a complainant. 24

 


 

s 204 137 s 205 Legal Profession Bill 2003 PART 6--COMPENSATION ORDERS 1 Division 1--Preliminary 2 204 Meaning of "compensation order" 3 A "compensation order" is 1 or more of the following-- 4 (a) an order that a law practice can not recover or must repay the 5 whole or a stated part of the amount charged to a complainant by 6 the law practice for stated legal services; 7 (b) an order discharging a lien possessed by a law practice in relation 8 to a stated document or class of documents; 9 (c) an order that a law practice carry out stated work for a stated 10 person without a fee or for a stated fee; 11 (d) an order that a law practice pay to a complainant an amount by 12 way of compensation for pecuniary loss because of conduct that 13 has been found to be-- 14 (i) unsatisfactory professional conduct or professional 15 misconduct of an Australian lawyer involved in the relevant 16 practice; or 17 (ii) misconduct of a law practice employee in relation to the 18 relevant practice. 19 Division 2--Compensation orders 20 205 Compensation order relating to pecuniary loss 21 A disciplinary body may not make a compensation order as mentioned 22 in section 204(d) for a loss for which the relevant complainant has received 23 or is entitled to receive-- 24 (a) compensation under an order that has been made by a court; or 25 (b) compensation from a fidelity fund of any jurisdiction, if a claim 26 for payment from the fund has been made or decided. 27

 


 

s 206 138 s 208 Legal Profession Bill 2003 206 Effect of compensation order 1 (1) A compensation order preventing recovery of an amount of the type 2 mentioned in section 204(a) is effective even if proceedings to recover the 3 amount, or any part of it, have been started by or for the law practice. 4 (2) A compensation order requiring repayment of an amount of the type 5 mentioned in section 204(a) is effective even if a court has ordered 6 payment of the amount, or an amount of which it is part, in proceedings 7 brought by or for the law practice. 8 (3) A compensation order requiring payment of an amount exceeding 9 $7 500 by way of monetary compensation of the type mentioned in 10 section 204(d) is not to be made unless the complainant and the law 11 practice both consent to the order. 12 207 Other remedies not affected 13 The recovery of an amount awarded by a compensation order does not 14 affect any other remedy available to a complainant, but an amount so 15 awarded must be taken into account in any other proceedings by or for the 16 complainant in relation to the same loss. 17 PART 7--APPEALS FROM DECISIONS OF 18 DISCIPLINARY BODIES 19 208 Appeal may be made to Court of Appeal from tribunal's decision 20 (1) The following may appeal a decision of the tribunal to the Court of 21 Appeal-- 22 (a) a party dissatisfied with the tribunal's decision; 23 (b) the Minister. 24 (2) The appeal is by way of a rehearing on the evidence given in the 25 matter before the tribunal. 26 (3) However, subsection (2) does not prevent the Court of Appeal from 27 giving leave to introduce further evidence, whether fresh, additional or 28 substituted, if the court considers the further evidence may be material to 29 the appeal. 30

 


 

s 209 139 s 210 Legal Profession Bill 2003 (4) The appeal must be made-- 1 (a) if the appeal is being made by the Minister--within 28 days after 2 a copy of the tribunal's order is given to the Minister; or 3 (b) otherwise--within 28 days after the tribunal's order is made. 4 209 Appeal to tribunal against committee's decision 5 (1) A party dissatisfied with a final decision of the committee about a 6 discipline application may appeal to the tribunal against the decision within 7 28 days after the date the information notice mentioned in section 199(2)99 8 is given to the party. 9 (2) If a party appeals to the tribunal against the decision of the 10 committee, the appeal is to be by way of rehearing, and fresh evidence or 11 evidence in addition to or in substitution for the evidence before the 12 committee may be given on the appeal. 13 (3) On an appeal under this section, the tribunal may make an order as it 14 considers appropriate to decide the discipline application. 15 210 Appeal to Court of Appeal in relation to a decision of committee 16 (1) This section applies to a decision of the committee that, under 17 section 199(4), has become an order of the Supreme Court. 18 (2) A person may appeal against the order by appealing to the Court of 19 Appeal. 20 (3) The appeal is by way of a rehearing on the evidence given in the 21 matter before the tribunal. 22 (4) However, subsection (3) does not prevent the Court of Appeal from 23 giving leave to introduce further evidence, whether fresh, additional or 24 substituted, if the court considers the further evidence may be material to 25 the appeal. 26 99 Section 199 (Orders to be filed in Supreme Court and information notices to be given to parties etc.)

 


 

s 211 140 s 212 Legal Profession Bill 2003 PART 8--PUBLICATION OF DISCIPLINARY ACTIONS 1 211 Definition for ch 3, pt 8 2 In this part-- 3 "disciplinary action" means-- 4 (a) the making of an order by a court or the tribunal that finds an 5 Australian lawyer guilty of professional misconduct under this 6 Act or under a corresponding law; or 7 (b) any of the following actions under this Act or under a 8 corresponding law, following a finding by a court or the tribunal 9 of professional misconduct by an Australian lawyer-- 10 (i) the removal of the name of the Australian lawyer from a 11 local roll or interstate roll; 12 (ii) the cancellation or suspension of the practising certificate of 13 the Australian lawyer; 14 (iii) the refusal to issue a practising certificate to the Australian 15 lawyer; or 16 (c) the making of an order by the committee under section 198(4). 17 212 Discipline register 18 (1) The commissioner must keep a register (the "discipline register") 19 about the following-- 20 (a) disciplinary action taken under this Act against an Australian 21 lawyer or in relation to a law practice employee; 22 (b) disciplinary action taken under a corresponding law against an 23 Australian lawyer who is or was admitted or practising in this 24 jurisdiction when the conduct that is the subject of the 25 disciplinary action happened. 26 (2) The discipline register must include-- 27 (a) the full name of the individual against whom the disciplinary 28 action was taken and the law practice who employs or employed 29 the individual; and 30 (b) the individual's business address or former business address; and 31

 


 

s 213 141 s 214 Legal Profession Bill 2003 (c) the individual's home jurisdiction if the individual has or had a 1 practising certificate; and 2 (d) particulars of the disciplinary action taken; and 3 (e) other particulars prescribed under a regulation. 4 (3) The discipline register may-- 5 (a) be kept in a form decided by the commissioner, including 6 forming part of other registers; and 7 (b) include other information, including, for example, the date and 8 jurisdiction of the individual's first admission as an Australian 9 lawyer. 10 (4) The discipline register must be available for public inspection on-- 11 (a) the internet site of the commissioner; or 12 (b) an internet site identified on the internet site of the commissioner. 13 (5) Information recorded in the discipline register may be given to 14 members of the public in another way approved by the commissioner. 15 (6) The commissioner may cause any error in or omission from the 16 discipline register to be corrected. 17 (7) The requirement to keep the discipline register applies only in 18 relation to disciplinary action taken after the commencement of this 19 section, but details relating to earlier disciplinary action may be included in 20 the register. 21 213 Other means of publicising disciplinary action 22 (1) The commissioner may publicise disciplinary action taken against an 23 individual in any way the commissioner considers appropriate. 24 (2) Nothing in this section affects the provisions of this part relating to 25 the discipline register. 26 214 Disciplinary action taken because of infirmity, injury or illness 27 (1) Disciplinary action taken against an individual because of infirmity, 28 injury or mental or physical illness is not to be recorded in the discipline 29 register or otherwise publicised under this part. 30 (2) Subsection (1) does not apply if the disciplinary action involves-- 31

 


 

s 215 142 s 216 Legal Profession Bill 2003 (a) the cancellation or suspension of the individual's practising 1 certificate; or 2 (b) a refusal to issue a practising certificate to the individual or to 3 renew the individual's practising certificate; or 4 (c) a regulation of the individual's right to engage in legal practice; 5 but in that case the reason for the disciplinary action, and any other 6 information relating to the infirmity, injury or mental or physical illness, is 7 not to be recorded in the register or otherwise publicised under this part 8 without the individual's consent. 9 215 Quashing of disciplinary action 10 (1) If disciplinary action is quashed on appeal or review, any reference to 11 that disciplinary action must be removed from the discipline register. 12 (2) If disciplinary action is quashed on appeal or review after the action 13 was publicised by the commissioner under section 213,100 the result of the 14 appeal or review must be publicised in the same way by the commissioner. 15 216 Liability for publicising disciplinary action 16 (1) No liability is incurred by a protected person in relation to anything 17 done or omitted to be done in good faith for the purpose of-- 18 (a) publicising disciplinary action taken against an individual or 19 relating to a law practice; or 20 (b) performing the functions or exercising the powers of the 21 commissioner under this part; or 22 (c) keeping, publishing or enabling access to the discipline register. 23 (2) Without limiting subsection (1), no liability, including liability in 24 defamation, is incurred by a person publishing in good faith-- 25 (a) information about disciplinary action-- 26 (i) recorded in the discipline register; or 27 (ii) otherwise publicised by the commissioner under this part; 28 or 29 100 Section 213 (Other means of publicising disciplinary action)

 


 

s 217 143 s 217 Legal Profession Bill 2003 (b) matter containing that information; or 1 (c) a fair report or summary of that information. 2 (3) In this section-- 3 "protected person" means-- 4 (a) the State; or 5 (b) the commissioner; or 6 (c) a regulatory authority; or 7 (d) a person responsible for keeping a record about disciplinary 8 action, or information about disciplinary action, under a 9 corresponding law; or 10 (e) an internet service provider or internet content host; or 11 (f) a person acting at the direction of the State or any person or body 12 mentioned in paragraphs (b) to (d). 13 217 General provisions about disclosure of information 14 (1) The provisions of this part are subject to any order made by any of 15 the following if the order regulates the disclosure of information-- 16 (a) a disciplinary body in relation to disciplinary action taken under 17 this part; 18 (b) a corresponding tribunal in relation to disciplinary action taken 19 under a corresponding law; 20 (c) a court of this or another jurisdiction. 21 (2) However, despite the order mentioned in subsection (1), the name 22 and other identifying particulars of the individual against whom the 23 disciplinary action was taken and the law practice who employs or 24 employed the individual, and the kind of disciplinary action taken-- 25 (a) must be recorded in the discipline register; and 26 (b) may be otherwise publicised under this part. 27 (3) Section 228101 is subject to this part. 28 101 Section 228 (Offence of improper disclosure of information)

 


 

s 218 144 s 220 Legal Profession Bill 2003 PART 9--INTER-JURISDICTIONAL PROVISIONS 1 218 Protocols 2 (1) The commissioner may enter into arrangements ("protocols") with 3 corresponding authorities about investigating and dealing with conduct that 4 appears to have happened in more than 1 jurisdiction. 5 (2) In particular, the protocols may provide for-- 6 (a) providing principles to help in deciding where conduct happens, 7 either generally or in stated classes of cases; and 8 (b) giving and receiving consent for conduct happening in a 9 jurisdiction to be dealt with under a law of another jurisdiction; 10 and 11 (c) the procedures to be adopted for requesting and conducting the 12 investigation of an aspect of complaints or investigation matters 13 under this part. 14 219 Request to another jurisdiction to investigate complaint or 15 investigation matter 16 (1) The commissioner may request a corresponding authority to arrange 17 for the investigation of an aspect of a complaint or an investigation matter 18 that is being dealt with by the commissioner and to give the commissioner 19 a report on the result of the investigation. 20 (2) A report on the result of the investigation received from-- 21 (a) the corresponding authority; or 22 (b) a person or body authorised by the corresponding authority to 23 conduct the investigation; 24 may be used and considered by the commissioner and a disciplinary body 25 in the course of dealing with the discipline application under this chapter. 26 220 Request from another jurisdiction to investigate complaint 27 (1) This section applies in relation to a request received by the 28 commissioner from a corresponding authority to arrange for the 29 investigation of an aspect of a complaint or an investigation matter being 30

 


 

s 221 145 s 222 Legal Profession Bill 2003 dealt with under a corresponding law, including a complaint under that law 1 that is made by the corresponding authority. 2 (2) The commissioner may conduct the investigation or authorise 3 another entity to conduct it. 4 (3) The provisions of this chapter relating to the investigation of a 5 complaint or investigation matter apply, with any necessary changes, in 6 relation to the investigation that is the subject of the request. 7 (4) The commissioner or other authority must give a report on the result 8 of the investigation to the corresponding authority. 9 221 Sharing of information with corresponding authorities 10 (1) The commissioner may give information to a corresponding 11 authority about-- 12 (a) a complaint or investigation matter made under this chapter; and 13 (b) any action taken in relation to a complaint or investigation matter 14 made under this chapter, including a decision of a disciplinary 15 body in relation to a discipline application. 16 (2) However, the commissioner must enter into an arrangement with the 17 corresponding authority before providing information to the corresponding 18 authority. 19 (3) The arrangement must include the following-- 20 (a) the purposes for which the corresponding authority is given the 21 information; 22 (b) how the corresponding authority will protect the privacy of 23 information. 24 222 Cooperation with corresponding authorities 25 (1) When dealing with a complaint or investigation matter relating to an 26 Australian lawyer or law practice, the commissioner may consult and 27 cooperate with another person or body who or which has powers under the 28 corresponding law of another jurisdiction in relation to the Australian 29 lawyer or law practice. 30 (2) For subsection (1), the commissioner and the other person or body 31 may exchange information concerning the complaint or investigation 32 matter. 33

 


 

s 223 146 s 225 Legal Profession Bill 2003 223 Compliance with orders made under corresponding laws 1 (1) Entities having relevant functions or powers under this Act must-- 2 (a) give effect to any order of a corresponding tribunal or other 3 corresponding authority made under a corresponding law in 4 relation to powers exercisable under this Act; and 5 (b) enforce any order of a corresponding tribunal or other 6 corresponding authority made under a corresponding law so far 7 as the order relates to the legal practice of the Australian lawyer 8 or law practice concerned in this jurisdiction. 9 (2) If a corresponding tribunal makes an order recommending that the 10 name of an Australian lawyer be removed from the roll of this jurisdiction 11 or of rolls of other jurisdictions, the Brisbane registrar must remove, or 12 arrange with another registrar for the removal of, the lawyer's name from 13 the local roll. 14 (3) If a corresponding tribunal makes an order that a local Australian 15 lawyer pay a penalty, or pay an amount under a compensation order under 16 corresponding law, a copy of the order may be filed in the Supreme Court 17 and the order may be enforced as if it were an order of the court. 18 224 Other powers or functions not affected 19 Nothing in this part affects any functions or powers that a person or body 20 has apart from this part. 21 PART 10--MISCELLANEOUS 22 225 Information about complaints procedure 23 The commissioner must-- 24 (a) produce information about the making of complaints and the 25 procedure for dealing with complaints; and 26 (b) ensure that information is available to members of the public on 27 request; and 28 (c) give help to members of the public in making complaints. 29

 


 

s 226 147 s 228 Legal Profession Bill 2003 226 Performance criteria 1 (1) The commissioner must develop performance criteria relating to the 2 handling of complaints under this chapter. 3 (2) The commissioner must include the relevant criteria in the 4 commissioner's annual report under this Act, together with an assessment 5 of the commissioner's performance against the criteria in the period to 6 which the report relates. 7 227 Reports to Minister 8 (1) The commissioner must give to the Minister, at the times and for the 9 periods required by the Minister, reports about the system established 10 under this Act for dealing with complaints. 11 (2) A report about the system must deal with matters stated by the 12 Minister and other matters the commissioner considers appropriate to 13 include in the report. 14 (3) The obligations under this section are in addition to another 15 obligation to give an annual or other report under another Act. 16 228 Offence of improper disclosure of information 17 (1) A person who discloses information obtained in the administration of 18 this chapter commits an offence, unless the disclosure is-- 19 (a) authorised or required by an Act; or 20 (b) made in connection with the administration of this chapter; or 21 (c) made with the consent of the person to whom the information 22 relates; or 23 (d) made in connection with legal proceedings under a relevant law 24 or of any report of those proceedings, including proceedings 25 before the tribunal or the committee relating to a discipline 26 application; or 27 (e) made with other lawful excuse. 28 Maximum penalty--200 penalty units. 29 (2) For the purposes of and without limiting subsection (1), a person who 30 receives information directly or indirectly from a corresponding authority 31

 


 

s 229 148 s 229 Legal Profession Bill 2003 is taken to have obtained the information in the administration of this 1 chapter. 2 (3) This section does not apply to the disclosure of information that does 3 not identify or assist in the identification of-- 4 (a) a complainant; or 5 (b) an Australian lawyer or law practice employee, who is the 6 subject of a complaint or an investigation matter, or a law 7 practice that employs the lawyer or employee; or 8 (c) a person associated with the complainant, Australian lawyer, law 9 practice employee or law practice. 10 229 Protection from liability 11 (1) An Act official is not civilly liable to someone for an act done, or 12 omission made, honestly and without negligence under this chapter. 13 (2) If subsection (1) prevents a civil liability attaching to an Act official, 14 the liability attaches instead to the State. 15 (3) This section does not apply to an act done, or omission made, for 16 which liability is excluded under section 216, 267 or 291.102 17 (4) In this section-- 18 "Act official" means-- 19 (a) the commissioner or the staff of the commission; or 20 (b) an investigator involved in the conduct of an investigation under 21 this chapter; or 22 (c) a disciplinary body, any member of the disciplinary body or a 23 panel member; or 24 (d) the Brisbane registrar and other registrars; or 25 (e) a mediator to whom a matter is referred under this chapter; or 26 (f) a regulatory authority; or 27 (g) a member of the staff of an entity mentioned in paragraphs (b) 28 to (f). 29 102 Section 216 (Liability for publicising disciplinary action), 267 (Protection of members etc.) or 291 (Protection of members etc.)

 


 

s 230 149 s 231 Legal Profession Bill 2003 "civil liability" includes liability for the payment of costs ordered to be 1 paid in a proceeding for an offence against this Act. 2 230 Confidentiality of client communications 3 (1) An Australian lawyer must comply with a requirement under this 4 chapter, or chapter 5, part 2, to answer a question or to produce information 5 or a document, despite any duty of confidentiality about a communication 6 between the lawyer and a client, but only if the client is the complainant or 7 consents to its disclosure. 8 (2) A provision of an agreement with a client in settlement of a matter 9 that involves conduct that may be the subject of a complaint under this 10 chapter is not enforceable to prevent the client disclosing, or consenting to 11 the disclosure of, information for an investigation of the complaint whether 12 or not it has been withdrawn or of an investigation matter. 13 (3) It is a reasonable excuse for the Australian lawyer not to comply with 14 the requirement if complying with the requirement might tend to 15 incriminate the lawyer. 16 231 Waiver of legal professional privilege 17 (1) If a person signs a document waiving the person's legal professional 18 privilege about a matter the subject of a complaint or an investigation 19 matter, an Australian lawyer can not refuse to disclose to the commissioner 20 or relevant regulatory authority any information about the matter on the 21 grounds of legal professional privilege. 22 (2) However, the Australian lawyer may refuse to disclose the 23 information on the grounds that it might tend to incriminate the lawyer. 24

 


 

s 232 150 s 234 Legal Profession Bill 2003 CHAPTER 4--ESTABLISHMENT OF ENTITIES FOR 1 THIS ACT, AND RELATED MATTERS 2 PART 1--LEGAL SERVICES COMMISSIONER 3 Division 1--Preliminary 4 232 Main purposes of ch 4, pt 1 5 The main purposes of this part are to establish the Legal Services 6 Commissioner and to provide for matters relevant to the commissioner. 7 Division 2--Appointment 8 233 Legal Services Commissioner 9 There is to be a Legal Services Commissioner. 10 234 Appointment 11 (1) The Governor in Council may appoint an individual as the 12 commissioner by gazette notice. 13 (2) Before recommending an individual for appointment as the 14 commissioner, the Minister must be satisfied that the appointee-- 15 (a) is familiar with the nature of the legal system and legal practice; 16 and 17 (b) possesses appropriate qualities of independence, fairness and 18 integrity. 19 (3) The Minister may recommend an individual who is not an Australian 20 lawyer. 21 (4) The commissioner is appointed under this Act and not under the 22 Public Service Act 1996. 23

 


 

s 235 151 s 238 Legal Profession Bill 2003 235 Term of appointment 1 (1) The commissioner holds office for the term, not longer than 5 years, 2 stated in the gazette notice and may be reappointed. 3 (2) However, an individual must not be reappointed if the total of the 4 individual's term of appointment would be more than 10 years. 5 236 Remuneration and conditions 6 (1) The commissioner is entitled to be paid the remuneration and 7 allowances decided by the Governor in Council. 8 (2) The commissioner holds office-- 9 (a) on the conditions stated in this Act; and 10 (b) on other conditions decided by the Minister. 11 (3) In this section-- 12 "commissioner" includes an individual appointed to act as commissioner 13 under section 237.103 14 237 Acting commissioner 15 (1) The Governor in Council may appoint an individual to act as 16 commissioner-- 17 (a) during a vacancy in the office; or 18 (b) during any period, or during any periods, when the commissioner 19 is absent from duty or from the State or is, for another reason, 20 unable to perform the duties of the office. 21 (2) The individual appointed to act as commissioner must be eligible for 22 appointment as commissioner. 23 238 Termination of appointment 24 (1) The Governor in Council may end the appointment of the 25 commissioner if the commissioner-- 26 (a) becomes incapable of performing the commissioner's functions 27 because of physical or mental incapacity; or 28 103 Section 237 (Acting commissioner)

 


 

s 239 152 s 241 Legal Profession Bill 2003 (b) is an insolvent under administration; or 1 (c) is guilty of misconduct of a kind that could warrant dismissal 2 from the public service if the commissioner were an officer of the 3 public service. 4 (2) The Governor in Council must end the appointment of the 5 commissioner if the commissioner is convicted of a serious offence or an 6 offence against this Act. 7 239 Resignation of commissioner 8 (1) The commissioner may resign by giving a signed notice of 9 resignation to the Minister. 10 (2) A notice of resignation under subsection (1) takes effect when the 11 notice is given to the Minister or, if a later time is stated in the notice, the 12 later time. 13 Division 3--Functions 14 240 Functions 15 (1) The commissioner has the functions conferred or imposed on the 16 commissioner under this or another Act. 17 (2) The commissioner may appear, by Australian legal practitioner or 18 government legal officer, and be heard by, the Supreme Court in relation to 19 the court's jurisdiction, or an exercise of the court's power, under a relevant 20 law. 21 Division 4--Legal Services Commission 22 241 Establishment of commission 23 (1) The Legal Services Commission (the "commission") is established. 24 (2) The commission consists of the commissioner and the staff of the 25 commission. 26 (3) The commissioner controls the commission. 27

 


 

s 242 153 s 244 Legal Profession Bill 2003 242 Staff and other resources 1 (1) The chief executive must provide the commission with the resources 2 the chief executive considers appropriate for the commissioner to discharge 3 the commissioner's functions effectively and efficiently. 4 (2) The commission may, with the chief executive's approval, consult 5 with, employ and remunerate the Australian lawyers, accountants, auditors 6 or other professionals the commissioner considers necessary to properly 7 perform the commissioner's functions. 8 (3) For subsection (1) or (2), a public service officer may be seconded to 9 the commission. 10 (4) In this section-- 11 "resources" includes office accommodation and equipment, staff and 12 administrative support. 13 "staff", in relation to the commission, means the staff that the chief 14 executive provides under subsection (1) and an individual employed 15 under subsection (2). 16 243 Preservation of rights if public service officer appointed or 17 engaged 18 (1) A public service officer who is appointed to an office under this part 19 is entitled to retain all existing and accruing rights as if service in that office 20 were a continuation of service as a public service officer. 21 (2) If the individual stops holding that office for a reason other than 22 misconduct, the individual-- 23 (a) is entitled to be employed as a public service officer; and 24 (b) is to be employed on the classification level and remuneration 25 that the public service commissioner or another entity prescribed 26 under a regulation considers the individual would have attained 27 in the ordinary course of progression if the individual had 28 continued in employment as a public service officer. 29 244 Preservation of rights if individual becomes public service officer 30 (1) On the appointment of an individual holding office under this part as 31 a public service officer, the individual's service under this part must be 32 regarded as service as a public service officer. 33

 


 

s 245 154 s 246 Legal Profession Bill 2003 (2) Subsection (1) does not apply to the commissioner if the individual is 1 guilty of misconduct in office as commissioner. 2 245 Preservation of rights if public service officer seconded 3 (1) A public service officer seconded as mentioned in section 242(3) --104 4 (a) is entitled to the individual's existing and accruing rights as if 5 employment as a member of the staff of the commission were a 6 continuation of employment as a public service officer; and 7 (b) may apply for positions, and be employed in, the public service 8 as if the individual were a public service officer. 9 (2) When the secondment ends, the individual's employment on 10 secondment as a member of the staff of the commission is employment of 11 the same nature in the public service for working out the individual's rights 12 as a public service officer. 13 (3) If the secondment ended for a reason other than misconduct, the 14 individual is entitled to be employed-- 15 (a) as a public service officer; and 16 (b) on the same, or a higher, classification level and remuneration 17 that the public service commissioner or another entity prescribed 18 under a regulation considers the individual would have attained 19 in the ordinary course of progression if the individual had not 20 been seconded. 21 246 Delegation 22 (1) The commissioner may delegate the commissioner's powers under 23 this Act, other than this power of delegation, to an appropriately qualified 24 member of the staff of the commission. 25 (2) In this section-- 26 "appropriately qualified", includes having the qualifications, experience 27 or standing appropriate to the exercise of the power. 28 104 Section 242 (Staff and other resources)

 


 

s 247 155 s 251 Legal Profession Bill 2003 PART 2--DISCIPLINARY TRIBUNAL 1 Division 1--Preliminary 2 247 Main purpose of ch 4, pt 2 3 The main purpose of this part is to establish the Legal Practice Tribunal 4 to deal with matters it is empowered to deal with under this Act. 5 Division 2--Establishment of Legal Practice Tribunal and related 6 matters 7 248 Establishment, members and chairperson of tribunal 8 (1) The Legal Practice Tribunal is established. 9 (2) The members of the tribunal are the Supreme Court judges. 10 (3) The Chief Justice is the chairperson of the tribunal. 11 (4) The tribunal is constituted by any 1 of its members. 12 249 Way tribunal is to operate 13 (1) The chairperson is to allocate the work of the tribunal. 14 (2) The tribunal, as constituted by any 1 of its members, may sit in more 15 than 1 place at the same time. 16 250 Jurisdiction 17 The tribunal's jurisdiction is to hear and decide a discipline application 18 made to the tribunal. 19 251 Powers 20 (1) The tribunal may do all things necessary or convenient to be done for 21 exercising its jurisdiction. 22 (2) Without limiting subsection (1), the tribunal has the powers conferred 23 on it under this or another Act. 24

 


 

s 252 156 s 256 Legal Profession Bill 2003 252 Rule-making power 1 (1) The Governor in Council may, on the recommendation of the 2 chairperson, make rules for the practice and procedure for the tribunal 3 ("tribunal rules"). 4 (2) The tribunal rules are subordinate legislation. 5 253 Practice directions 6 (1) To the extent a matter about the tribunal's procedure is not provided 7 for by this Act or the tribunal rules, the matter may be dealt with by 8 directions under this section. 9 (2) The chairperson may issue directions of general application about the 10 tribunal's procedures. 11 (3) The chairperson may delegate the chairperson's power under 12 subsection (2) to another member of the tribunal. 13 (4) The member constituting the tribunal may issue particular directions 14 for a hearing. 15 254 Registrar 16 The registrar of the tribunal, as constituted by any 1 of its members, is 17 the registrar for the Supreme Court district in which the tribunal is hearing 18 the discipline application. 19 255 Tribunal's seal 20 (1) The tribunal must have a seal for each Supreme Court district. 21 (2) Each seal must be judicially noticed. 22 (3) The registrar for each Supreme Court district is to have custody of 23 the seal for the district. 24 Division 3--Panels, members of panels and related matters 25 256 Establishment of panels for helping the tribunal 26 (1) The following are established-- 27

 


 

s 257 157 s 257 Legal Profession Bill 2003 (a) the lay panel; 1 (b) the practitioner panel. 2 (2) The practitioner panel is to consist of both barristers and solicitors. 3 (3) One member of the lay panel and 1 member of the practitioner panel 4 are to sit with the tribunal and help the tribunal in hearing and deciding a 5 discipline application. 6 (4) However, if a panel member disqualifies himself or herself as 7 mentioned in section 262(2),105 the tribunal may continue with the relevant 8 hearing if the tribunal member considers it appropriate to do so. 9 257 Appointment of panel member 10 (1) The members of the panels are to be appointed under this Act by the 11 Governor in Council. 12 (2) An individual is eligible for appointment as a member of the lay 13 panel only if the individual-- 14 (a) has high level experience and knowledge of consumer protection, 15 business, public administration or another relevant area; and 16 (b) is not, and has not been, an Australian lawyer, foreign lawyer or 17 otherwise legally qualified; and 18 (c) has not been convicted of a serious offence or a offence against a 19 relevant law, including before the commencement of this section. 20 (3) An individual is eligible for appointment as a member of the 21 practitioner panel only if the individual-- 22 (a) is an Australian legal practitioner who has held a practising 23 certificate for at least 5 years; and 24 (b) has not been convicted of a serious offence or an offence against 25 a relevant law, including before that commencement. 26 (4) A member holds office for a term of not longer than 5 years stated in 27 the instrument of appointment. 28 (5) For subsection (3)(a), in relation to any part of the 5 year period 29 before the commencement of this section, a barrister is not required to have 30 105 Section 262 (Disclosure of interest)

 


 

s 258 158 s 259 Legal Profession Bill 2003 held a practising certificate for that part of the period if the barrister was 1 practising as a barrister during that period. 2 258 Remuneration and appointment conditions of panel members 3 (1) A member of the lay panel is entitled to be paid the remuneration and 4 allowances decided by the Governor in Council for sitting with the tribunal 5 in relation to hearing and deciding a discipline application. 6 (2) It is a condition of a lay member's appointment that if the member's 7 appointment is terminated under section 259,106 the member is not entitled 8 to any remuneration or allowances applicable to any sitting after the date of 9 the termination. 10 (3) To the extent that the conditions are not provided for by this Act, a 11 member of the lay panel or practitioner panel holds office on the conditions 12 decided by the Governor in Council. 13 259 Termination of appointment 14 (1) The Governor in Council may end the appointment of a panel 15 member if the panel member-- 16 (a) becomes incapable of performing the member's functions 17 because of physical or mental incapacity; or 18 (b) is an insolvent under administration; or 19 (c) is guilty of misconduct of a kind that could warrant dismissal 20 from the public service if the member were an officer of the 21 public service. 22 (2) The Governor in Council must terminate the appointment of a panel 23 member if the member-- 24 (a) is convicted of a serious offence or an offence against a relevant 25 law; or 26 (b) for a member of the lay panel--becomes an Australian lawyer or 27 otherwise legally qualified; or 28 (c) for a member of the practitioner panel--stops holding a 29 practising certificate. 30 106 Section 259 (Termination of appointment)

 


 

s 260 159 s 262 Legal Profession Bill 2003 260 Resignation of members 1 (1) A panel member may resign by giving a signed notice of resignation 2 to the Minister. 3 (2) A notice of resignation under subsection (1) takes effect when the 4 notice is given to the Minister or, if a later time is stated in the notice, the 5 later time. 6 Division 4--Role of tribunal members and panel members 7 261 Role of members 8 (1) The chairperson may do all things necessary or convenient to be 9 done for the performance of the chairperson's role. 10 (2) The role of a tribunal member and panel member includes 11 professionally and efficiently performing the functions of the tribunal 12 assigned or given to the member under this or another Act. 13 (3) Each tribunal member and panel member must comply with the 14 procedures and policies implemented by the chairperson for the tribunal's 15 adjudicative operations. 16 262 Disclosure of interests 17 (1) If a tribunal member, or a panel member helping the tribunal, 18 becomes aware that the member has a conflict of interest about a 19 proceeding before the tribunal, the member must disclose the issue giving 20 rise to the conflict-- 21 (a) if the member is the chairperson--to the parties to the 22 proceeding; or 23 (b) otherwise--to the chairperson and the parties to the proceeding. 24 (2) After making the disclosure, the member must disqualify himself or 25 herself. 26 (3) A member has a conflict of interest about a proceeding if the member 27 has an interest, financial or otherwise, that could conflict with the proper 28 performance of the member's functions for the proceeding. 29

 


 

s 263 160 s 264 Legal Profession Bill 2003 (4) If the individual who is disqualified is a panel member, the tribunal 1 member may decide it is appropriate to proceed with the hearing with 2 only 1 panel member. 3 Division 5--Constitution of tribunal for hearings 4 263 Constitution of tribunal for hearing 5 (1) For hearing and deciding a discipline application made to the 6 tribunal, the tribunal is constituted by a tribunal member. 7 (2) However, although panel members do not constitute the tribunal, the 8 tribunal member is to be helped by 2 panel members chosen by the 9 Brisbane registrar and approved by the tribunal member. 10 (3) The panel members mentioned in subsection (2) must consist of-- 11 (a) a lay panel member; and 12 (b) 1 of the following members-- 13 (i) if the complaint is about the conduct of a person who, at the 14 time of performing the acts or omitting to do the acts 15 constituting the conduct complained of, was a barrister or, 16 in the opinion of the tribunal member, was engaged in legal 17 practice in the manner of a barrister--a member of the 18 practitioner panel who is a barrister; 19 (ii) otherwise--a member of the practitioner panel who is a 20 solicitor. 21 (4) The registrar must keep a record of the name of the tribunal member 22 for each hearing, the names of the panel members helping the tribunal and 23 the discipline application for which the hearing is held. 24 Division 6--Other provisions 25 264 Institution of proceedings by the commissioner 26 The commissioner may bring a proceeding for the imposition or 27 enforcement of a penalty under this part. 28

 


 

s 265 161 s 267 Legal Profession Bill 2003 265 Contempt of tribunal 1 (1) The tribunal has, for itself, the tribunal members and the panel 2 members, all the protection, powers, jurisdiction and authority the Supreme 3 Court has for that court in relation to contempt of court. 4 (2) The tribunal must comply with the Uniform Civil Procedure Rules 5 relating to contempt of court, with necessary changes. 6 (3) The registrar may apply to the tribunal for an order that a person be 7 committed to prison for contempt of the tribunal. 8 (4) The tribunal's jurisdiction to punish a contempt of the tribunal may 9 be exercised on the tribunal's own initiative. 10 266 Conduct that is contempt and an offence 11 If conduct of a person is both contempt of the tribunal and an offence, 12 the person may be proceeded against for the contempt or for the offence, 13 but the person is not liable to be punished twice for the same conduct. 14 267 Protection of members etc. 15 (1) A tribunal member or panel member has, in the performance of the 16 member's duties as a member, the same protection and immunity as a 17 Supreme Court judge carrying out the functions of a judge. 18 (2) A person representing a person before the tribunal has the same 19 protection and immunity as an Australian legal practitioner appearing for a 20 party in a proceeding in the Supreme Court. 21 (3) A person appearing before the tribunal as a witness has the same 22 protection as a witness in a proceeding in the Supreme Court. 23 (4) A document produced at, or used for, a tribunal hearing has the same 24 protection it would have if produced before the Supreme Court. 25

 


 

s 268 162 s 271 Legal Profession Bill 2003 PART 3--LEGAL PRACTICE COMMITTEE 1 Division 1--Preliminary 2 268 Main purpose of ch 4, pt 3 3 The main purpose of this part is to establish the Legal Practice 4 Committee to deal with matters it is empowered to deal with under this Act. 5 269 Definitions for ch 4, pt 3 6 In this part-- 7 "barrister" means a local legal practitioner who holds a current practising 8 certificate to practise as a barrister. 9 "solicitor" means a local legal practitioner who holds a current local 10 practising certificate to practise as a solicitor. 11 Division 2--Establishment, membership of committee, functions and 12 powers 13 270 Establishment of committee 14 The Legal Practice Committee is established. 15 271 Committee members 16 (1) The committee is to consist of the following members appointed by 17 the Governor in Council-- 18 (a) a chairperson; 19 (b) 2 solicitors; 20 (c) 2 barristers; 21 (d) 2 lay members. 22 (2) Before recommending an individual for appointment as the 23 chairperson, the Minister must be satisfied that the individual has high level 24 experience and knowledge of the legal system and legal practice. 25

 


 

s 272 163 s 275 Legal Profession Bill 2003 (3) For choosing someone to recommend for appointment under 1 subsection (1)(b), the Minister may invite nominations from the law 2 society. 3 (4) For choosing someone to recommend for appointment under 4 subsection (1)(c), the Minister may invite nominations from the bar 5 association. 6 (5) Before recommending an individual for appointment under 7 subsection (1)(d), the Minister must be satisfied that the individual has high 8 level experience and knowledge of consumer protection, business, public 9 administration or another relevant area but is not an Australian lawyer or is 10 otherwise legally qualified. 11 272 Term of appointment 12 The appointment of a member of the committee is for the term stated in 13 the member's appointment. 14 273 Functions and powers of committee 15 (1) The committee has the functions provided for under this Act. 16 (2) The committee has all the powers necessary or convenient for 17 performing its functions. 18 274 Administrative support 19 The commissioner must provide administrative support for the 20 committee, including secretariat support. 21 Division 3--Provisions about committee members 22 275 Eligibility for membership 23 An individual can not become a member of the committee if the 24 individual-- 25 (a) is an insolvent under administration; or 26 (b) has been convicted of a serious offence or an offence against a 27 relevant law. 28

 


 

s 276 164 s 278 Legal Profession Bill 2003 276 Termination of office 1 (1) The Governor in Council may end the appointment of a committee 2 member if the member-- 3 (a) becomes incapable of performing the member's functions 4 because of physical or mental incapacity; or 5 (b) is an insolvent under administration; or 6 (c) is guilty of misconduct of a kind that could warrant dismissal 7 from the public service if the member were an officer of the 8 public service. 9 (2) The Governor in Council must end the appointment of a committee 10 member if the member-- 11 (a) is convicted of a serious offence or an offence against a relevant 12 law; or 13 (b) if the individual was appointed because the individual was a 14 solicitor--the individual stops being a solicitor; or 15 (c) if the individual was appointed because the individual was a 16 barrister--the individual stops being a barrister; or 17 (d) if the individual was appointed as a lay member--the individual 18 becomes an Australian lawyer or otherwise legally qualified. 19 277 Resignation of committee member 20 (1) A committee member may resign by giving a signed notice of 21 resignation to the Minister. 22 (2) A notice of resignation under subsection (1) takes effect when the 23 notice is given to the Minister or, if a later time is stated in the notice, the 24 later time. 25 278 Deputy chairperson 26 (1) The committee members must appoint a member, other than the 27 chairperson, as the deputy chairperson of the committee. 28 (2) The appointment of the deputy chairperson may be for a time 29 decided by the committee but not for longer than the deputy chairperson's 30 term of appointment as a member. 31

 


 

s 279 165 s 284 Legal Profession Bill 2003 279 Remuneration and allowances of lay members 1 A lay member of the committee is entitled to be paid the remuneration 2 and allowances decided by the Governor in Council. 3 Division 4--Provisions about committee performing advisory functions 4 280 Application of ch 4, pt 3, div 4 5 This division applies to the committee in performing its advisory 6 functions under this Act.107 7 281 Conduct of business 8 Subject to this division, the committee may conduct its business, 9 including its meetings, in the way it considers appropriate. 10 282 Time and place of meeting 11 (1) Committee meetings are to be held at the times and places the 12 chairperson decides. 13 (2) However, the chairperson must call a meeting if asked, in writing, to 14 do so by at least the number of members forming a quorum for the 15 committee. 16 283 Quorum 17 A quorum for the committee is 4 members. 18 284 Presiding at meetings 19 (1) The chairperson is to preside at all meetings of the committee at 20 which the chairperson is present. 21 (2) If the chairperson is absent from a committee meeting, but the deputy 22 chairperson is present, the deputy chairperson is to preside. 23 107 See section 139 (Monitoring role of committee) which provides that the committee has certain functions in relation to advising the Minister about the legal profession rules.

 


 

s 285 166 s 286 Legal Profession Bill 2003 (3) If the chairperson and deputy chairperson are both absent from a 1 committee meeting, including because of a vacancy in the office, a member 2 chosen by the members present is to preside at the committee meeting. 3 285 Conduct of meetings 4 (1) A question at a committee meeting is decided by a majority of the 5 votes of the members present. 6 (2) Each member present at the meeting has a vote on each question to 7 be decided and, if the votes are equal, the member presiding also has a 8 casting vote. 9 (3) A member present at the meeting who abstains from voting is taken 10 to be have voted for the negative. 11 (4) The committee may hold meetings, or allow members to take part in 12 its meetings, by using any technology that reasonably allows members to 13 hear and take part in discussions as they happen. 14 15 Example of use of technology-- 16 Teleconferencing. (5) A member who takes part in a committee meeting under 17 subsection (4) is taken to be present at the meeting. 18 (6) A resolution is validly made by the committee, even if it is not passed 19 at a committee meeting, if-- 20 (a) a majority of the committee members give written agreement to 21 the resolution; and 22 (b) notice of the resolution is given under procedures approved by 23 the committee. 24 286 Minutes 25 (1) The committee must keep-- 26 (a) minutes of its meetings; and 27 (b) a record of any resolutions made under section 285(6).108 28 (2) Subsection (3) applies if a resolution is passed at a committee 29 meeting by a majority of the members present. 30 108 Section 285 (Conduct of meetings)

 


 

s 287 167 s 287 Legal Profession Bill 2003 (3) If asked by a member who voted against the passing of the 1 resolution, the committee must record in the minutes of the meeting that 2 the member voted against the resolution. 3 287 Disclosure of interests 4 (1) This section applies to a committee member (the "interested 5 person") if-- 6 (a) the interested person has a direct or indirect interest in an issue 7 being considered, or about to be considered, by the committee; 8 and 9 (b) the interest could conflict with the proper performance of the 10 interested person's duties about the consideration of the issue. 11 (2) After the relevant facts come to the interested person's knowledge, 12 the person must disclose the nature of the interest to a committee meeting. 13 (3) Unless the committee otherwise directs, the interested person must 14 not-- 15 (a) be present when the committee considers the issue; or 16 (b) take part in a decision of the committee about the issue. 17 (4) The interested person must not be present when the committee is 18 considering whether to give a direction under subsection (3). 19 (5) If there is another person who must, under subsection (2), also 20 disclose an interest in the issue, the other person must not-- 21 (a) be present when the committee is considering whether to give a 22 direction under subsection (3) about the interested person; or 23 (b) take part in making the decision about giving the direction. 24 (6) If-- 25 (a) because of this section, a committee member is not present at a 26 committee meeting for considering or deciding an issue, or for 27 considering or deciding whether to give a direction under 28 subsection (3); and 29 (b) there would be a quorum if the member were present; 30 the remaining persons present are a quorum of the committee for 31 considering or deciding the issue, or for considering or deciding whether to 32 give the direction, at the meeting. 33

 


 

s 288 168 s 289 Legal Profession Bill 2003 (7) A disclosure under subsection (2) must be recorded in the 1 committee's minutes. 2 Division 5--Provisions applying to committee for hearings 3 288 Constitution of committee for hearing 4 (1) The chairperson must make arrangements about constituting the 5 committee for hearing and deciding discipline applications. 6 (2) For hearing and deciding a discipline application made to the 7 committee, the committee is constituted by-- 8 (a) the chairperson; and 9 (b) a member of the committee who is a local legal practitioner 10 chosen by the chairperson; and 11 (c) a lay member of the committee chosen by the chairperson. 12 (3) In choosing a local legal practitioner as mentioned in subsection (2), 13 the chairperson must choose an individual who is-- 14 (a) if the discipline application relates to a barrister--a barrister; or 15 (b) otherwise--a solicitor. 16 (4) The chairperson is to preside at the hearing of a matter referred to the 17 committee. 18 (5) In this section-- 19 "chairperson" includes the deputy chairperson. 20 289 Conduct of meetings 21 (1) A question at a committee meeting is decided by a majority of the 22 votes of the members present. 23 (2) Each member present at the meeting has a vote on each question to 24 be decided and, if the votes are equal, the member presiding also has a 25 casting vote. 26 (3) A member present at the meeting who abstains from voting is taken 27 to be have voted for the negative. 28

 


 

s 290 169 s 290 Legal Profession Bill 2003 (4) The committee may hold meetings, or allow members to take part in 1 its meetings, by using any technology that reasonably allows members to 2 hear and take part in discussions as they happen. 3 4 Example of use of technology-- 5 Teleconferencing. (5) A member who takes part in a committee meeting under 6 subsection (4) is taken to be present at the meeting. 7 (6) A resolution is validly made by the committee, even if it is not passed 8 at a committee meeting, if-- 9 (a) a majority of the committee members give written agreement to 10 the resolution; and 11 (b) notice of the resolution is given under procedures approved by 12 the committee. 13 290 Disclosure of interests 14 (1) If a member of the committee becomes aware that the member has a 15 conflict of interest about a discipline application made to the committee, 16 the member must disclose the issue giving rise to the conflict-- 17 (a) if the member is the chairperson--to the parties to the 18 proceeding in relation to the discipline application; or 19 (b) otherwise--to the chairperson and the parties to the proceeding. 20 (2) After making the disclosure, the member must disqualify himself or 21 herself. 22 (3) A member has a conflict of interest about a proceeding if the member 23 has an interest, financial or otherwise, that could conflict with the proper 24 performance of the member's functions for the proceeding. 25 (4) If the parties agree, the remaining members of the committee may 26 continue with hearing and deciding the discipline application. 27 (5) However, if the parties do not agree as mentioned in subsection (4), 28 the hearing of the discipline application must stop and the committee must 29 be reconstituted to hear and decide the discipline application. 30 (6) If the committee can not reconstituted under subsection (5), the 31 discipline application is to be transferred to the tribunal under the tribunal 32 rules. 33

 


 

s 291 170 s 292 Legal Profession Bill 2003 291 Protection of members etc. 1 (1) A committee member has, in the performance of the member's duties 2 as a member of the committee hearing and deciding a discipline 3 application, the same protection and immunity as a Supreme Court judge 4 carrying out the functions of a judge. 5 (2) A person representing a person before the committee has the same 6 protection and immunity as an Australian legal practitioner appearing for a 7 party in a proceeding in the Supreme Court. 8 (3) A person appearing before the committee as a witness has the same 9 protection as a witness in a proceeding in the Supreme Court. 10 (4) A document produced at, or used for, a hearing of the committee has 11 the same protection it would have if produced before the Supreme Court. 12 PART 4--PROVISIONS APPLYING TO EACH 13 DISCIPLINARY BODY 14 Division 1--Parties to proceedings 15 292 Parties 16 (1) The parties to a proceeding in a disciplinary body for a discipline 17 application are-- 18 (a) the Australian lawyer, or the law practice employee, about whom 19 the complaint has been made or an investigation matter relates; 20 and 21 (b) the commissioner. 22 (2) The parties are entitled to appear at the hearing of the application. 23 (3) The complainant is entitled to appear at the hearing in relation to-- 24 (a) those aspects of the hearing that relate to a request by the 25 complainant for a compensation order; and 26 (b) other aspects of the hearing, but only if the disciplinary body 27 grants leave to the complainant to appear in relation to them. 28

 


 

s 293 171 s 294 Legal Profession Bill 2003 (4) The disciplinary body may grant leave to any other person to appear 1 at the hearing if the disciplinary body is satisfied that it is appropriate for 2 that person to appear at the hearing. 3 (5) A person who is entitled to appear at the hearing or who is granted 4 leave to appear at the hearing may appear personally or be represented by 5 an Australian legal practitioner or a government legal officer. 6 Division 2--Conduct of proceedings 7 293 Public hearings 8 (1) A hearing before a disciplinary body must be open to the public, 9 unless the disciplinary body directs that the hearing or a part of the hearing 10 be closed to the public. 11 (2) A disciplinary body may not direct that a hearing or a part of a 12 hearing be closed to the public unless satisfied that it is desirable to do so in 13 the public interest for reasons connected with-- 14 (a) the subject matter of the hearing; or 15 (b) the nature of the evidence to be given. 16 294 Procedure for hearing by a disciplinary body 17 (1) When conducting a hearing, a disciplinary body-- 18 (a) must comply with natural justice; and 19 (b) must act as quickly, and with as little formality and technicality, 20 as is consistent with a fair and proper consideration of the issues 21 before it; and 22 (c) is not bound by the rules of evidence; and 23 (d) may inform itself of anything in the way it considers appropriate. 24 (2) Subsection (1) is subject to another provision of this Act that states a 25 particular way the disciplinary body must conduct the hearing. 26

 


 

s 295 172 s 297 Legal Profession Bill 2003 295 Disciplinary body may proceed in absence of party or may 1 adjourn hearing 2 (1) At a hearing, a disciplinary body may proceed in the absence of a 3 party if it reasonably believes the party has been given sufficient notice of 4 the hearing. 5 (2) A disciplinary body may adjourn the hearing from time to time. 6 296 Matter may be decided on affidavit evidence 7 If a disciplinary body receives in evidence an affidavit of 1 party, the 8 disciplinary body may decide all or part of a discipline application or any 9 relevant fact on the evidence given in the affidavit-- 10 (a) with the written consent of the other party; or 11 (b) if the other party does not appear and-- 12 (i) the party filing the affidavit has given the other party a copy 13 of the affidavit and the name of the person making the 14 affidavit is included in a list of documents given to the other 15 party under the tribunal rules; or 16 (ii) appropriate enquiries have been made as to the other party's 17 whereabouts and, in all the circumstances, it is reasonable 18 for the matter to be decided in that party's absence. 19 297 Standard of proof 20 (1) If an allegation of fact is not admitted or is challenged when a 21 disciplinary body is hearing a discipline application, the body may act on 22 the allegation if the body is satisfied on the balance of probabilities that the 23 allegation is true. 24 (2) For subsection (1), the degree of satisfaction required varies 25 according to the consequences for the relevant Australian lawyer or law 26 practice employee of finding the allegation to be true. 27

 


 

s 298 173 s 300 Legal Profession Bill 2003 Division 3--Powers of disciplinary body 1 298 Power to disregard procedural lapses 2 (1) A disciplinary body may order that a failure by the commissioner to 3 observe a procedural requirement in relation to a complaint, an 4 investigation matter or a discipline application must be disregarded, if the 5 disciplinary body is satisfied that the parties to the hearing have not been 6 prejudiced by the failure. 7 (2) This section applies whether the failure happened-- 8 (a) before the making of the discipline application resulting from the 9 complaint or investigation matter; or 10 (b) after the making of the discipline application. 11 (3) Subsection (1) does not limit the disciplinary body's power to 12 disregard a failure by another person to observe a procedural requirement. 13 299 Directions for hearings 14 (1) A disciplinary body may issue directions in relation to a hearing 15 before the disciplinary body. 16 (2) The disciplinary body may issue the directions-- 17 (a) on the body's own initiative; or 18 (b) at the request of a party, or a person granted leave to appear at the 19 hearing; or 20 (c) at the request of another person who has a sufficient interest in-- 21 (i) the hearing; or 22 (ii) another matter arising out of or relating to the hearing. 23 (3) Subsection (1) is subject to the tribunal rules and directions under 24 section 253.109 25 300 Attendance notice 26 (1) A disciplinary body may, on the application of a party to a hearing or 27 on its own initiative, by written notice given to a person (an "attendance 28 109 Section 253 (Practice directions)

 


 

s 301 174 s 301 Legal Profession Bill 2003 notice"), require the person to attend the hearing at a stated time and place 1 to give evidence or to produce stated documents or things. 2 (2) A person given an attendance notice must not fail, without reasonable 3 excuse-- 4 (a) to attend as required by the notice; or 5 (b) to continue to attend as required by the disciplinary body until 6 excused from further attendance. 7 Maximum penalty--100 penalty units. 8 (3) Also at a hearing, a person appearing as a witness must not-- 9 (a) fail to take an oath or make an affirmation when required by the 10 disciplinary body; or 11 (b) fail, without reasonable excuse, to answer a question the person 12 is required to answer by the disciplinary body; or 13 (c) fail, without reasonable excuse, to produce a document or thing 14 the person is required to produce by an attendance notice. 15 Maximum penalty--100 penalty units. 16 (4) It is a reasonable excuse for an individual to fail to answer a question 17 or produce a document or other thing, if answering the question or 18 producing the document or other thing might tend to incriminate the 19 individual. 20 301 Authentication of documents 21 (1) A document relating to proceedings for a discipline application 22 requiring authentication by a disciplinary body is sufficiently authenticated 23 if it is signed by the tribunal member or the registrar for the proceedings, or 24 the chairperson or deputy chairperson of the committee. 25 (2) However, the tribunal rules may require that a document issued by 26 the tribunal is stamped with the tribunal's seal. 27 (3) Judicial notice must be taken of the signature of-- 28 (a) a tribunal member or the registrar that appears on a document 29 issued by the tribunal; or 30 (b) the chairperson or deputy chairperson of the committee that 31 appears on a document issued by the tribunal. 32

 


 

s 302 175 s 305 Legal Profession Bill 2003 Division 4--Offences 1 302 False or misleading information 2 A person must not state anything to a disciplinary body that the person 3 knows is false or misleading in a material particular. 4 Maximum penalty--200 penalty units. 5 303 False or misleading documents 6 (1) A person must not give to a disciplinary body a document containing 7 information the person knows is false or misleading in a material particular. 8 Maximum penalty--200 penalty units. 9 (2) Subsection (1) does not apply to a person who, when giving the 10 document-- 11 (a) informs the disciplinary body, to the best of the person's ability, 12 how it is false or misleading; and 13 (b) gives the correct information to the disciplinary body if the 14 person has, or can reasonably obtain, the correct information. 15 PART 5--LEGAL PRACTITIONERS ADMISSIONS 16 BOARD 17 Division 1--Preliminary 18 304 Main purpose of ch 4, pt 5 19 The main purpose of this part is to establish the Legal Practitioners 20 Admissions Board to deal with matters it is empowered to deal with under 21 this Act. 22 305 Definitions for ch 4, pt 5 23 In this part-- 24

 


 

s 306 176 s 307 Legal Profession Bill 2003 "barrister" means a local legal practitioner who holds a current local 1 practising certificate to practise as a barrister. 2 "solicitor" means a local legal practitioner who holds a current local 3 practising certificate to practise as a solicitor. 4 Division 2--Establishment and membership of board 5 306 Establishment of board 6 The Legal Practitioners Admissions Board is established. 7 307 Members of board 8 (1) The board is to consist of the following members-- 9 (a) 2 solicitors and 2 barristers; 10 (b) 1 solicitor nominated by the law society; 11 (c) 1 barrister nominated by the bar association; 12 (d) the Brisbane registrar; 13 (e) an individual nominated by the Minister. 14 (2) The Chief Justice must appoint the members of the board, other than 15 the Brisbane registrar or the Minister's nominee. 16 (3) An individual mentioned in subsection (1)(a), (b) or (c) must not be 17 appointed unless the Chief Justice is satisfied the individual is an Australian 18 lawyer of at least 5 years standing, including before the commencement of 19 this section. 20 (4) If the law society or bar association fails to nominate a member 21 within 14 days after being requested to do so by the Chief Justice, the chief 22 justice may appoint any individual whom the Chief Justice considers 23 suitable to represent the interests of the law society or bar association as a 24 member of the board and the nomination is taken to have been made by the 25 law society or bar association. 26 (5) An appointment under this section must be for no longer than 1 year 27 but an individual may be reappointed. 28

 


 

s 308 177 s 312 Legal Profession Bill 2003 Division 3--Board's functions and powers 1 308 Functions and powers of board 2 (1) The board has the functions provided for under this Act and the 3 admission rules. 4 (2) The board has all the powers necessary or convenient for performing 5 its functions. 6 309 Administrative support of the board 7 The law society must provide administrative support for the board, 8 including secretariat support. 9 Division 4--Provisions about board members 10 310 Term of appointment 11 A member of the board, other than the Brisbane registrar, holds office for 12 the term stated in the member's appointment. 13 311 Chairperson and deputy chairperson 14 (1) The member of the board appointed by the Chief Justice as 15 chairperson is the chairperson of the board. 16 (2) The board members must appoint a member, other than the 17 chairperson, as the deputy chairperson of the board. 18 (3) The appointment of the deputy chairperson may be for a time 19 decided by the board but not for longer than the deputy chairperson's term 20 of appointment as a member. 21 312 Eligibility for membership 22 An individual can not become a board member if the individual-- 23 (a) is an insolvent under administration; or 24 (b) has been convicted of a serious offence; or 25 (c) has been convicted of an offence against this Act. 26

 


 

s 313 178 s 315 Legal Profession Bill 2003 313 Termination of appointment 1 (1) The Chief Justice may end the appointment of a board member if the 2 member is absent without the board's permission from 3 consecutive 3 meetings of the board of which proper notice has been given. 4 (2) The Chief Justice must end the appointment of a board member if the 5 member-- 6 (a) is an insolvent under administration; or 7 (b) is convicted of a serious offence; or 8 (c) is convicted of an offence against this Act; or 9 (d) if the individual was appointed because the individual was a 10 solicitor--stops being a solicitor; or 11 (e) if the individual was appointed because the individual was a 12 barrister--stops being a barrister. 13 (3) In this section-- 14 "meeting" means the following-- 15 (a) if the member does not attend--a meeting with a quorum 16 present; 17 (b) if the member attends--a meeting with or without a quorum 18 present. 19 314 Resignation of board member 20 (1) A board member, other than the Brisbane registrar, may resign by 21 giving a signed notice of resignation to the Chief Justice. 22 (2) A notice of resignation under subsection (1) takes effect when the 23 notice is given to the Chief Justice or, if a later time is stated in the notice, 24 the later time. 25 Division 5--Board business 26 315 Conduct of business 27 Subject to this division, the board may conduct its business, including its 28 meetings, in the way it considers appropriate. 29

 


 

s 316 179 s 319 Legal Profession Bill 2003 316 Times and places of meetings 1 (1) Board meetings are to be held at the times and places the chairperson 2 decides. 3 (2) However, the chairperson must call a meeting if asked, in writing, to 4 do so by the Chief Justice or at least the number of members forming a 5 quorum for the board. 6 317 Quorum 7 A quorum for the board is 4 members. 8 318 Presiding at meetings 9 (1) The chairperson is to preside at all meetings of the board at which the 10 chairperson is present. 11 (2) If the chairperson is absent from a board meeting, but the deputy 12 chairperson is present, the deputy chairperson is to preside. 13 (3) If the chairperson and deputy chairperson are both absent from a 14 board meeting, including because of a vacancy in the office, a member 15 chosen by the members present is to preside at the board meeting. 16 319 Conduct of meetings 17 (1) A question at a board meeting is decided by a majority of the votes of 18 the members present. 19 (2) Each member present at the meeting has a vote on each question to 20 be decided and, if the votes are equal, the member presiding also has a 21 casting vote. 22 (3) A member present at the meeting who abstains from voting is taken 23 to be have voted for the negative. 24 (4) The board may hold meetings, or allow members to take part in its 25 meetings, by using any technology that reasonably allows members to hear 26 and take part in discussions as they happen. 27 28 Example of use of technology-- 29 Teleconferencing. (5) A member who takes part in a board meeting under subsection (4) is 30 taken to be present at the meeting. 31

 


 

s 320 180 s 321 Legal Profession Bill 2003 (6) A resolution is validly made by the board, even if it is not passed at a 1 board meeting, if-- 2 (a) a majority of the board members gives written agreement to the 3 resolution; and 4 (b) notice of the resolution is given under procedures approved by 5 the board. 6 320 Minutes 7 (1) The board must keep-- 8 (a) minutes of its meetings; and 9 (b) a record of any resolutions made under section 319(6).110 10 (2) Subsection (3) applies if a resolution is passed at a board meeting by 11 a majority of the members present. 12 (3) If asked by a member who voted against the passing of the 13 resolution, the board must record in the minutes of the meeting that the 14 member voted against the resolution. 15 321 Disclosure of interests 16 (1) This section applies to a board member (the "interested person") 17 if-- 18 (a) the interested person has a direct or indirect interest in an issue 19 being considered, or about to be considered, by the board; and 20 (b) the interest could conflict with the proper performance of the 21 person's duties about the consideration of the issue. 22 (2) After the relevant facts come to the interested person's knowledge, 23 the person must disclose the nature of the interest to a board meeting. 24 (3) Unless the board otherwise directs, the interested person must not-- 25 (a) be present when the board considers the issue; or 26 (b) take part in a decision of the board about the issue. 27 (4) The interested person must not be present when the board is 28 considering whether to give a direction under subsection (3). 29 110 Section 319 (Conduct of meetings)

 


 

s 322 181 s 322 Legal Profession Bill 2003 (5) If there is another person who must, under subsection (2), also 1 disclose an interest in the issue, the other person must not-- 2 (a) be present when the board is considering whether to give a 3 direction under subsection (3) about the interested person; or 4 (b) take part in making the decision about giving the direction. 5 (6) If-- 6 (a) because of this section, a board member is not present at a board 7 meeting for considering or deciding an issue, or for considering 8 or deciding whether to give a direction under subsection (3); and 9 (b) there would be a quorum if the member were present; 10 the remaining persons present are a quorum of the board for considering or 11 deciding the issue, or for considering or deciding whether to give the 12 direction, at the meeting. 13 (7) A disclosure under subsection (2) must be recorded in the board's 14 minutes. 15 Division 6--Miscellaneous 16 322 Application of particular Acts to board 17 To remove any doubt, it is declared that the board is a public authority 18 for the purposes of-- 19 (a) the Freedom of Information Act 1992; and 20 (b) the Ombudsman Act 2001. 21

 


 

s 323 182 s 324 Legal Profession Bill 2003 CHAPTER 5--SUITABILITY REPORTS AND 1 INVESTIGATIONS 2 PART 1--SUITABILITY REPORTS 3 Division 1--Preliminary 4 323 Main purpose of ch 5, pt 1 5 The main purpose of this part is to ensure police reports and health 6 assessment reports may be obtained when this Act has provided for the 7 reports or assessments. 8 324 Definitions for ch 5, pt 1 9 In this part-- 10 "commissioner of police" means the commissioner of the police service. 11 "relevant authority" means-- 12 (a) for an applicant for admission--the board; or 13 (b) for an applicant for the grant or renewal of a local practising 14 certificate or for the holder of a local practising certificate--the 15 relevant regulatory authority. 16 "subject person" means-- 17 (a) an applicant for admission; or 18 (b) an applicant for the grant or renewal of a local practising 19 certificate; or 20 (c) the holder of a local practising certificate. 21 "suitability report" means a police report or health assessment report 22 prepared under this part or under provisions of a corresponding law, 23 and includes a copy of a report or a part of a report or copy. 24

 


 

s 325 183 s 326 Legal Profession Bill 2003 Division 2--Police reports 1 325 Relevant authority may ask for police report 2 (1) A relevant authority may ask the commissioner of police for a written 3 report about whether a subject person has any convictions for offences. 4 (2) However, a regulatory authority must not ask for a report about a 5 local legal practitioner unless the authority considers it appropriate. 6 (3) Subsection (2) applies to the regulatory authority whether or not the 7 local legal practitioner is applying for the renewal of the local practising 8 certificate or applying for another practising certificate. 9 (4) The commissioner of police must give the report to the authority. 10 (5) The report must contain only information in the possession of the 11 commissioner of police or to which the commissioner has access. 12 Division 3--Health assessments 13 326 Health assessment 14 (1) This section applies if a relevant authority believes a subject person 15 may have a material physical or mental infirmity that may make the person 16 unsuitable to engage in legal practice in this jurisdiction. 17 (2) The relevant authority may require the subject person to undergo a 18 health assessment by a person appointed by the relevant authority. 19 (3) If the relevant authority decides to require the health assessment, the 20 authority must give the subject person an information notice about the 21 decision to require the assessment that includes-- 22 (a) the name and qualifications of the person appointed by the 23 authority to conduct the assessment; and 24 (b) a stated date, and a stated time and place, for the assessment that 25 must be reasonable having regard to the circumstances of the 26 subject person as known to the relevant authority. 27 (4) The stated date must be no sooner than 28 days after the information 28 notice is given to the subject person. 29

 


 

s 327 184 s 328 Legal Profession Bill 2003 (5) The subject person may appeal to the Supreme Court against the 1 decision within 28 days after the date the information notice is given to the 2 subject person. 3 327 Appointment of health assessor 4 (1) The relevant authority may appoint 1 or more appropriately qualified 5 persons ("health assessors") to conduct all or part of a health assessment 6 under this division of a subject person. 7 (2) At least 1 health assessor must be a registered medical practitioner. 8 (3) If the relevant authority considers the subject person's criminal 9 history is relevant to the assessment, the authority may disclose the history 10 to the health assessor. 11 (4) The Criminal Law (Rehabilitation of Offenders) Act 1986 does not 12 apply to the disclosure. 13 (5) Before appointing a person as a health assessor, the relevant authority 14 must be satisfied the person does not have a personal or professional 15 connection with the subject person that may prejudice the way in which the 16 person conducts the assessment. 17 (6) In this section-- 18 "appropriately qualified", in relation to a registered medical practitioner 19 or other person conducting a health assessment, includes having the 20 qualifications, experience, skills or knowledge appropriate to conduct 21 the assessment. 22 328 Health assessment report 23 (1) A health assessor conducting all or part of a health assessment of a 24 subject person must prepare a report about the assessment ("health 25 assessment report"). 26 (2) The health assessment report must include-- 27 (a) the health assessor's findings as to any material physical or 28 mental infirmity of the subject person and the extent, if any, to 29 which the infirmity may make the person unsuitable to engage in 30 legal practice; and 31 (b) if the health assessor finds the person has a material physical or 32 mental infirmity that may make the person unsuitable to engage 33

 


 

s 329 185 s 330 Legal Profession Bill 2003 in legal practice--the health assessor's recommendations, if any, 1 as to a condition-- 2 (i) the Supreme Court could impose on the person's admission 3 as a legal practitioner that would make, or would be likely to 4 make, the person suitable to engage in legal practice, despite 5 the infirmity; or 6 (ii) the relevant authority could impose on the person's 7 practising certificate that would make, or would be likely to 8 make, the person suitable to engage in legal practice, despite 9 the infirmity. 10 (3) The health assessor must give the health assessment report to the 11 relevant authority and a copy to the subject person. 12 329 Payment for health assessment and report 13 The relevant authority that appoints a health assessor to conduct all or 14 part of a health assessment is liable for the cost of the assessment 15 conducted by, and the report prepared by, the health assessor. 16 330 Use of health assessment report 17 (1) A report about a subject person is not admissible in any proceedings, 18 and a person can not be compelled to produce the report or to give evidence 19 about the report or its contents in any proceedings. 20 (2) Subsection (1) does not apply in relation to-- 21 (a) proceedings relating to an application by the subject person for 22 admission as a legal practitioner in this or any other jurisdiction; 23 or 24 (b) proceedings on an appeal by the subject person against a decision 25 of a relevant authority of this or any other jurisdiction-- 26 (i) refusing to grant or renew a practising certificate; or 27 (ii) imposing conditions on a practising certificate; or 28 (iii) amending or cancelling a practising certificate. 29 (3) Subsection (1) does not apply if the report is admitted or produced, or 30 evidence about the report or its contents is given, in proceedings with the 31 consent of-- 32

 


 

s 331 186 s 331 Legal Profession Bill 2003 (a) the health assessor who prepared the report; and 1 (b) the subject person to whom the report relates. 2 (4) In this section-- 3 "report" means a health assessment report prepared under this division or 4 under provisions of a corresponding law, and includes a copy of a 5 report or a part of a report or copy. 6 Division 4--General 7 331 Confidentiality of suitability report 8 (1) A member, officer, employee or agent of the board or a relevant 9 authority must not, directly or indirectly, disclose to anyone else a 10 suitability report, or information in a suitability report, given to the board 11 or the relevant authority. 12 Maximum penalty--200 penalty units. 13 (2) A member, officer, employee or agent of the board does not 14 contravene subsection (1) if-- 15 (a) disclosure of the suitability report or information in it to someone 16 else is authorised by the board to the extent necessary to perform 17 a function or exercise a power under this Act relating to an 18 application for admission; or 19 (b) disclosure of the report or information in it is made to the 20 corresponding authority for the board of another jurisdiction in 21 which the individual has applied for admission as a legal 22 practitioner; or 23 (c) the disclosure is made with the consent of the person to whom it 24 relates and, in the case of a health assessment, the health 25 assessor; or 26 (d) the disclosure is otherwise required or permitted by law. 27 (3) A member, officer, employee or agent of a relevant authority does not 28 contravene subsection (1) if-- 29 (a) disclosure of the suitability report or information in it to someone 30 else is authorised by the relevant authority to the extent necessary 31 to perform a function or exercise a power under this Act in 32 relation to-- 33

 


 

s 332 187 s 332 Legal Profession Bill 2003 (i) an application for the grant or renewal of a local practising 1 certificate; or 2 (ii) the imposition or proposed imposition of conditions on a 3 local practising certificate; or 4 (iii) the amendment, cancellation or suspension, or the proposed 5 amendment, cancellation or suspension, of a local practising 6 certificate; or 7 (b) disclosure of the suitability report or information in it is made to 8 the regulatory authority of another jurisdiction when the 9 individual to whom it relates is an applicant for the grant or 10 renewal of a practising certificate or the holder of a practising 11 certificate under a corresponding law of the other jurisdiction; or 12 (c) the disclosure is made with the consent of the person to whom it 13 relates and, in the case of a health assessment, the health 14 assessor; or 15 (d) the disclosure is otherwise required or permitted by law. 16 (4) The relevant authority must ensure a suitability report is destroyed 17 after-- 18 (a) the application concerned is finally decided or is withdrawn; or 19 (b) other action relating to the imposition of conditions on a 20 practising certificate or the amendment, cancellation or 21 suspension of a practising certificate is taken or a decision is 22 taken not to proceed with other action. 23 332 Operation of this part 24 (1) Nothing in this part authorises the board to seek a suitability report 25 about-- 26 (a) an applicant for the grant or renewal of a local practising 27 certificate; or 28 (b) the holder of a local practising certificate. 29 (2) Nothing in this part authorises a relevant authority to seek a 30 suitability report about an applicant for admission. 31

 


 

s 333 188 s 335 Legal Profession Bill 2003 PART 2--INVESTIGATORS AND THEIR POWERS 1 Division 1--Preliminary 2 333 Main purposes of ch 5, pt 2 3 The main purpose of this part is to provide for powers for investigations 4 of complaints or investigation matters. 5 334 Definitions for ch 5, pt 2 6 In this part-- 7 "investigation" means an investigation of a complaint or investigation 8 matter. 9 "investigator" means an individual appointed under section 335111 as an 10 investigator. 11 Division 2--Investigators 12 335 Appointment, qualifications etc. of investigators 13 (1) The commissioner may appoint any of the following individuals as 14 an investigator-- 15 (a) a member of the staff of the commission or a consultant to the 16 commissioner as mentioned in section 242(2);112 17 (b) an individual nominated for appointment as an investigator by a 18 regulatory authority. 19 (2) However, the commissioner may appoint an individual as an 20 investigator only if the commissioner is satisfied the individual is qualified 21 for appointment because the individual has the necessary expertise or 22 experience. 23 (3) An investigator nominated by a regulatory authority may only 24 exercise the power of an investigator in relation to an investigation by the 25 111 Section 335 (Appointment, qualifications etc. of investigators) 112 Section 242 (Staff and other resources))

 


 

s 336 189 s 337 Legal Profession Bill 2003 regulatory authority or when directed by the commissioner to investigate a 1 matter. 2 (4) If, under this Act, a regulatory authority may investigate a complaint 3 or investigation matter, an investigator nominated by the regulatory 4 authority may investigate the complaint or investigation matter. 5 (5) This section does not limit the power of a regulatory authority to 6 delegate powers to an individual who is an investigator nominated by the 7 regulatory authority. 8 (6) An investigator nominated by a regulatory authority is not employed, 9 and is not entitled to payments, under this Act or the Public Service 10 Act 1996. 11 336 Appointment conditions and limit on powers 12 (1) An investigator holds office on any conditions stated in-- 13 (a) the investigator's instrument of appointment; or 14 (b) a signed notice given to the investigator; or 15 (c) a regulation. 16 (2) The instrument of appointment, a signed notice given to the 17 investigator or a regulation may limit the investigator's powers under this 18 Act. 19 (3) In this section-- 20 "signed notice" means a notice signed by the commissioner. 21 337 Issue of identity card 22 (1) The commissioner must issue an identity card to each investigator. 23 (2) The identity card must-- 24 (a) contain a recent photo of the investigator; and 25 (b) contain a copy of the investigator's signature; and 26 (c) identify the individual as an investigator under this Act; and 27 (d) state an expiry date for the card. 28 (3) This section does not prevent the issue of a single identity card to an 29 individual for this Act and other purposes. 30

 


 

s 338 190 s 340 Legal Profession Bill 2003 338 Production or display of identity card 1 (1) In exercising a power under this Act in relation to a person, an 2 investigator must-- 3 (a) produce the investigator's identity card for the person's 4 inspection before exercising the power; or 5 (b) have the identity card displayed so it is clearly visible to the 6 person when exercising the power. 7 (2) However, if it is not practicable to comply with subsection (1), the 8 investigator must produce the identity card for the person's inspection at 9 the first reasonable opportunity. 10 (3) For subsection (1), an investigator does not exercise a power in 11 relation to a person only because the investigator has entered a place as 12 mentioned in section 342(1)(b) or (2).113 13 339 When investigator ceases to hold office 14 (1) An investigator ceases to hold office if any of the following 15 happens-- 16 (a) the term of office stated in a condition of office ends; 17 (b) under another condition of office, the investigator ceases to hold 18 office; 19 (c) the investigator's resignation under section 340 takes effect. 20 (2) Subsection (1) does not limit the ways an investigator may stop 21 holding office. 22 (3) In this section-- 23 "condition of office" means a condition on which the investigator holds 24 office. 25 340 Resignation 26 An investigator may resign by signed notice given to the commissioner. 27 113 Section 342 (Power to enter places)

 


 

s 341 191 s 343 Legal Profession Bill 2003 341 Return of identity card 1 An individual who ceases to be an investigator must return the 2 individual's identity card to the commissioner within 21 days after ceasing 3 to be an investigator unless the individual has a reasonable excuse. 4 Maximum penalty--10 penalty units. 5 Division 3--Entry to places 6 342 Power to enter places 7 (1) An investigator may enter a place if-- 8 (a) its occupier consents to the entry; or 9 (b) it is a public place and the entry is made when it is open to the 10 public; or 11 (c) the entry is authorised by a warrant; or 12 (d) it is a place of business where an Australian lawyer is generally 13 engaged in legal practice, other than a residence, and the place is 14 open for carrying on business or otherwise open for entry. 15 (2) For the purpose of asking the occupier of a place for consent to enter, 16 an investigator may, without the occupier's consent or a warrant-- 17 (a) enter in to an extent that is reasonable to contact the occupier; or 18 (b) enter part of the place the investigator reasonably considers 19 members of the public ordinarily are allowed to enter when they 20 wish to contact the occupier. 21 (3) In this section-- 22 "place of business" includes a place where a government legal officer is 23 generally engaged in government work. 24 "residence" includes a part of a place of business where an individual 25 resides. 26 343 Entry with consent 27 (1) This section applies if an investigator intends to ask an occupier of a 28 place to consent to the investigator or another investigator entering the 29 place under section 342(1)(a). 30

 


 

s 344 192 s 344 Legal Profession Bill 2003 (2) Before asking for the consent, the investigator must tell the 1 occupier-- 2 (a) the purpose of the entry; and 3 (b) that the occupier is not required to consent. 4 (3) If the consent is given, the investigator may ask the occupier to sign 5 an acknowledgment of the consent. 6 (4) The acknowledgment must state-- 7 (a) the occupier has been told-- 8 (i) the purpose of the entry; and 9 (ii) that the occupier is not required to consent; and 10 (b) the purpose of the entry; and 11 (c) the occupier gives the investigator consent to enter the place and 12 exercise powers under this part; and 13 (d) the time and date the consent was given. 14 (5) If the occupier signs the acknowledgment, the investigator must 15 immediately give a copy to the occupier. 16 (6) If-- 17 (a) an issue arises in a proceeding about whether the occupier 18 consented to the entry; and 19 (b) an acknowledgment complying with subsection (4) for the entry 20 is not produced in evidence; 21 the onus of proof is on the person relying on the lawfulness of the entry to 22 prove the occupier consented. 23 344 Application for warrant 24 (1) An investigator may apply to a magistrate for a warrant for a place. 25 (2) The investigator must prepare a written application that states the 26 grounds on which the warrant is sought. 27 (3) The written application must be sworn. 28 (4) The magistrate may refuse to consider the application until the 29 investigator gives the magistrate all the information the magistrate requires 30 about the application in the way the magistrate requires. 31

 


 

s 345 193 s 345 Legal Profession Bill 2003 1 Example-- 2 The magistrate may require additional information supporting the written application to 3 be given by statutory declaration. 345 Issue of warrant 4 (1) The magistrate may issue the warrant for the place only if the 5 magistrate is satisfied there are reasonable grounds for suspecting-- 6 (a) there is a particular thing or activity (the "evidence") that may 7 provide evidence about a matter that is the subject of a complaint 8 or investigation matter that the investigator is investigating under 9 this Act; and 10 (b) the evidence is at the place or, within the next 7 days, will be at 11 the place. 12 (2) The warrant must state-- 13 (a) the place to which the warrant applies; and 14 (b) that a stated investigator may, with necessary and reasonable help 15 and force-- 16 (i) enter the place and any other place necessary for entry to the 17 place; and 18 (ii) exercise the investigator's powers under this part; and 19 (c) particulars of the matter that is the subject of the complaint or 20 investigation matter that the magistrate considers appropriate in 21 the circumstances; and 22 (d) the name of the person about whom the complaint is made or 23 who is the subject of the investigation matter, unless the name is 24 unknown or the magistrate considers it inappropriate to state the 25 name; and 26 (e) the evidence that may be seized under the warrant; and 27 (f) the hours of the day or night when the place may be entered; and 28 (g) the magistrate's name; and 29 (h) the date and time of the warrant's issue; and 30 (i) the date, within 14 days after the warrant's issue, the warrant 31 ends. 32

 


 

s 346 194 s 346 Legal Profession Bill 2003 346 Application by electronic communication and duplicate warrant 1 (1) An application under section 344114 may be made by phone, fax, 2 email, radio, videoconferencing or another form of electronic 3 communication if the investigator considers it necessary because of-- 4 (a) urgent circumstances; or 5 (b) other special circumstances, including, for example, the 6 investigator's remote location. 7 (2) The application-- 8 (a) may not be made before the investigator prepares the written 9 application under section 344(2); but 10 (b) may be made before the written application is sworn. 11 (3) The magistrate may issue the warrant (the "original warrant") only 12 if the magistrate is satisfied-- 13 (a) it was necessary to make the application under subsection (1); 14 and 15 (b) the way the application was made under subsection (1) was 16 appropriate. 17 (4) After the magistrate issues the original warrant-- 18 (a) if there is a reasonably practicable way of immediately giving a 19 copy of the warrant to the investigator, for example, by sending a 20 copy by fax or email, the magistrate must immediately give a 21 copy of the warrant to the investigator; or 22 (b) otherwise-- 23 (i) the magistrate must tell the investigator the date and time 24 the warrant is issued and the other terms of the warrant; and 25 (ii) the investigator must complete a form of warrant, including 26 by writing on it-- 27 (A) the magistrate's name; and 28 (B) the date and time the magistrate issued the warrant; 29 and 30 (C) the other terms of the warrant. 31 114 Section 344 (Application for warrant)

 


 

s 347 195 s 347 Legal Profession Bill 2003 (5) The copy of the warrant mentioned in subsection (4)(a), or the form 1 of warrant completed under subsection (4)(b) (in either case the "duplicate 2 warrant") is a duplicate of, and as effectual as, the original warrant. 3 (6) The investigator must, at the first reasonable opportunity, send to the 4 magistrate-- 5 (a) the written application complying with section 344(2) and (3); 6 and 7 (b) if the investigator completed a form of warrant under 8 subsection (4)(b)--the completed form of warrant. 9 (7) The magistrate must keep the original warrant and, on receiving the 10 documents under subsection (6)-- 11 (a) attach the documents to the original warrant; and 12 (b) give the original warrant and documents to the clerk of the court 13 of the relevant magistrates court. 14 (8) Despite subsection (5), if-- 15 (a) an issue arises in a proceeding about whether an exercise of a 16 power was authorised by a warrant issued under this section; and 17 (b) the original warrant is not produced in evidence; 18 the onus of proof is on the person relying on the lawfulness of the exercise 19 of the power to prove a warrant authorised the exercise of the power. 20 (9) This section does limit section 344. 21 (10) In this section-- 22 "relevant magistrates court", in relation to a magistrate, means the 23 Magistrates Court that the magistrate constitutes under the 24 Magistrates Act 1991. 25 347 Defect in relation to a warrant 26 (1) A warrant is not invalidated by a defect in the warrant or in 27 compliance with section 344, 345 or 346115 unless the defect affects the 28 substance of the warrant in a material particular. 29 115 Sections 344 (Application for warrant), 345 (Issue of warrant) or 346 (Application by electronic communication and duplicate warrant)

 


 

s 348 196 s 349 Legal Profession Bill 2003 (2) In this section-- 1 "warrant" includes a duplicate warrant mentioned in section 346(5). 2 348 Warrants--procedure before entry 3 (1) This section applies if an investigator named in a warrant issued 4 under this part for a place is intending to enter the place under the warrant. 5 (2) Before entering the place, the investigator must do or make a 6 reasonable attempt to do the following things-- 7 (a) identify himself or herself to a person present at the place who is 8 an occupier of the place by producing a copy of the investigator's 9 identity card, or having the identity card displayed, as mentioned 10 in section 338(1);116 11 (b) give the person a copy of the warrant; 12 (c) tell the person the investigator is permitted by the warrant to 13 enter the place; 14 (d) give the person an opportunity to allow the investigator 15 immediate entry to the place without using force. 16 (3) However, the investigator need not comply with subsection (2) if the 17 investigator believes that immediate entry to the place is required to ensure 18 the effective execution of the warrant is not frustrated. 19 (4) In this section-- 20 "warrant" includes a duplicate warrant mentioned in section 346(5).117 21 Division 4--Powers of investigators after entry 22 349 General powers of investigator after entering places 23 (1) This division applies to an investigator who enters a place. 24 (2) However if an investigator, under section 342(2),118 enters a place to 25 ask the occupier's consent to enter premises, this division applies to the 26 116 Section 338 (Production or display of identity card) 117 Section 346 (Application by electronic communication and duplicate warrant) 118 Section 342 (Power to enter places)

 


 

s 350 197 s 350 Legal Profession Bill 2003 investigator only if the consent is given or the entry is otherwise 1 authorised. 2 (3) For performing an investigator's function under this Act, an 3 investigator may do any of the following-- 4 (a) search any part of the place; 5 (b) inspect, measure, test, photograph or film any part of the place or 6 anything at the place; 7 (c) take a thing, or a sample of or from a thing, at the place for 8 analysis, measurement or testing; 9 (d) copy, or take an extract from, a document at the place; 10 (e) take into or onto the place any person, equipment and materials 11 the investigator reasonably requires for exercising a power under 12 this division. 13 350 Power to require reasonable help or information 14 (1) An investigator may require the occupier of the place, or a person at 15 the place, to give the investigator-- 16 (a) reasonable help to exercise a power under this part; or 17 (b) information to help the investigator in conducting the 18 investigation. 19 (2) When making a requirement under subsection (1), the investigator 20 must warn the person it is an offence to fail to comply with the requirement 21 unless the person has a reasonable excuse. 22 (3) A person required to give reasonable help under subsection (1)(a), or 23 give information under subsection (1)(b), must comply with the 24 requirement, unless the person has a reasonable excuse. 25 Maximum penalty--100 penalty units. 26 (4) If the person is an individual, it is a reasonable excuse for the 27 individual not to comply with the requirement if complying with the 28 requirement might tend to incriminate the individual. 29

 


 

s 351 198 s 352 Legal Profession Bill 2003 Division 5--Power of investigators to seize evidence 1 351 Seizing evidence at place entered under s 342 2 (1) An investigator, who enters a place with the consent of the occupier 3 as mentioned in section 342(1)(a), may seize a thing at the place if-- 4 (a) the investigator believes the thing is evidence that is relevant to 5 the investigation being conducted by the investigator; and 6 (b) seizure of the thing is consistent with the purpose of entry as told 7 to the occupier when asking for the occupier's consent. 8 (2) An investigator, who enters a public place as mentioned in 9 section 342(1)(b), may seize a thing at the place if the investigator 10 reasonably believes the thing is evidence that is relevant to the investigation 11 being conducted by the investigator. 12 (3) An investigator, who enters a place under a warrant as mentioned in 13 section 342(1)(c), may seize the evidence for which the warrant was issued. 14 (4) An investigator, who enters a place of business as mentioned in 15 section 342(1)(d), may seize a thing at the place if the investigator 16 reasonably believes the thing is evidence that is relevant to the investigation 17 being conducted by the investigator. 18 (5) The investigator may also seize anything else at the place if the 19 investigator believes-- 20 (a) the thing is evidence of unsatisfactory professional conduct or 21 professional misconduct of an Australian lawyer, misconduct of a 22 law practice employee or an offence against a relevant law; and 23 (b) the seizure is necessary to prevent the thing being hidden, lost or 24 destroyed. 25 352 Securing seized things 26 Having seized a thing, an investigator may-- 27 (a) move the thing from the place where it was seized (the "place of 28 seizure"); or 29 (b) leave the thing at the place of seizure but take reasonable action 30 to restrict access to it. 31

 


 

s 353 199 s 355 Legal Profession Bill 2003 1 Examples of restricting access to a thing-- 2 1. Sealing a thing and marking it to show access to it is restricted. 3 2. Sealing the entrance to a room where the seized thing is situated and 4 marking it to show access to it is restricted. 353 Tampering with seized things 5 If an investigator restricts access to a seized thing, a person must not 6 tamper, or attempt to tamper, with the thing, or something restricting access 7 to the thing, without the investigator's approval. 8 Maximum penalty--100 penalty units. 9 354 Powers to support seizure 10 (1) To enable a thing to be seized, an investigator may require the person 11 in control of it-- 12 (a) to take it to a stated reasonable place by a stated reasonable time; 13 and 14 (b) if necessary, to remain in control of it at the stated place for a 15 reasonable time. 16 (2) The requirement-- 17 (a) must be made by written notice; or 18 (b) if for any reason it is not practicable to give the notice, may be 19 made orally and confirmed by written notice as soon as 20 practicable. 21 (3) A further requirement may be made under this section about the 22 thing if it is necessary and reasonable to make the further requirement. 23 (4) A person of whom a requirement is made under subsection (1) or (3) 24 must comply with the requirement, unless the person has a reasonable 25 excuse. 26 Maximum penalty for subsection (4)--100 penalty units. 27 355 Receipt for seized things 28 (1) After an investigator seizes a thing, the investigator must give a 29 receipt for it to the person from whom it was seized. 30

 


 

s 356 200 s 357 Legal Profession Bill 2003 (2) However, if for any reason it is not practicable to comply with 1 subsection (1), the investigator must leave the receipt at the place of seizure 2 in a conspicuous position and in a reasonably secure way. 3 (3) The receipt must describe generally the thing seized and its 4 condition. 5 (4) This section does not apply to a thing if it is impracticable or would 6 be unreasonable to give the receipt given the thing's nature, condition and 7 value. 8 356 Forfeiture of seized things 9 (1) A seized thing is forfeited to the State if the investigator who seized 10 the thing-- 11 (a) can not find its owner, after making reasonable inquiries; or 12 (b) can not return it to its owner, after making reasonable efforts. 13 (2) In applying subsection (1)-- 14 (a) subsection (1)(a) does not require the investigator to make 15 inquiries if it would be unreasonable to make inquiries to find the 16 owner; and 17 (b) subsection (1)(b) does not require the investigator to make efforts 18 if it would be unreasonable to make efforts to return the thing to 19 its owner. 20 21 Example for subsection (2)(b)-- 22 The owner of the thing has migrated to another country. (3) Regard must be had to a thing's nature, condition and value in 23 deciding-- 24 (a) whether it is reasonable to make inquiries or efforts; and 25 (b) if making inquiries or efforts--what inquiries or efforts, 26 including the period over which they are made, are reasonable. 27 357 Dealing with forfeited things etc. 28 (1) On the forfeiture of a thing to the State, the thing becomes the State's 29 property and may be dealt with by the commissioner as the commissioner 30 considers appropriate. 31

 


 

s 358 201 s 360 Legal Profession Bill 2003 (2) Without limiting subsection (1), the commissioner may destroy or 1 dispose of the thing. 2 358 Return of seized things 3 (1) If a seized thing has not been forfeited, the investigator must return it 4 to its owner-- 5 (a) at the end of 6 months; or 6 (b) if proceedings involving the thing are started within 7 6 months--at the end of the proceedings and any appeal from the 8 proceedings. 9 (2) Despite subsection (1), unless the thing has been forfeited, the 10 investigator must immediately return a thing seized as evidence to its 11 owner if the investigator stops being satisfied its continued retention as 12 evidence is necessary. 13 359 Access to seized things 14 (1) Until a seized thing is forfeited or returned, an investigator must 15 allow its owner to inspect it and, if it is a document, to copy it. 16 (2) Subsection (1) does not apply if it is impracticable or would be 17 unreasonable to allow the inspection or copying. 18 Division 6--General enforcement matters 19 360 Notice of damage 20 (1) This section applies if-- 21 (a) an investigator damages property when exercising or purporting 22 to exercise a power; or 23 (b) a person (the "other person") acting under the direction of an 24 investigator damages property. 25 (2) The investigator must promptly give written notice of particulars of 26 the damage to the person who appears to the investigator to be the owner of 27 the property. 28

 


 

s 361 202 s 362 Legal Profession Bill 2003 (3) If the investigator believes the damage was caused by a latent defect 1 in the property or circumstances beyond the investigator's or other 2 person's control, the investigator may state the belief in the notice. 3 (4) If, for any reason, it is impracticable to comply with subsection (2), 4 the investigator must leave the notice in a conspicuous position and in a 5 reasonably secure way where the damage happened. 6 (5) This section does not apply to damage the investigator reasonably 7 believes is trivial. 8 (6) In subsection (2)-- 9 "owner", of property, includes the person in possession or control of it. 10 361 Compensation 11 (1) A person may claim compensation from the commissioner if the 12 person incurs loss or expense because of the exercise or purported exercise 13 of a power under division 3, 4 or 5.119 14 (2) Without limiting subsection (1), compensation may be claimed for 15 loss or expense incurred in complying with a requirement made of the 16 person under the subdivision. 17 (3) Compensation may be claimed and ordered to be paid in a 18 proceeding brought in a court with jurisdiction for the recovery of the 19 amount of compensation claimed. 20 (4) A court may order compensation to be paid only if it is satisfied it is 21 fair to make the order in the circumstances of the particular case. 22 362 False or misleading information 23 A person must not state anything to an investigator that the person knows 24 is false or misleading in a material particular. 25 Maximum penalty--100 penalty units. 26 119 Division 3 (Entry to places), 4 (Powers of investigators after entry) or 5 (Power of investigators to seize evidence)

 


 

s 363 203 s 365 Legal Profession Bill 2003 363 False or misleading documents 1 (1) A person must not give to an investigator a document containing 2 information the person knows is false or misleading in a material 3 particular. 4 Maximum penalty--100 penalty units. 5 (2) Subsection (1) does not apply to a person who, when giving the 6 document-- 7 (a) informs the investigator, to the best of the person's ability, how it 8 is false or misleading; and 9 (b) gives the correct information to the investigator if the person has, 10 or can reasonably obtain, the correct information. 11 364 Obstructing investigators 12 (1) A person must not obstruct an investigator in the exercise of a power, 13 unless the person has a reasonable excuse. 14 Maximum penalty--100 penalty units. 15 (2) If a person has obstructed an investigator and the investigator decides 16 to proceed with the exercise of the power, the investigator must warn the 17 person that-- 18 (a) it is an offence to obstruct the investigator, unless the person has 19 a reasonable excuse; and 20 (b) the investigator considers the person's conduct is an obstruction. 21 (3) In this section-- 22 "obstruct" includes hinder and attempt to obstruct. 23 365 Impersonation of investigators 24 A person must not pretend to be an investigator. 25 Maximum penalty--100 penalty units. 26

 


 

s 366 204 s 368 Legal Profession Bill 2003 CHAPTER 6--MISCELLANEOUS MATTERS 1 PART 1--JURISDICTION OF THE SUPREME COURT 2 366 Inherent jurisdiction of Supreme Court 3 (1) The inherent jurisdiction and power of the Supreme Court in relation 4 to the control and discipline of local lawyers and local legal practitioners is 5 not affected by anything in this Act. 6 (2) The inherent jurisdiction and power-- 7 (a) extends to an interstate legal practitioner under section 71;120 and 8 (b) may be exercised by making any order that a disciplinary body 9 may make under this Act. 10 367 Jurisdiction of Supreme Court 11 (1) The Supreme Court must hear and decide each application and 12 appeal made to it under this Act and may make the order it considers 13 appropriate for the application or appeal. 14 (2) Subsection (1) is subject to a provision that states the orders that may 15 be made by the court on an application or appeal. 16 (3) This section does not limit section 366. 17 (4) An Australian lawyer is entitled to appear before and be heard by the 18 Supreme Court at a hearing about an application or appeal as mentioned in 19 subsection (1) that is made in relation to the lawyer under this Act. 20 368 Injunctions 21 (1) This section applies if a person (the "subject person") has engaged, 22 is engaging or is proposing to engage in conduct that constituted, 23 constitutes or would constitute-- 24 (a) an offence against a relevant law; or 25 120 Section 71 (Interstate legal practitioner is officer of Supreme Court)

 


 

s 368 205 s 368 Legal Profession Bill 2003 (b) attempting to contravene a relevant law; or 1 (c) aiding, abetting, counselling or procuring a person to contravene 2 this Act; or 3 (d) inducing or attempting to induce, whether by threats, promises or 4 otherwise, a person to contravene this Act; or 5 (e) being in any way, directly or indirectly, knowingly concerned in, 6 or party to, an offence against a relevant law by a person; or 7 (f) conspiring with others to contravene this Act. 8 (2) On application by the commissioner or the relevant regulatory 9 authority for the subject person, the Supreme Court may grant an 10 injunction, on terms the court considers appropriate-- 11 (a) restraining the subject person from engaging in the conduct; and 12 (b) if the court considers it desirable to do so--requiring the subject 13 person to do any act or thing. 14 (3) If an application under subsection (2) has been made, the Supreme 15 Court may, if the court decides it to be appropriate, grant an injunction by 16 consent of all the parties to the proceedings, whether or not the court is 17 satisfied that subsection applies. 18 (4) If the Supreme Court considers it desirable to do so, the court may 19 grant an interim injunction pending its decision of an application under 20 subsection (2). 21 (5) The Supreme Court may discharge or vary an injunction granted 22 under subsection (2) or (4). 23 (6) The Supreme Court's power to grant an injunction restraining the 24 subject person from engaging in conduct may be exercised whether or 25 not-- 26 (a) it appears to the court that the subject person intends to engage 27 again, or to continue to engage, in conduct of that kind; and 28 (b) the subject person has previously refused or failed to do that act 29 or thing; and 30 (c) there is an imminent danger of substantial damage to anyone if 31 the subject person refuses or fails to do that act or thing. 32 (7) The Supreme Court must not require the commissioner or any other 33 person, as a condition of granting an interim injunction, to give an 34 undertaking as to damages. 35

 


 

s 369 206 s 369 Legal Profession Bill 2003 PART 2--SUSPECTED OFFENCES, PARTICULAR 1 ASSOCIATES AND OTHER MATTERS 2 369 Duty of relevant entities to report suspected offences 3 (1) This section applies if a relevant entity suspects a person has 4 committed an offence, other than an offence against the Trust Accounts Act 5 1973, that the relevant entity considers is of a minor nature. 6 (2) The relevant entity must-- 7 (a) report the suspected offence to an appropriate authority; and 8 (b) make available to the appropriate authority the documents and 9 information relevant to the suspected offence in the relevant 10 entity's possession or under its control or other documents that, 11 after it has made the report, come into the entity's possession or 12 under its control. 13 (3) However, if the relevant entity suspects only because of an allegation 14 by an individual and the suspected offence is not in relation to a relevant 15 law, the relevant entity may advise the individual as follows-- 16 (a) that the relevant entity is not going to report the suspected 17 offence to an appropriate authority; 18 (b) that if the individual wishes to pursue the matter of the suspected 19 offence, the individual should raise it with an appropriate 20 authority. 21 (4) For this section but subject to subsections (5) and (6), it is immaterial 22 how the relevant entity gained the information that caused it to suspect that 23 the person has committed an offence, including whether or not the relevant 24 entity obtained information or a document-- 25 (a) after a complaint or an investigation; or 26 (b) before the commencement of this section. 27 (5) The obligation under subsection (2)(a) does not apply to a suspicion 28 formed on the basis of documents or information that may be subject to 29 privilege, or information derived from documents or information subject to 30 privilege, unless the person to whom the privilege attaches gives written 31 consent to the relevant entity to report the suspected offence under that 32 provision. 33

 


 

s 369 207 s 369 Legal Profession Bill 2003 (6) The obligation under subsection (2)(b) does not apply to documents 1 or information that may be subject to privilege, or information derived 2 from documents or information subject to privilege, unless the person to 3 whom the privilege attaches gives written consent to the relevant entity to 4 make available to the appropriate authority the documents or information 5 under that provision. 6 (7) A relevant entity may apply to the Supreme Court for a declaration as 7 to whether documents or information are subject to privilege. 8 (8) The commissioner must develop guidelines relating to obligations 9 under this section for the commission and for relevant entities. 10 (9) To remove any doubt, it is declared that the relevant entity is not 11 under an obligation to make inquiries for subsection (1) in relation to 12 information before it in order to have reasonable grounds about a concern 13 so that the concern is a suspicion about something, or to decide whether the 14 suspicion is correct. 15 (10) In this section-- 16 "appropriate authority" includes the following-- 17 (a) the commissioner of police; 18 (b) the Crime and Misconduct Commission; 19 (c) the director of public prosecutions; 20 (d) the chief executive of a department in which a government legal 21 officer is employed; 22 (e) a person in another jurisdiction corresponding to a person 23 mentioned in paragraph (a), (b), (c) or (d). 24 "offence" means an offence against either of the following-- 25 (a) an Act; 26 (b) a law of the Commonwealth or another jurisdiction. 27 "privilege" means legal professional privilege or another privilege. 28 "relevant entity" means-- 29 (a) the commissioner; or 30 (b) a regulatory authority. 31

 


 

s 370 208 s 370 Legal Profession Bill 2003 370 Associate who is proscribed person or has been convicted of 1 serious offence etc. 2 (1) A local legal practitioner must not have a person as an associate if the 3 practitioner knows the person is either of the following unless the associate 4 is approved by the relevant regulatory authority-- 5 (a) a proscribed person; 6 (b) a person who has been convicted of a serious offence and does 7 not hold a current local practising certificate or interstate 8 practising certificate. 9 (2) A contravention of subsection (1) is capable of constituting 10 unsatisfactory professional conduct or professional misconduct. 11 (3) The relevant regulatory authority may, on application, approve an 12 associate for the purposes of this section. 13 (4) An approval under this section may be subject to specified 14 conditions. 15 (5) If the regulatory authority refuses an application mentioned in 16 subsection (3) or imposes a condition on the approval-- 17 (a) the authority must give the applicant an information notice about 18 the decision to refuse the application or to impose the condition; 19 and 20 (b) the applicant may appeal to the Supreme Court against the 21 refusal or imposition of the condition within 28 days after the 22 date the information notice is given to the applicant. 23 (6) A proscribed person, or a person convicted of a serious offence, must 24 not seek to become an associate of a local legal practitioner unless the 25 person first informs the practitioner that the person is a proscribed person 26 or about the conviction. 27 Maximum penalty--200 penalty units. 28 (7) In this section-- 29 "associate" of a local legal practitioner means-- 30 (a) a person, other than an Australian legal practitioner, who is a 31 partner of the local legal practitioner in a business that includes 32 the local legal practitioner's practice; or 33 (b) a person, other than an Australian legal practitioner, who shares 34 the receipts of the local legal practitioner's practice; or 35

 


 

s 371 209 s 371 Legal Profession Bill 2003 (c) a person who is an employee of the local legal practitioner's 1 practice. 2 "proscribed person" means either of the following-- 3 (a) a person whose name has been removed from an Australian roll, 4 whether before or after the commencement of this definition, 5 other than a roll switcher; 6 (b) a person who is currently suspended from legal practice in 7 Australia. 8 "roll switcher" means-- 9 (a) an individual whose name was, before the commencement of this 10 definition, removed from the roll of barristers at the individual's 11 request in order for the individual's name to be added to the roll 12 of solicitors; or 13 (b) an individual whose name was, before the commencement of this 14 definition, removed from the roll of solicitors at the individual's 15 request in order for the individual's name to be added to the roll 16 of barristers. 17 371 Executive officers must ensure corporation complies with Act 18 (1) The executive officers of a corporation must ensure that the 19 corporation complies with this Act. 20 (2) If a corporation commits an offence against a provision of this Act, 21 each of the executive officers of the corporation also commit an offence, 22 namely, the offence of failing to ensure that the corporation complies with 23 the provision. 24 Maximum penalty--the penalty for the contravention of the provision by 25 an individual or, if the penalty is expressed to be for this section, the 26 expressed penalty. 27 (3) Evidence that the corporation has been convicted of an offence 28 against a provision of this Act is evidence that each of the executive 29 officers committed the offence of failing to ensure that the corporation 30 complies with the provision. 31 (4) However, it is a defence for an executive officer to prove that-- 32 (a) if the officer was in a position to influence the conduct of the 33 corporation in relation to the offence--the officer took all 34

 


 

s 372 210 s 373 Legal Profession Bill 2003 reasonable steps to ensure the corporation complied with the 1 provision; or 2 (b) the officer was not in a position to influence the conduct of the 3 corporation in relation to the offence. 4 (5) For subsection (4)(a), it is sufficient for the executive officer to prove 5 that the act or omission that was the offence was done or made without the 6 officer's knowledge despite the officer having taken all reasonable steps to 7 ensure the corporation complied with the provision. 8 (6) This section applies to an individual who is an executive officer of a 9 corporation that is an incorporated legal practice and a lawyer director of 10 the practice in addition to any other provision that applies to the individual 11 in the individual's capacity as a lawyer director of that practice. 12 (7) A defence available to an individual under this section is available to 13 an individual mentioned in subsection (6) in the individual's capacity as an 14 executive officer but not in the individual's capacity as a lawyer director. 15 (8) In this section-- 16 "executive officer", for a corporation, means any person, by whatever 17 name called and whether or not the person is a director of the 18 corporation, who is concerned, or takes part, in the management of the 19 corporation. 20 372 Offences are summary offences 21 An offence against this Act is a summary offence. 22 373 Limitation on time for starting summary proceeding 23 A proceeding for a summary offence against this Act by way of 24 summary proceeding under the Justices Act 1886 must start-- 25 (a) within 1 year after the commission of the offence; or 26 (b) within 6 months after the offence comes to the complainant's 27 knowledge, but within 2 years after the commission of the 28 offence. 29

 


 

s 374 211 s 376 Legal Profession Bill 2003 374 Appointments and authority 1 The following must be presumed unless a party to the proceeding under 2 a relevant law, by reasonable notice, requires proof of it-- 3 (a) the appointment of the Minister, the chief executive, the 4 commissioner, a panel member, a committee member, a member 5 of the board, a registrar, the Brisbane registrar or an investigator; 6 (b) the authority of a person mentioned in paragraph (a) or the law 7 society or bar association to do anything under this Act. 8 375 Signatures 9 A signature purporting to be that of any of the following persons is 10 evidence of the signature that it purports to be-- 11 (a) the Minister; 12 (b) the chief executive; 13 (c) the commissioner; 14 (d) a tribunal member; 15 (e) the chairperson or deputy chairperson of the committee; 16 (f) the chairperson of the board; 17 (g) the Brisbane registrar or another registrar; 18 (h) an investigator; 19 (i) the President of the law society or the bar association. 20 376 Evidentiary aids--documents 21 A document purporting to be a copy of an individual's admission or 22 practising certificate or another document made or given under this Act is 23 evidence of the admission, practising certificate or other document and of 24 the matters contained in it. 25

 


 

s 377 212 s 378 Legal Profession Bill 2003 PART 3--OTHER MATTERS 1 377 Approved forms 2 (1) A form may be approved under this Act. 3 (2) The form may be approved by-- 4 (a) if the form is to be used for an application to or another purpose 5 relating to the Supreme Court--the rules committee within the 6 meaning of the Supreme Court of Queensland Act 1991, section 7 118C;121 or 8 (b) if the form is to be used for an application to or another purpose 9 relating to a disciplinary body--the body; or 10 (c) if the form is to be used for an application to or another purpose 11 relating to a regulatory authority, however described--the 12 regulatory authority; or 13 (d) if the form is to be used for a purpose relating to the 14 commissioner--the commissioner; or 15 (e) if the form is to be used for an application to or another purpose 16 relating to the board--the board; or 17 (f) if the form is to be used in relation to a matter dealt with under 18 chapter 2, part 6122--the chief executive. 19 (3) If a provision provides that an approved form may provide for a 20 matter, however expressed, the provision does not limit other matters that 21 may be included in the form. 22 378 Regulation-making power 23 (1) The Governor in Council may make regulations under this Act. 24 (2) Without limiting subsection (1), a regulation may be made-- 25 (a) authorising the Brisbane registrar to give to a regulatory 26 authority of this jurisdiction or another jurisdiction the date of 27 121 Supreme Court of Queensland Act 1991, section 118C (Rules Committee) 122 Chapter 2 (Engaging in legal practice), part 6 (Financial arrangements for those who may engage in legal practice in this jurisdiction)

 


 

s 379 213 s 379 Legal Profession Bill 2003 admission and other relevant information about a person's 1 admission; and 2 (b) imposing a penalty, not exceeding 20 penalty units, for a 3 contravention of a regulation; and 4 (c) providing for fees; and 5 (d) allowing a law practice that is a sole practitioner to continue to 6 engage in legal practice after the death of the sole practitioner 7 and applying the provisions of this Act to the law practice and the 8 employees of that practice. 9 (3) A regulation mentioned in subsection (2)(c) may be made-- 10 (a) prescribing that fees and costs payable as mentioned in the 11 regulation, including, for example, fees and costs payable for 12 matters dealt with by the Supreme Court or an entity established 13 under this Act and for filing articles of clerkship and assignment 14 of articles; and 15 (b) providing for the refund or remission of fees and costs. 16 (4) A regulation may provide that a contravention of the regulation is 17 capable of constituting unsatisfactory professional conduct or misconduct 18 of the person who has contravened. 19 (5) Also, a regulation may be made about a matter for which a regulatory 20 authority may make a rule and, if a regulation provides for a matter the 21 regulation, to the extent of any inconsistency, prevails. 22 PART 4--AMENDMENT OF ACTS 23 379 Acts amended in sch 1 24 Schedule 1 amends the Acts mentioned in it. 25

 


 

s 380 214 s 381 Legal Profession Bill 2003 PART 5--TRANSITIONAL, SAVINGS AND REPEAL 1 PROVISIONS 2 Division 1--Definitions for part 3 380 Definition for ch 6, pt 5 4 In this part-- 5 "Legal Practitioners Act" means the Legal Practitioners Act 1995. 6 "QLS Act" means the Queensland Law Society Act 1952. 7 Division 2--Transitional provisions relating to ch 2, pt 2 (Reservation of 8 legal work and related matters) 9 381 Act or omission that happened before the commencement may be 10 relevant to an offence under ch 2, pt 2 11 (1) Without limiting the Acts Interpretation Act 1954, section 20C,123 an 12 act or omission that happened before the commencement of this section 13 may be relevant to a proceeding relating to a contravention of section 20 or 14 21.124 15 (2) Also, an act or omission that happened before that commencement 16 may be relevant to whether conduct after that commencement is 17 unsatisfactory professional conduct or professional misconduct. 18 (3) In this section-- 19 "contravention" includes an alleged contravention. 20 123 Acts Interpretation Act 1954, section 20C (Creation of offences and changes in penalties) 124 Section 20 (Prohibition on engaging in legal practice when not entitled) or 21 (Prohibition on representing or advertising entitlement to engage in legal practice when not entitled)

 


 

s 382 215 s 383 Legal Profession Bill 2003 382 Offences committed before the commencement 1 (1) The law society may continue or complete a proceeding that the 2 council of the society started under the QLS Act, section 5D125 before the 3 commencement of this section but the society must not start a proceeding 4 after the commencement. 5 (2) However, if the society had investigated a matter before the 6 commencement of this section but had not started a proceeding and the 7 society considers the matter should be dealt by the commissioner under 8 subsection (3), the society must give to the commissioner all reports of its 9 investigations for the matter and relevant evidence. 10 (3) The commissioner may start a proceeding under the Legal 11 Practitioners Act, section 19 in relation to a contravention of that section 12 that happened before the repeal of that section. 13 (4) This section does not limit the Acts Interpretation Act 1954, 14 section 42.126 15 Division 3--Transitional provisions relating to ch 2, pt 3 (Admission of 16 legal practitioners) 17 383 Application for admission made before commencement but not 18 heard by Supreme Court before the commencement 19 (1) This section applies to each of the following (each of which is an 20 "existing application")-- 21 (a) an application for admission as a barrister or as a solicitor made 22 by an individual before the commencement of this section that 23 has not been heard by the Supreme Court before the 24 commencement; 25 (b) a motion by an individual under the Legal Practitioners Act, 26 section 41 or 42 that has not been dealt with by the court before 27 the commencement of this section. 28 125 Queensland Law Society Act 1952, section 5D (Institution of proceedings by council) 126 Acts Interpretation Act 1954, section 42 (Any person may prosecute etc.)

 


 

s 384 216 s 386 Legal Profession Bill 2003 (2) The existing application is to be dealt with by the court and the board 1 as an application for admission under section 28,127 including, for example, 2 accepting any advertising done in relation to an existing application as 3 advertising under this Act. 4 (3) However if the fees for an application for admission under section 28 5 are more than the fees for the existing application and the applicant has 6 paid the fees for the existing application, no more fees are payable for the 7 existing application. 8 (4) The suitability matters in relation to an individual may be considered 9 in relation to an existing application. 10 384 References in other Acts to applicant for admission as a barrister 11 or as a solicitor 12 In an Act, a reference to an applicant or application for admission as a 13 barrister or for admission as a solicitor whether by reference to the 14 admission rules, is a reference to an applicant or application for admission 15 as a legal practitioner. 16 Division 4--Transitional provisions relating to ch 2, pt 4 (Legal Practice 17 by Australian legal practitioners) 18 385 Application for grant or renewal of practising certificate by 19 person who is solicitor or barrister at first commencement 20 (1) This section applies to an application under section 43128 by a person 21 who was a solicitor or barrister immediately before the commencement of 22 this section. 23 (2) If the person applies to the law society or bar association for the grant 24 of a practising certificate, the person is an Australian legal practitioner at 25 the time the person makes the application as mentioned in section 43(2)(b). 26 386 Actions before commencement that continue to have effect 27 (1) This section applies to an action taken, however described, by-- 28 127 Section 28 (Application for admission) 128 Section 43 (Application for grant or renewal of local practising certificate)

 


 

s 387 217 s 387 Legal Profession Bill 2003 (a) the law society, or its council or secretary, in relation to a person 1 or the person's practising certificate before the commencement 2 of this section, other than an action dealt with in another section 3 of this division; or 4 (b) the solicitor's complaints tribunal or the clerk of the tribunal in 5 relation to a person whether the tribunal's or clerk's action is 6 taken before or after that commencement. 7 8 Examples of actions-- 9 1. A person's practising certificate is suspended. 10 2. The tribunal orders a lawyer to pay an amount of money. (2) The action continues to have effect under this Act subject to-- 11 (a) any conditions stated in a document by which the action was 12 taken against the person, or notice given to the person about the 13 action; and 14 (b) this Act. 15 (3) To the extent of any inconsistency among provisions applying to the 16 action, this Act prevails. 17 (4) For subsections (2) and (3), a regulation made under section 405129 18 may provide for the way the action is to continue under this Act. 19 (5) In this section-- 20 "action" includes an appointment of costs assessor, cancellation or 21 suspension of a practising certificate, decision and order. 22 Division 5--Transitional provisions relating to ch 2, pt 7 (Rules about 23 those who may engage in legal practice in this jurisdiction) 24 387 Continuation of rules of law society 25 (1) This section applies to the rules of the law society as in force 26 immediately before the commencement of this section. 27 (2) The rules continue to have effect as subordinate legislation made 28 under this Act. 29 129 Section 405 (Transitional regulation-making power)

 


 

s 388 218 s 389 Legal Profession Bill 2003 (3) A regulation made under section 405130 may provide for the way a 1 particular provision of the rules operates under this Act. 2 388 Bar association rules 3 (1) This section applies to the bar association in relation to it making a 4 recommendation as mentioned in section 138(2). 5 (2) The bar association need not comply with section 140131 in relation to 6 a recommendation to make a rule that is a remaking of the bar association's 7 rules as in force immediately before the commencement of this section, 8 with only necessary changes, if the President of the bar association advises 9 the Minister in writing to that effect. 10 (3) This section expires 3 months after the commencement of this 11 section. 12 Division 6--Transitional provisions relating to ch 3 (Complaints, 13 investigation matters and discipline) 14 389 Complaints made to the council before commencement but 15 not finally dealt with before that time 16 (1) This section applies to a complaint made by a person to the council 17 within the meaning of the QLS Act, as mentioned in section 5E of that Act. 18 (2) If the complaint has not been withdrawn or finally dealt with in a way 19 mentioned in section 5J of that Act before the commencement of this 20 section, on that commencement the complaint is a complaint under this Act 21 and the commissioner may deal with it in a way that the commissioner 22 considers appropriate. 23 (3) For subsection (2), the council must give to the commissioner-- 24 (a) a copy of each complaint that has not been withdrawn or finally 25 dealt with in a way mentioned in section 5J of that Act before the 26 commencement of this section; and 27 130 Section 405 (Transitional regulation-making power) 131 Section 140 (Public notice of proposed legal profession rule)

 


 

s 390 219 s 391 Legal Profession Bill 2003 (b) if the commissioner, by written notice to the council, asks for a 1 copy of any other documents that the council possesses relating 2 to a particular complaint--a copy of those documents. 3 (4) The commissioner may refer a complaint to which this section 4 applies to the law society under section 182132 unless the complaint relates 5 to a government legal officer engaged in government work. 6 390 Complaints made to the legal ombudsman before commencement 7 but not finally dealt with before that time 8 (1) This section applies to a complaint made by a person to the legal 9 ombudsman within the meaning of the QLS Act, as mentioned in 10 section 6AF(1)(b) of that Act. 11 (2) If the complaint has not been finally dealt with before the 12 commencement of this section, on that commencement the complaint is a 13 complaint under this Act and the commissioner may deal with it in a way 14 that the commissioner considers appropriate. 15 391 Basis of complaint mentioned in ss 173 or 390(2) 16 (1) This section applies to the following-- 17 (a) a complaint made after the commencement of this section in 18 relation to conduct before that commencement of an Australian 19 lawyer or a law practice employee; 20 (b) a complaint mentioned in section 390(2). 21 (2) The complaint is to be dealt with under this Act. 22 (3) For subsection (2), in relation to the conduct of an Australian lawyer 23 who was a solicitor at the time the conduct happened, references in this Act 24 to unsatisfactory professional conduct and professional misconduct are to 25 be read as if they were defined as follows-- 26 "professional misconduct" means professional misconduct or malpractice 27 within the meaning of the QLS Act. 28 "unsatisfactory professional conduct" means unprofessional conduct or 29 practice within the meaning of the QLS Act. 30 132 Section 182 (Referral by commissioner to law society or bar association)

 


 

s 392 220 s 392 Legal Profession Bill 2003 (4) For subsection (2), in relation to the conduct of an Australian lawyer 1 who was a barrister at the time the conduct happened, references in this Act 2 to unsatisfactory professional conduct and professional misconduct are to 3 be read as if they were defined as follows-- 4 "professional misconduct" means professional misconduct according to 5 the law applied by the Supreme Court when exercising its inherent 6 jurisdiction to deal with the conduct of a barrister before the 7 commencement of this section. 8 "unsatisfactory professional conduct" means unsatisfactory professional 9 conduct according to the law applied by the Supreme Court when 10 exercising its inherent jurisdiction to deal with the conduct of a 11 barrister before the commencement of this section. 12 Division 7--Transitional provisions relating to ch 4 (Establishment of 13 entities for this Act, and related matters) 14 392 Proceedings mentioned in s 5D(5) of Queensland Law Society 15 Act 1952 16 (1) If, before the commencement of this section, the council of the 17 society had instituted an action, complaint, information or proceeding 18 under the QLS Act, section 5D(1), or proceedings under section 5D(2) of 19 that Act, and the action, complaint, information or proceeding has not been 20 finally dealt with before the commencement of this section, on that 21 commencement the council must continue to deal with it unless this Act 22 otherwise provides. 23 (2) Subsection (3) applies if, immediately before the commencement of 24 this section, the council of the society may have instituted an action, 25 complaint, information or proceeding under the QLS Act, section 5D(1), or 26 proceedings under section 5D(2) of that Act but, after that commencement, 27 can not do so. 28 (3) The commissioner may institute the action, complaint, information or 29 proceeding under this Act in the way the commissioner considers 30 appropriate. 31

 


 

s 393 221 s 396 Legal Profession Bill 2003 Division 8--Transitional provisions relating to the Legal Practitioners 1 Act 1995 2 393 Main purposes of ch 6, pt 5, div 8 3 The main purposes of this division is to provide for-- 4 (a) the expiry or repeal of provisions of the Legal Practitioners Act at 5 different times in a way that integrates with the commencement 6 of provisions of this Act; and 7 (b) provides for transitional provisions relating to provisions of the 8 Legal Practitioners Act that are repealed. 9 394 Expiry of particular provisions of the Legal Practitioners Act 10 (1) On the commencement of this section, the Legal Practitioners Act, 11 sections 19, 20, 43, 45 and 46 expire. 12 (2) On the commencement of this section, the Legal Practitioners Act, 13 sections 18, 41, 42, 56, 57 and 59 expire. 14 (3) On the commencement of section 39,133 the Legal Practitioners Act, 15 section 44 expires. 16 395 Amendment and relocation of s 58 of the Legal Practitioners Act 17 (1) Schedule 2 amends the Legal Practitioners Act, section 58 and 18 relocates that provision to schedule 3 of this Act. 19 (2) Section 58 as amended and relocated to schedule 3 of this Act has 20 effect as a provision of this Act. 21 396 Accounts kept by society under s 51 22 (1) This section applies to the accounts kept by the society as required 23 under the Legal Practitioners Act, section 51(11) ("section 51 accounts"). 24 (2) On 1 July 2004, the section 51 accounts and any investment of 25 moneys from those accounts vest in the chief executive for the purposes of 26 chapter 2, part 6. 27 133 Section 39 (Main purposes of ch 2, pt 4)

 


 

s 397 222 s 398 Legal Profession Bill 2003 (3) For the Financial Administration and Audit Act 1977, section 51 1 accounts vested in the chief executive are not held for the State. 2 (4) A regulation under section 405134 may provide for arrangements 3 between the society and the chief executive for subsection (2), including 4 matters to be done by the society to ensure that a financial institution at 5 which a section 51 account is kept does all that is necessary to give effect to 6 subsection (2). 7 (5) When a section 51 account vests in the chief executive, for this Act, it 8 is a prescribed account for the person to whom the account relates. 9 (6) On the commencement of this section, the Legal Practitioners Act, 10 part 7 expires. 11 397 Repeal of remaining provisions of Legal Practitioners Act 12 The Legal Practitioners Act is repealed. 13 398 References to Legal Practitioners Act and related matters 14 (1) In an Act or document, a reference to the Legal Practitioners Act 15 1995 may, if the context permits, be taken to be a reference to this Act. 16 (2) A reference in an Act, other than an Act amended by this Act, to any 17 of the following may, if the context permits, be read as a reference to an 18 Australian lawyer-- 19 (a) legal practitioner; 20 (b) solicitor; 21 (c) solicitor and barrister; 22 (d) barrister; 23 (e) counsel; 24 (f) lawyer. 25 (3) However if, under that reference, an individual is entitled to engage 26 in legal practice in this jurisdiction, the reference is to be read subject to 27 sections 20 and 21 of this Act and the individual must be an Australian 28 legal practitioner who may engage in legal practice in this jurisdiction or a 29 government legal officer engaged in government work. 30 134 Section 405 (Transitional regulation-making power)

 


 

s 399 223 s 401 Legal Profession Bill 2003 (4) Subsection (3) does not affect the appointment of a individual before 1 the commencement of this subsection if the appointment was valid when 2 made. 3 399 References to other Acts etc. 4 (1) This section applies to an Act or document that refers to an Act 5 mentioned in the Legal Practitioners Act, section 62(1) or (2) as in force 6 immediately before the commencement of this section (a "previous Act"). 7 (2) To the extent that section 62(1) or (2) had effect in relation to an Act 8 or document and a previous Act was taken to refer to a corresponding 9 provision of the Legal Practitioners Act, the Act or document is taken to 10 refer to a corresponding provision of this Act. 11 400 Appeals under Legal Practitioners Act 12 (1) This section applies if a person may appeal in relation to a matter 13 under the Legal Practitioners Act. 14 (2) An appeal started, but not decided, before the commencement of this 15 section, may be dealt with or continue to be dealt with under the Legal 16 Practitioners Act. 17 (3) A decision that could have been appealed except for the repeal of the 18 Legal Practitioners Act may be the subject of an appeal under this Act to 19 the Supreme Court. 20 (4) For an appeal under this section, the Supreme Court may give 21 directions about the way in which the appeal is to proceed. 22 Division 9--Transitional provisions relating to the Queensland Law 23 Society Act 1952 24 401 Main purposes of ch 6, pt 5, div 9 25 The main purposes of this division are to provide for-- 26 (a) the expiry or repeal of provisions of the QLS Act at different 27 times in a way that integrates with the commencement of 28 provisions of this Act; and 29 (b) transitional provisions relating to provisions of the QLS Act that 30 are repealed. 31

 


 

s 402 224 s 404 Legal Profession Bill 2003 402 Repeals relating to solicitors complaints tribunal under QLS Act 1 (1) The QLS Act, part 2A, divisions 1, 2, 3, 4, 5 and 6, sections 6AC, 2 6AD and 6ADA are repealed. 3 (2) The members of the solicitors complaints tribunal under the QLS Act 4 stop holding office as members of the tribunal despite section 6AC135 of 5 that Act. 6 (3) The members of the solicitors complaints tribunal are not entitled to 7 any payments, remuneration or allowances for a period after the members 8 stop holding office. 9 (4) The person who is the clerk of the solicitors complaints tribunal 10 immediately before the repeal must, immediately before that repeal, give 11 all documents held at that time by the clerk or tribunal to the commissioner. 12 (5) A regulation may provide for how the commissioner must deal with 13 the documents given to the commissioner under subsection (4) to protect 14 confidentiality, including creating an offence for unauthorised disclosures. 15 403 Repeals relating to legal ombudsman under the QLS Act 16 (1) The QLS Act, part 2B is repealed. 17 (2) On the repeal, the legal ombudsman goes out of office despite 18 section 6AJ136 of the QLS Act. 19 (3) The legal ombudsman is not entitled to any payments, remuneration 20 or allowances for a period after the ombudsman goes out of office. 21 (4) The legal ombudsman must, immediately before that repeal, give all 22 documents held at that time by the ombudsman to the commissioner. 23 (5) A regulation may provide for how the commissioner must deal with 24 the documents given to the commissioner under subsection (4) to protect 25 confidentiality, including creating an offence for unauthorised disclosures. 26 404 Further amendment of QLS Act 27 Schedule 4 further amends the Queensland Law Society Act 1952. 28 135 Queensland Law Society Act 1952, section 6AC (Duration of appointment) 136 Queensland Law Society Act 1952, section 6AJ (Duration of appointment)

 


 

s 405 225 s 405 Legal Profession Bill 2003 Division 10--Regulation-making power for transitional purposes 1 405 Transitional regulation-making power 2 (1) A regulation (a "transitional regulation") may make provision of a 3 saving or transitional nature-- 4 (a) for which it is necessary to make provision to allow or facilitate 5 the doing of anything to achieve-- 6 (i) the transition from the operation of the Legal Practitioners 7 Act, and the QLS Act, before the commencement of this 8 section to the operation of this Act and those Acts after that 9 commencement; or 10 (ii) the application to an incorporated legal practice, a lawyer 11 director of the legal practice, or a qualified employee or law 12 practice employee of the legal practice who is engaged in 13 providing legal services for the legal practice, of provisions 14 of this Act, the Queensland Law Society Act 1952 and the 15 Trust Accounts Act 1973; and 16 (b) for which this Act does not make provision or sufficient 17 provision. 18 (2) Without limiting subsection (1)(a)(ii), a regulation may be made 19 about the application, with or without changes, of the provisions of this Act 20 relating to the following-- 21 (a) professional indemnity insurance; 22 (b) legal fees and costs; 23 (c) trust accounts and prescribed accounts; 24 (d) the fidelity fund, including the application of the provisions to 25 interstate legal practitioners who engage in legal practice in the 26 jurisdiction. 27 (3) A transitional regulation may have retrospective operation to a day 28 not earlier than the commencement of this section. 29 (4) A transitional regulation must declare it is a transitional regulation. 30 (5) This section and any transitional regulation expire 1 year after the 31 commencement of this section. 32

 


 

226 Legal Profession Bill 2003 SCHEDULE 1 1 ACTS AMENDED 2 section 379 3 ACTS INTERPRETATION ACT 1954 4 1 Section 36, definition "lawyer", `State.'-- 5 omit, insert-- 6 `State.137'. 7 CRIMINAL LAW (REHABILITATION OF OFFENDERS) 8 ACT 1986 9 1 Section 9A, table, column 1, item 20, from `barrister'-- 10 omit, insert-- 11 `legal practitioner under the admission rules made under the Supreme 12 Court of Queensland Act 1991, section 118.'. 13 2 Section 9A, table, item 22-- 14 omit. 15 137 See the Legal Profession Act 2003, section 398 (References to Legal Practitioners Act and related matters).

 


 

227 Legal Profession Bill 2003 SCHEDULE 1 (continued) 3 Section 9A, table-- 1 insert-- 2 `24. An applicant for the grant of 24. Contraventions of any law a practising certificate under whether committed in the Legal Profession Queensland or elsewhere. Act 2003. 25. An applicant for the renewal 25. Contraventions of any law of a practising certificate whether committed in under the Legal Profession Queensland or elsewhere.'. Act 2003, that is the first application for the renewal of the certificate under that Act. DIRECTOR OF PUBLIC PROSECUTIONS ACT 1984 3 1 Section 4-- 4 insert-- 5 ` "Australian lawyer" see the Legal Profession Act 2003, schedule 5. 6 "lawyer" means an Australian lawyer who, under the Legal Profession Act 7 2003, may engage in legal practice in this State.'. 8 2 Section 5(1A), `a lawyer'-- 9 omit, insert-- 10 `an Australian lawyer'. 11 3 Section 8-- 12 omit. 13

 


 

228 Legal Profession Bill 2003 SCHEDULE 1 (continued) 4 Section 10(3), `by counsel or solicitor'-- 1 omit, insert-- 2 `by a lawyer'. 3 5 Section 17, `a lawyer'-- 4 omit, insert-- 5 `an Australian lawyer'. 6 6 Section 23(1)(a), from `barristers' to `Court'-- 7 omit, insert-- 8 `Australian lawyers'. 9 DISTRICT COURT OF QUEENSLAND ACT 1967 10 1 Section 3-- 11 insert-- 12 ` "Australian lawyer" see the Legal Profession Act 2003, schedule 5. 13 "incorporated legal practice" see the Legal Profession Act 2003, 14 schedule 5. 15 "lawyer" means an Australian lawyer who, under the Legal Profession Act 16 2003, may engage in legal practice in this State.'. 17 2 Section 13-- 18 omit, insert-- 19 `13 Judge not to practice as lawyer, etc 20 `A judge must not-- 21 (a) practise as a lawyer or notary; or 22

 


 

229 Legal Profession Bill 2003 SCHEDULE 1 (continued) (b) directly or indirectly be concerned or interested in the practice of 1 a person mentioned in paragraph (a) or an incorporated legal 2 practice.'. 3 3 Section 35A(2), `a lawyer'-- 4 omit, insert-- 5 `an Australian lawyer '.138 6 4 Section 48(1), `solicitor'-- 7 omit, insert-- 8 `a lawyer'. 9 5 Part 2, division 7, heading-- 10 omit, insert-- 11 `Division 7--Lawyers and agents'. 12 6 Section 52, heading, `barrister, or solicitor'-- 13 omit, insert-- 14 `lawyer'. 15 7 Section 52(1), `or by a barrister or solicitor'-- 16 omit, insert-- 17 `, by a lawyer,'. 18 138 Legal Profession Act 2003, chapter 2 (Engaging in legal practice), part 3 (Admission of local legal practitioners)

 


 

230 Legal Profession Bill 2003 SCHEDULE 1 (continued) 8 Section 52(2), `barrister or solicitor of the Supreme Court, shall 1 not be'-- 2 omit, insert-- 3 `lawyer, is not'. 4 9 Sections 72(1) and 120, `solicitors'-- 5 omit, insert-- 6 `lawyers'. 7 JUSTICES ACT 1886 8 1 Section 4-- 9 insert-- 10 ` "incorporated legal practice" see the Legal Profession Act 2003, 11 schedule 5. 12 "lawyer" means an Australian lawyer who, under the Legal Profession Act 13 2003, may engage in legal practice in this State.'. 14 2 Section 23D(2) and (5), `counsel, solicitor'-- 15 omit, insert-- 16 `lawyer'. 17 3 Section 23D(4), `counsel, solicitors,'-- 18 omit, insert-- 19 `lawyers'. 20 4 Section 23E(1)(a) and (1A), `counsel, solicitors'-- 21 omit, insert-- 22 `lawyers'. 23

 


 

231 Legal Profession Bill 2003 SCHEDULE 1 (continued) 5 Section 42(1), `counsel or solicitor'-- 1 omit, insert-- 2 `lawyer'. 3 6 Section 53(2)(b)-- 4 omit, insert-- 5 `(b) the justice who issued the summons was at the date of its issue, 6 the complainant's lawyer, that lawyer's partner, or an employee 7 of either of them, or a lawyer, director or employee of an 8 incorporated legal practice that represented the complainant.'. 9 7 Section 70(3), from `counsel'-- 10 omit, insert-- 11 `defendant's lawyer.'. 12 8 Part 4, division 8, heading, `counsel or solicitor'-- 13 omit, insert-- 14 `lawyer'. 15 9 Section 72, heading-- 16 omit, insert-- 17 `72 Lawyer'. 18 10 Section 72, `counsel or solicitor'-- 19 omit, insert-- 20 `lawyer'. 21

 


 

232 Legal Profession Bill 2003 SCHEDULE 1 (continued) 11 Section 84(2), `counsel or a solicitor'-- 1 omit, insert-- 2 `a lawyer'. 3 12 Section 88(1)(a), `counsel, solicitors'-- 4 omit, insert-- 5 `lawyers'. 6 13 Sections 103A(1)(b) and (2A)(a), 104A(1), `counsel or solicitor'-- 7 omit, insert-- 8 `lawyer'. 9 14 Section 104(1)(b), `counsel and solicitor'-- 10 omit, insert-- 11 `lawyer'. 12 15 Section 110A(4), `counsel or a solicitor'-- 13 omit, insert-- 14 `a lawyer'. 15 16 Section 110A(6)(b), `counsel or the solicitor'-- 16 omit, insert-- 17 `the lawyer'. 18 17 Section 110A(9) and (10), `counsel or the solicitor for the 19 defendant'-- 20 omit, insert-- 21 `the defendant's lawyer'. 22

 


 

233 Legal Profession Bill 2003 SCHEDULE 1 (continued) 18 Section 111(3)(b), `counsel or solicitor'-- 1 omit, insert-- 2 `lawyer'. 3 19 Section 140(2), `solicitor'-- 4 omit, insert-- 5 `lawyer'. 6 20 Section 141, `counsel, or solicitor'-- 7 omit, insert-- 8 `lawyer'. 9 21 Sections 142(6) and 142A(12), `on the defendant's behalf by 10 counsel or solicitor'-- 11 omit, insert-- 12 `the defendant's lawyer'. 13 22 Section 144, `counsel or solicitor'-- 14 omit, insert-- 15 `their lawyers'. 16 23 Section 146A(2), `solicitor'-- 17 omit, insert-- 18 `lawyer'. 19 24 Section 147, `counsel or solicitor'-- 20 omit, insert-- 21 `a lawyer'. 22

 


 

234 Legal Profession Bill 2003 SCHEDULE 1 (continued) JUSTICES OF THE PEACE AND COMMISSIONERS 1 FOR DECLARATIONS ACT 1991 2 1 Section 3, definition "legal practitioner"-- 3 omit. 4 2 Section 3-- 5 insert-- 6 ` "Australian lawyer" see the Legal Profession Act 2003, schedule 5.'. 7 3 Section 16(2), `a lawyer'-- 8 omit, insert-- 9 `an Australian lawyer'. 10 4 Section 19(2)(c) and (d), `a legal practitioner'-- 11 omit, insert-- 12 `an Australian lawyer'. 13 JUVENILE JUSTICE ACT 1992 14 1 Sections 34(1)(c)(i) and (f)(i), 73(a) and (b), 79, 82(b), 85(b), 98(1), 15 98(5)(a) and (b), 104(2), 105(a) and (b), 153(1)(b) and (2), 16 185(4)(a), 275, 276, 295(2)(e) and 308(3), `lawyer'-- 17 omit, insert-- 18 `lawyer'. 19 2 Schedule 4, definition "lawyer"-- 20 omit, insert-- 21 ` "lawyer" means-- 22

 


 

235 Legal Profession Bill 2003 SCHEDULE 1 (continued) (a) an Australian lawyer who, under the Legal Profession Act 2003, 1 may engage in legal practice in this State; or 2 (b) a person mentioned in section 308(2) acting for a party.139'. 3 3 Schedule 4, definition "legal representation", `legal 4 practitioner'-- 5 omit, insert-- 6 `lawyer'. 7 LAND SALES ACT 1984 8 1 Section 11(1)(a) and (aa)-- 9 omit, insert-- 10 `(a) a law practice; or'. 11 2 Section 11(4), `solicitor or firm of solicitors'-- 12 omit, insert-- 13 `law practice'. 14 3 Section 11-- 15 insert-- 16 `(5) In this section-- 17 "law practice" means a law practice within the meaning of the Legal 18 Profession Act 2003, schedule 5 if the law practice is constituted by, or 19 has a partner or a lawyer director who is, a solicitor. 20 "solicitor" see the Trust Accounts Act 1973, section 4.'. 21 139 Section 308 (Proceeding for offence)

 


 

236 Legal Profession Bill 2003 SCHEDULE 1 (continued) 4 Section 23(1)(a) and (aa)-- 1 omit, insert-- 2 `(a) a law practice; or'. 3 5 Section 23(5), `a solicitor or firm of solicitors'-- 4 omit, insert-- 5 `a law practice'. 6 6 Section 23-- 7 insert-- 8 `(6) In this section-- 9 "law practice" means a law practice within the meaning of the Legal 10 Profession Act 2003, schedule 5 if the law practice is constituted by, or 11 has a partner or a lawyer director who is, a solicitor. 12 "solicitor" see the Trust Accounts Act 1973, section 4.'. 13 LAND TITLE ACT 1994 14 1 Sections 11(1)(b), 161(3A), 189(1)(b) and 189(1A), first mention, 15 `solicitor'-- 16 omit, insert-- 17 `lawyer'. 18 2 Section 22(1)(e), `legal practitioner enrolled in Queensland or 19 elsewhere'-- 20 omit, insert-- 21 `lawyer'. 22

 


 

237 Legal Profession Bill 2003 SCHEDULE 1 (continued) 3 Section 189(1A), `solicitor for the person'-- 1 omit, insert-- 2 `the person's lawyer'. 3 4 Section 189(2), definition "indemnified solicitor"-- 4 omit, insert-- 5 ` "indemnified lawyer" means a lawyer covered by indemnity insurance 6 (however described) under the Queensland Law Society Act 1952 or a 7 law of another State that corresponds to the provisions of the 8 Queensland Law Society Act 1952 about indemnity insurance.'. 9 5 Schedule 2-- 10 insert-- 11 ` "lawyer" means an Australian lawyer who, under the Legal Profession 12 Act 2003, may engage in legal practice in this State.'. 13 LEGAL AID QUEENSLAND ACT 1997 14 1 Section 45(4), `Legal Practitioners Act 1955, section 51'-- 15 omit, insert-- 16 `Legal Profession Act 2003, chapter 2, part 6, division 2140'. 17 2 Section 45(4), `in section 51'-- 18 omit, insert-- 19 `in that division'. 20 140 Legal Profession Act 2003, chapter 2 (Engaging in legal practice), part 6 (Financial arrangements for those who may engage in legal practice in this jurisdiction), division 2 (Prescribed accounts)

 


 

238 Legal Profession Bill 2003 SCHEDULE 1 (continued) 3 Section 45(6), from `with'-- 1 omit, insert-- 2 `under the Legal Profession Act 2003, chapter 2, part 6, division 3.'. 3 4 Section 73, heading, `solicitors firm'-- 4 omit, insert-- 5 `law firm'. 6 5 Section 73(a), `firm of solicitors'-- 7 omit, insert-- 8 `law firm'. 9 6 Section 76(3), from `only if'-- 10 omit, insert-- 11 `only if he or she is a lawyer.'. 12 7 Section 76-- 13 insert-- 14 `(6) A Legal Aid lawyer performing functions of a lawyer under this Act 15 is a government legal officer engaged in government work under the Legal 16 Profession Act 2003.141 17 `(7) However, the Legal Profession Act 2003, section 173(2)142 does not 18 apply to a Legal Aid lawyer.'. 19 141 See the Legal Profession Act 2003, section 9 (Meaning of "government legal officer" and related matters). 142 Under the Legal Profession Act 2003, section 173(2) (Making a complaint) a complaint about a government legal officer may, generally speaking, only be made by the law society, the bar association or the chief executive of the department or agency in which the legal officer is employed.

 


 

239 Legal Profession Bill 2003 SCHEDULE 1 (continued) 8 Section 77-- 1 omit, insert-- 2 `77 Application of Queensland Law Society Act 1952 and Legal 3 Profession Act 2003 to Legal Aid lawyers 4 `(1) The provisions of the Queensland Law Society Act 1952 regulating 5 the way in which complaints against solicitors for malpractice, professional 6 misconduct or unprofessional conduct or practice may be investigated and 7 dealt with, apply to a Legal Aid lawyer if the complaint is, after the 8 commencement of the Legal Profession Act 2003, chapter 3, to be dealt 9 with by the Solicitors Complaints Tribunal under the Queensland Law 10 Society Act 1952.143 11 `(2) The provisions of the Legal Profession Act 2003 regulating the way 12 in which complaints against Australian lawyers for unsatisfactory 13 professional conduct or professional misconduct may be investigated and 14 dealt with, apply to a Legal Aid lawyer in the same way as that Act applies 15 to Australian lawyers within the meaning of the Act.'. 16 9 Section 78, `section 73(b)'-- 17 insert-- 18 `section 73(b) and 76(1)(b)'. 19 10 Section 79, heading, `Solicitor'-- 20 omit, insert-- 21 `Lawyer'. 22 11 Section 79(1) and (2), `solicitor'-- 23 omit, insert-- 24 `lawyer'. 25 143 See the Queensland Law Society Act 1952, section 5EA (Complaints after commencement).

 


 

240 Legal Profession Bill 2003 SCHEDULE 1 (continued) 12 Section 82(5)(a), (b), (c) and (d)-- 1 omit, insert-- 2 `(a) an entity that has functions under the Legal Profession Act 2003 3 for the purposes of that entity performing a function or exercising 4 a power under that Act, including, for example, the following-- 5 · Queensland Law Society Incorporated; 6 · Bar Association of Queensland; 7 · Legal Services Commissioner; 8 · Legal Practitioners Admissions Board; 9 · Legal Practice Tribunal; 10 · Legal Practice Committee;'. 11 13 Section 82(5)(e) to (h)-- 12 renumber as section 82(5)(b) to (e). 13 14 Schedule, definitions "Legal aid lawyer" and "private lawyer", `a 14 lawyer'-- 15 omit, insert-- 16 `an Australian legal practitioner'. 17 15 Schedule-- 18 insert-- 19 ` "Australian legal practitioner" see the Legal Profession Act 2003, 20 schedule 5. 21 "barrister" see the Legal Profession Act 2003, section 7.144 22 "law firm" see the Legal Profession Act 2003, schedule 5. 23 144 Legal Profession Act 2003, section 7 (Meaning of "barrister")

 


 

241 Legal Profession Bill 2003 SCHEDULE 1 (continued) "lawyer" means an Australian lawyer who, under the Legal Profession Act 1 2003, may engage in legal practice in this State. 2 "solicitor" see the Legal Profession Act 2003, section 8.145'. 3 MAGISTRATES COURTS ACT 1921 4 1 Section 2-- 5 insert-- 6 ` "lawyer" means an Australian lawyer who, under the Legal Profession 7 Act 2003, may engage in legal practice in this State.'. 8 2 Sections 4A(2)(b) and 45(2)(b), `solicitors'-- 9 omit, insert-- 10 `lawyers'. 11 3 Section 18, heading, `barrister, or solicitor'-- 12 omit, insert-- 13 `lawyer'. 14 4 Section 18(1), `barrister or solicitor'-- 15 omit, insert-- 16 `lawyer'. 17 5 Section 18(2), `barrister or solicitor of the Supreme Court shall 18 not be'-- 19 omit, insert-- 20 `lawyer is not'. 21 145 Legal Profession Act 2003, section 8 (Meaning of "solicitor")

 


 

242 Legal Profession Bill 2003 SCHEDULE 1 (continued) 6 Section 45(3), `solicitor'-- 1 omit, insert-- 2 `lawyer'. 3 PROPERTY AGENTS AND MOTOR DEALERS 4 ACT 2000 5 1 Section 372(1)(b)-- 6 omit, insert-- 7 `(b) a solicitor within the meaning of the Trusts Act 1973, section 4; 8 or'. 9 2 Section 578(2), from `Legal Practitioners Act 1995'-- 10 omit, insert-- 11 `Legal Profession Act 2003, sections 20 or 21.146'. 12 3 Schedule 2-- 13 insert-- 14 ` "lawyer" means an Australian lawyer who, under the Legal Profession 15 Act 2003, may engage in legal practice in this State.'. 16 RETAIL SHOP LEASES ACT 1994 17 1 Section 5-- 18 insert-- 19 ` "Australian lawyer" see the Legal Profession Act 2003, schedule 5. 20 146 Legal Profession Act 2003, sections 20 (Prohibition on engaging in legal practice when not entitled) or 21 (Prohibition on representing or advertising entitlement to engage in legal practice when not entitled)

 


 

243 Legal Profession Bill 2003 SCHEDULE 1 (continued) "lawyer" means an Australian lawyer who, under the Legal Profession Act 1 2003, may engage in legal practice in this State.'. 2 2 Section 22D(4)(b), `barrister or solicitor who is admitted to 3 practise in Queensland'-- 4 omit, insert-- 5 `lawyer'. 6 3 Section 22D(4)(c), `barrister or solicitor'-- 7 omit, insert-- 8 `lawyer'. 9 4 Section 102(a)(ii), `lawyers'-- 10 omit, insert-- 11 `Australian lawyers'. 12 SUPREME COURT ACT 1995 13 1 Sections 134 and 139(2), `solicitor'-- 14 omit, insert-- 15 `lawyer'. 16 2 Section 134-- 17 insert-- 18 `(2) In this section-- 19 "lawyer" means an Australian lawyer who, under the Legal Profession Act 20 2003, may engage in legal practice in this State.'. 21

 


 

244 Legal Profession Bill 2003 SCHEDULE 1 (continued) 3 Section 139-- 1 insert-- 2 `(3) In this section-- 3 "lawyer" means an Australian lawyer who, under the Legal Profession Act 4 2003, may engage in legal practice in this State.'. 5 4 Section 208, `barrister or barristers'-- 6 omit, insert-- 7 `lawyers'. 8 5 Section 208-- 9 insert-- 10 `(2) In this section-- 11 "lawyer" means an Australian lawyer who, under the Legal Profession Act 12 2003, may engage in legal practice in this State.'. 13 6 Section 209, heading, `barrister or solicitor'-- 14 omit, insert-- 15 `lawyer'. 16 7 Section 209(1), `barrister or solicitor'-- 17 omit, insert-- 18 `lawyer,'. 19 8 Section 209(2), `barrister or solicitor of the Supreme Court shall 20 not be'-- 21 omit, insert-- 22 `lawyer is not'. 23

 


 

245 Legal Profession Bill 2003 SCHEDULE 1 (continued) 9 Section 209(3)-- 1 insert-- 2 ` "lawyer" means an Australian lawyer who, under the Legal Profession 3 Act 2003, may engage in legal practice in this State.'. 4 10 Section 211(11), `barrister, solicitor', first mention-- 5 omit, insert-- 6 `lawyer'. 7 11 Section 211(11), `barrister, solicitor or notary'-- 8 omit, insert-- 9 `lawyer or notary or the legal practice of an incorporated legal practice'. 10 12 Section 211-- 11 insert-- 12 `(18) In this section-- 13 "incorporated legal practice" see the Legal Profession Act 2003, 14 schedule 5. 15 "lawyer" means an Australian lawyer who, under the Legal Profession Act 16 2003, may engage in legal practice in this State.'. 17 13 Section 219, `such attorneys solicitors and practitioners'-- 18 omit, insert-- 19 `lawyers'. 20 14 Section 219-- 21 insert-- 22 `(2) In this section-- 23

 


 

246 Legal Profession Bill 2003 SCHEDULE 1 (continued) "lawyer" means an Australian lawyer who, under the Legal Profession Act 1 2003, may engage in legal practice in this State.'. 2 15 Section 261(1), `counsel or solicitor'-- 3 omit, insert-- 4 `lawyer'. 5 16 Section 261-- 6 insert-- 7 `(4) In this section-- 8 "lawyer" means an Australian lawyer who, under the Legal Profession Act 9 2003, may engage in legal practice in this State.'. 10 17 Section 291(2), `solicitors'-- 11 omit, insert-- 12 `lawyers'. 13 18 Section 291-- 14 insert-- 15 `(4) In this section-- 16 "lawyer" means an Australian lawyer who, under the Legal Profession Act 17 2003, may engage in legal practice in this State.'. 18 SUPREME COURT LIBRARY ACT 1968 19 1 Section 2, definitions "Barristers' Board" and "Solicitors' 20 Board"-- 21 omit. 22

 


 

247 Legal Profession Bill 2003 SCHEDULE 1 (continued) 2 Section 4(4)(c)-- 1 omit, insert-- 2 `(c) does not hold a local practising certificate, or has a practising 3 certificate that is suspended, under the Legal Profession 4 Act 2003.'. 5 3 Section 11, heading, from `from'-- 6 omit, insert-- 7 `relating to admission and examinations'. 8 4 Section 11(1), from `received' to `shall'-- 9 omit, insert-- 10 `must'. 11 5 Section 11(2)-- 12 omit. 13 SUPREME COURT OF QUEENSLAND ACT 1991 14 1 Section 118(1)(b), `barristers or solicitors;'-- 15 omit, insert-- 16 `legal practitioners;147'. 17 2 Section 118-- 18 insert-- 19 `(2A) The rules of court for the admission of legal practitioners may 20 make provision of a saving or transitional nature for which it is necessary 21 147 See the Legal Profession Act 2003, section 23 (Main purpose of ch 2, pt 3).

 


 

248 Legal Profession Bill 2003 SCHEDULE 1 (continued) to make provision to allow or facilitate the doing of anything to achieve the 1 transition from the operation of-- 2 (a) the rules applying immediately before the commencement of the 3 Legal Profession Act 2003, section 23148 to the operation of that 4 Act after the commencement; and 5 (b) other matters about admission dealt with under the Legal 6 Practitioners Act 1995 before the commencement of the Legal 7 Profession Act 2003, section 23149 to the operation of Legal 8 Profession Act 2003 after the commencement.'. 9 3 Schedule 1, section 23(d), `solicitors'-- 10 omit, insert-- 11 `lawyers'. 12 4 Schedule 1, section 24(c), `practitioners' '-- 13 omit, insert-- 14 `lawyers' '. 15 5 Schedule 2-- 16 insert-- 17 ` "lawyer" means an Australian lawyer who, under the Legal Profession 18 Act 2003, may engage in legal practice in this State.'. 19 TRUST ACCOUNTS ACT 1973 20 1 Section 4-- 21 insert-- 22 148 Legal Profession Act 2003, section 23 (Main purpose of ch 2, pt 3) 149 Legal Profession Act 2003, section 23 (Main purpose of ch 2, pt 3)

 


 

249 Legal Profession Bill 2003 SCHEDULE 1 (continued) ` "Australian legal practitioner" has the meaning given by the Legal 1 Profession Act 2003, section 6.150'. 2 2 Section 4, definition "solicitor"-- 3 omit, insert-- 4 ` "solicitor" means an Australian legal practitioner to whom section 4F 5 applies.151'. 6 3 After section 4E-- 7 insert-- 8 `4F Application of Act to legal practitioners and trust moneys 9 `(1) This Act applies to the following trustees in relation to trust moneys 10 received by them in this State-- 11 (a) an Australian legal practitioner who has an office in this State, 12 whether or not the lawyer has an office in another State; 13 (b) an Australian legal practitioner who does not have an office in 14 any State at all. 15 `(2) This Act applies to the following trustees in relation to trust moneys 16 received by them in another State-- 17 (a) an Australian legal practitioner who has an office in this State and 18 in no other State; 19 (b) an Australian legal practitioner who has an office in this State and 20 in 1 or more other States but not in the State in which the trust 21 moneys were received, unless the moneys are dealt with under 22 the corresponding law of another State. 23 `(3) However, subsections (1) and (2) do not apply to-- 24 (a) persons or classes of persons prescribed under a regulation; or 25 (b) persons or classes of persons in circumstances prescribed under a 26 regulation; or 27 150 Legal Profession Act 2003, section 6 (Meaning of terms involving "lawyer") 151 Section 4F (Application of Act to solicitors and trust moneys)

 


 

250 Legal Profession Bill 2003 SCHEDULE 1 (continued) (c) kinds of trust moneys prescribed under a regulation; or 1 (d) kinds of trust moneys in circumstances prescribed under a 2 regulation. 3 `(4) A reference in this section to having an office in a State is a 4 reference to-- 5 (a) having, or practising law from, an office or business address in 6 the State; or 7 (b) being a partner or employee of a firm that has an office or 8 business address in the State. 9 `(5) For this Act, an Australian legal practitioner receives money when 10 the practitioner-- 11 (a) obtains possession or control of it directly; or 12 (b) obtains possession or control of it indirectly as a result of its 13 delivery to an associate of the practitioner; or 14 (c) is given a power enabling the practitioner to deal with it whether 15 alone or with an associate. 16 `(6) In this section-- 17 "associate" of an Australian legal practitioner means-- 18 (a) a partner of the practitioner; or 19 (b) an employee or agent of the practitioner. 20 "corresponding law" means a law of another State that corresponds to the 21 relevant provisions of this Act or, if a regulation is made declaring a 22 law of the other State that corresponds to this Act, the corresponding 23 law as declared for that other State.'. 24 4 Section 8(1)(b), from `Practitioners Act'-- 25 omit, insert-- 26 `Profession Act 2003, chapter 2, part 6, division 2; '. 152 27 152 Legal Profession Act 2003, chapter 2 (Engaging in legal practice), part 6 (Financial arrangements for those who may engage in legal practice in this jurisdiction), division 2 (Prescribed accounts)

 


 

251 Legal Profession Bill 2003 SCHEDULE 1 (continued) 5 Section 8(1)(c)(iii), `Legal Practitioners Act 1995, part 2' and 1 footnote-- 2 omit, insert-- 3 `Queensland Law Society Act 1952, part 4B153'. 4 6 Section 16(4)(c), from `Practitioners Act'-- 5 omit, insert-- 6 `Profession Act 2003, section 124.154'. 7 7 Section 24(2), `a an employee'-- 8 omit, insert-- 9 `an employee'. 10 8 Section 28B(2), `Queensland Law Society Act 1952, section 50A' 11 and footnote-- 12 omit, insert-- 13 `Legal Profession Act 2003, section 369 '. 155 14 9 Section 31(8)(a)-- 15 omit, insert-- 16 `(a) a solicitor; or'. 17 10 Section 34(1), from `trustee who is' to `Society Act 1952'-- 18 omit, insert-- 19 `solicitor'. 20 153 Queensland Law Society Act 1952, part 4B (Payment for work) 154 Legal Profession Act 2003, section 124 (Deposits to prescribed account) 155 Legal Profession Act 2003, section 369 (Duty of relevant entities to report suspected offences)

 


 

252 Legal Profession Bill 2003 SCHEDULE 1 (continued) 11 Section 35(1), from `trustee who is' to `Society Act 1952'-- 1 omit, insert-- 2 `solicitor'. 3

 


 

253 Legal Profession Bill 2003 SCHEDULE 2 1 AMENDMENTS OF LEGAL PRACTITIONERS ACT 2 1995, SECTION 58 3 section 395(1) 4 1 Section 58(1)(c)(ii), after `examinations'-- 5 insert-- 6 `before the commencement of the Legal Profession Act 2003, 7 section 401156'. 8 2 Section 58(1)(e)(i), `this part'-- 9 omit, insert-- 10 `this section'. 11 3 Section 58(1), `as a solicitor'-- 12 omit, insert-- 13 `as a legal practitioner'. 14 4 Section 58(2)(a)(iv) and (v)-- 15 omit, insert-- 16 `(iv) the department;'. 17 5 Section 58(3), `as a solicitor pursuant to'-- 18 omit, insert-- 19 `as a legal practitioner under'. 20 156 Section 401 (Main purposes of ch 6, pt 5, div 9)

 


 

254 Legal Profession Bill 2003 SCHEDULE 2 (continued) 6 Section 58(4)-- 1 omit, insert-- 2 `(4) The admission rules are subject to this section.'. 3 7 Section 58(5), `Legal Aid Act 1978' and footnote-- 4 omit, insert-- 5 `Legal Aid Queensland Act 1997'. 6 8 Section 58(5), from `is evidence'-- 7 omit, insert-- 8 `is evidence.'. 9 9 Section 58, as amended-- 10 relocate to schedule 3 of this Act. 11

 


 

255 Legal Profession Bill 2003 SCHEDULE 3 1 LEGAL PRACTITIONERS ACT 1995, SECTION 58 AS 2 AMENDED AND RELOCATED 3 section 395(1) 4

 


 

256 Legal Profession Bill 2003 SCHEDULE 4 1 AMENDMENT OF QUEENSLAND LAW SOCIETY 2 ACT 1952 3 section 404 4 1 Section 3, definition "legal ombudsman"-- 5 omit. 6 2 Section 3-- 7 insert-- 8 ` "Australian lawyer" see the Legal Profession Act, schedule 5. 9 "Australian legal practitioner" see the Legal Profession Act, schedule 5. 10 "Brisbane registrar" see the Legal Profession Act, schedule 5. 11 "clerk of the tribunal", for part 2A, division 6A, see section 6ZAA. 12 "commissioner" see the Legal Profession Act, schedule 5. 13 "costs assessor" see section 6ZAA. 14 "disciplinary body" see the Legal Profession Act, schedule 5. 15 "discipline application" see the Legal Profession Act, schedule 5. 16 "government legal officer" see the Legal Profession Act, schedule 5. 17 "incorporated legal practice" see the Legal Profession Act, schedule 5. 18 "lawyer director" see the Legal Profession Act, schedule 5. 19 "Legal Profession Act" means the Legal Profession Act 2003. 20 "Legal Profession Fund" means the Legal Practitioner Interest on Trust 21 Accounts Fund established under the Legal Profession Act, chapter 2, 22 part 6. 23 "legal profession rule" see the Legal Profession Act, schedule 5. 24 "local lawyer" see the Legal Profession Act, schedule 5. 25

 


 

257 Legal Profession Bill 2003 SCHEDULE 4 (continued) "local legal practitioner" means a local legal practitioner under the Legal 1 Profession Act who holds a current local practising certificate granted 2 or renewed by the law society under that Act, but does not include a 3 government legal officer engaged in government work. 4 "local roll" see the Legal Profession Act, schedule 5.'. 5 3 Part 1, after section 3B-- 6 insert-- 7 `3C Application of Act to local legal practitioners 8 `(1) A reference in this Act to any of the following may include a local 9 legal practitioner-- 10 (a) a practising practitioner; 11 (b) a practitioner; 12 (c) a solicitor. 13 `(2) Subsection (1) is subject to a provision that, after the 14 commencement of this section, states that a term mentioned in that 15 subsection is defined in a particular way for the provision or another 16 provision.'. 17 4 Section 4-- 18 insert-- 19 `(8) In this section-- 20 "tribunal" includes the Legal Practice Tribunal established under the 21 Legal Profession Act, section 248.157'. 22 5 Section 5(6), after `this Act,'-- 23 insert-- 24 `and the Legal Profession Act'. 25 157 Section 248 (Establishment, members and chairperson of tribunal)

 


 

258 Legal Profession Bill 2003 SCHEDULE 4 (continued) 6 Section 5A(1)(g), after `breach of any rule'-- 1 insert-- 2 `(other than a legal profession rule)'. 3 7 Section 5A(1)(hb)(ii), from `practitioner--'-- 4 omit, insert-- 5 `practitioner to the issue of a certificate that relates to any speciality 6 within practice as a solicitor or conveyancer is subject;' 7 8 Section 5A(1)(hc)-- 8 omit. 9 9 Section 5A(1)(hd), before `in whole or in part'-- 10 insert-- 11 `(other than a legal profession rule)'. 12 10 Section 5A-- 13 insert-- 14 `(7A) Despite subsection (7), after the commencement of this 15 subsection, the council may not refer a question to an entity mentioned in 16 that subsection but may, under the Legal Profession Act, make a complaint 17 to the commissioner about the failure.'. 18 11 Section 5A(12)(d)-- 19 omit. 20 12 After section 5A-- 21 insert-- 22

 


 

259 Legal Profession Bill 2003 SCHEDULE 4 (continued) `5AA No rules under section 5A(1) (hb), (hc) and (he) after 1 commencement 2 `(1) On and after the commencement of this section, the council must not 3 make rules for the purposes mentioned in section 5A(1)(hb), (hc) or (he). 4 `(2) Subsection (1) does not affect the validity of rules made for 1 or 5 more of those purposes before that commencement and in force 6 immediately before that commencement.'. 7 13 Section 5C-- 8 insert-- 9 `(2) In this section-- 10 "the tribunal" includes a disciplinary body.'. 11 14 Section 5D-- 12 insert-- 13 `(5) However, the council may not institute any action, complaint, 14 information or proceeding under subsection (1), or proceedings under 15 subsection (2), if the matter the subject of the action, complaint, 16 information or proceeding under subsection (1), or proceedings under 17 subsection (2), may be started under the Legal Profession Act.'. 18 15 After section 5E-- 19 insert-- 20 `5EA Complaints after commencement 21 `(1) Despite section 5E, after the commencement of this section, 22 complaints about Australian lawyers, or employees of Australian lawyers, 23 must be made under the Legal Profession Act. 24 `(2) However, subsection (1) does not prevent a complaint made under 25 section 5E(1) that has started to be heard by the tribunal under its rules 26 before the commencement of this section from being dealt with under this 27 Act.'. 28

 


 

260 Legal Profession Bill 2003 SCHEDULE 4 (continued) 16 Section 5K-- 1 omit. 2 17 Section 5N(1), after `this part'-- 3 insert-- 4 `, or the Legal Profession Act,'. 5 18 Part 2A, before division 1-- 6 insert-- 7 `Division 1A--Application of part after commencement 8 `5O Purpose of this division 9 `The purpose of this division is to provide for matters relating to the 10 tribunal on and after the commencement of this section. 11 `5P Application of part 12 `(1) If a hearing has, under the tribunal's rules, started in the tribunal on 13 or before the commencement of this section, it must continue to be dealt 14 with under this part. 15 `(2) However, for the application of this part to a hearing, a reference to 16 the legal ombudsman is to be taken as a reference to the commissioner. 17 `(3) If a hearing has not, under the tribunal's rules, started on or before 18 the commencement of this section, the commissioner may make a 19 discipline application under the Legal Profession Act to a disciplinary body 20 in relation to the matter the subject of the complaint under this Act.'. 21 19 Section 6R(1)(a) and (2), after `roll of solicitors'-- 22 insert-- 23 `or, if that roll is included in the local roll, the local roll'. 24

 


 

261 Legal Profession Bill 2003 SCHEDULE 4 (continued) 20 Section 6T-- 1 insert-- 2 `(4) This section is repealed on the commencement of the Legal 3 Profession Act, section 156.158'. 4 21 Part 2A, division 6A, before section 6ZA-- 5 insert-- 6 `6ZAA Definitions for div 6A 7 `In this division-- 8 "clerk of the tribunal" means the Brisbane registrar. 9 "cost assessor" means a person whose name, immediately before the 10 commencement of this definition, appeared on the tribunal's register 11 of costs assessors. 12 `6ZAB Clerk of tribunal to hand over register of assessors and related 13 document 14 `The person who is the clerk of the tribunal immediately before the 15 commencement of this section must give to the clerk of the tribunal after 16 the commencement the tribunal's register of costs assessors and all related 17 documents.'. 18 22 Section 6AA(3), `to the council or the legal ombudsman'-- 19 omit. 20 23 Part 3A, before section 36A-- 21 insert-- 22 158 Section 156 (Pre-emptory removal of local legal practitioner's name from local roll following removal in another jurisdiction)

 


 

262 Legal Profession Bill 2003 SCHEDULE 4 (continued) `Division 1--Preliminary 1 `36AA Relationship between divs 2 and 3 2 `(1) Division 2 is subject to division 3. 3 `(2) The purpose of division 3 is to close the funds established under 4 division 2 on the commencement of this section and to provide for matters 5 relating to the closures.'. 6 24 After section 36A-- 7 insert-- 8 `Division 2--Contribution fund and grants fund'. 9 25 Part 3A, after section 36R-- 10 insert-- 11 `Division 3--Closure of contribution fund and grants fund 12 `36S Closure of contribution fund and grants fund 13 `(1) On the commencement of this section-- 14 (a) the contribution fund and grants fund close; and 15 (b) all moneys that were part of the contribution fund and grants 16 fund become moneys of the Legal Profession Fund. 17 `(2) Despite the closures, entries may be made in the accounts for the 18 contribution fund and grant fund for transactions completed before the 19 commencement. 20 `36T Obligation of society to pay moneys to Legal Practitioner Interest 21 on Trust Accounts Fund 22 `(1) Under an arrangement with the chief executive, a total amount is 23 payable as an amount for the fund consisting of the amount of each of the 24 closing balances immediately before the commencement of this section for 25 the following-- 26

 


 

263 Legal Profession Bill 2003 SCHEDULE 4 (continued) (a) the contribution fund; 1 (b) the grants fund; 2 (c) the society's account called the Contributions Distribution 3 Account kept by the society for amounts distributed to it under 4 section 36E(b)(iii).159 5 `(2) For subsection (1), by the date stated in the arrangement or a later 6 date that the chief executive allows, the society must arrange for transfer of 7 the total amount to the account kept for the fund as mentioned in the Legal 8 Profession Act, section 126(3).160 9 `Division 4--Expiry of part 10 `36U Expiry 11 `This part expires 1 month after the commencement of this section.'. 12 26 Section 37-- 13 insert-- 14 `(2) After the commencement of this subsection, practising certificates 15 are to be issued under the Legal Profession Act.'. 16 27 Sections 38 and 39-- 17 omit. 18 28 Section 39A(1), (7), (8) and (9), after `sole practitioner'-- 19 insert-- 20 `before the commencement of the Legal Profession Act, section 405161'. 21 159 Section 36E (Distributions from contribution fund) 160 Legal Profession Act 2003, section 126 (Establishment of fund) 161 Legal Profession Act, section 405 (Transitional regulation-making power)

 


 

264 Legal Profession Bill 2003 SCHEDULE 4 (continued) 29 Section 39A(7), before `section 41(1)(f)-- 1 insert-- 2 `the repealed'. 3 30 Sections 40, 40A, 41, 41A and 41B-- 4 omit. 5 31 Section 42(8), `section 41B(2) and'-- 6 omit. 7 32 Section 44-- 8 insert-- 9 `(2) Subsection (1) does not apply to conduct happening after the 10 commencement of this subsection.'. 11 33 Section 50(2), definition "official"-- 12 insert-- 13 `(f) the commissioner or the staff of the commission; and 14 (g) an accountant, auditor or other professional consulted by the 15 commissioner.'. 16 34 Section 50-- 17 insert-- 18 `(5) If a provision of this Act that commences on or after the 19 commencement of this subsection provides that a person is to give 20 documents to the commissioner or the Brisbane registrar, the person must 21 comply with the provision despite anything to the contrary in this section. 22 `(6) In this section-- 23 "excluded mortgages" see section 24A(3). 24 "practitioner" includes the following-- 25

 


 

265 Legal Profession Bill 2003 SCHEDULE 4 (continued) (a) an Australian legal practitioner or an employee of the 1 practitioner; 2 (b) an incorporated legal practice or a lawyer director or employee of 3 the practice.'. 4 35 Section 50A-- 5 omit. 6 36 Schedule-- 7 omit. 8

 


 

266 Legal Profession Bill 2003 SCHEDULE 5 1 DICTIONARY 2 section 4 3 "administration rule" see section 144(3). 4 "admission rules" see section 24. 5 "applicant for admission" see section 24. 6 "application for admission" see section 28. 7 "approved form" see section 377. 162 8 "Australian lawyer" see section 5.163 9 "Australian legal practitioner" see section 6.164 10 "Australian roll" means the local roll or an interstate roll. 11 "bar association" means the Bar Association of Queensland 12 (ACN 009 717 739). 13 "barrister"-- 14 (a) for chapter 4, part 3--see section 269; and 15 (b) for chapter 4, part 5--see section 305; and 16 (c) otherwise--see section 7. 17 "barristers rule", for chapter 2, part 7, see section 133. 18 "board" means the Legal Practitioners Admissions Board established 19 under section 306. 20 "Brisbane registrar" means the registrar under the Supreme Court of 21 Queensland Act 1991 for the Brisbane Supreme Court district. 22 "certificate holder" means-- 23 (a) for a local practising certificate or an interstate practising 24 certificate--the individual who is named in the certificate as the 25 162 Section 377 (Approved forms) 163 Section 5 (Meaning of terms involving "lawyer") 164 Section 6 (Meaning of terms involving "legal practitioner")

 


 

267 Legal Profession Bill 2003 SCHEDULE 5 (continued) individual to whom the certificate has been granted or in relation 1 to whom the certificate has been renewed; or 2 (b) for a practising certificate that is cancelled--the individual who 3 was the holder of the certificate when it was in force. 4 "change" includes change by way of an addition, alteration, omission or 5 substitution. 6 "commission" see section 241. 7 "commissioner" means an individual holding the appointment of the 8 Legal Services Commissioner. 9 "commissioner of police", for chapter 5, part 1, see section 324. 10 "committee" means the Legal Practice Committee established under 11 section 270. 12 "committee member" means an individual holding an appointment to the 13 committee under section 271. 14 "compensation order", for chapter 3, part 6, see section 204. 15 "complaint" means a complaint made under section 173. 16 "conditions" means conditions, limitations or restrictions. 17 "conduct" means conduct whether consisting of an act or omission. 18 "consumer dispute" for chapter 3, part 3, see section 179. 19 "conviction" see section 12. 20 "corporation" see section 81. 21 "corresponding authority" means-- 22 (a) an entity with functions or powers under a corresponding law; or 23 (b) when used in the context of an entity with functions or powers 24 under this Act--an entity with corresponding functions or 25 powers under a corresponding law. 26 "corresponding law" means the following-- 27 (a) a law of another jurisdiction that corresponds to the relevant 28 provisions of this Act or, if a regulation is made declaring a law 29 of the other jurisdiction that corresponds to this Act, the law 30 declared under that regulation for that other jurisdiction; 31

 


 

268 Legal Profession Bill 2003 SCHEDULE 5 (continued) (b) if the term is used in relation to a matter that happened before the 1 commencement of the law of another jurisdiction that, under 2 paragraph (a), is the corresponding law for the jurisdiction, a 3 previous law applying to legal practice in the other jurisdiction. 4 "corresponding tribunal" means a court or tribunal in another jurisdiction 5 having functions and powers that include disciplining legal 6 practitioners in that jurisdiction that correspond to a disciplinary 7 body's functions and powers under this Act. 8 "costs assessor" see the Queensland Law Society Act 1952, section 3.165 9 "director" see section 81. 10 "disciplinary action", for chapter 3, part 8, see section 211. 11 "disciplinary body", in relation to a discipline application, means either of 12 the following entities to which the commissioner makes the 13 application-- 14 (a) the tribunal; 15 (b) the committee, other than the committee exercising advisory 16 functions as mentioned in chapter 4, part 3, division 4. 17 "discipline application" see section 192(2). 18 "discipline register" see section 212. 19 "disqualified person", for chapter 2, part 5, see section 81. 20 "employee", of an entity, means an individual who is employed by or in 21 the entity whether or not-- 22 (a) the individual is employed on a full time, part time, temporary or 23 casual basis; or 24 (b) the individual is employed as a law clerk or articled clerk. 25 "engaged in government work", in relation to a government legal officer, 26 see section 9(2). 27 "engage in legal practice" includes practise law. 28 165 Queensland Law Society Act 1952, section 3 (Definitions)

 


 

269 Legal Profession Bill 2003 SCHEDULE 5 (continued) "fidelity fund" means the Legal Practitioners' Fidelity Guarantee Fund 1 established under the Queensland Law Society Act 1952, part 3.166 2 "foreign country" means-- 3 (a) a country other than Australia; or 4 (b) a state, province or other part of a country other than Australia. 5 "foreign law" means a law of a foreign country that corresponds to the 6 relevant provisions of this Act, and includes a law of a foreign country 7 that is declared under a regulation to correspond to this Act. 8 "foreign roll" means an official roll of lawyers (whether admitted, 9 practising or otherwise) kept in a foreign country, but does not include 10 a roll prescribed under a regulation for this definition. 11 "fund", for chapter 2, part 6, see section 121. 12 "government legal officer" see section 9. 13 "health assessor" see section 327. 14 "home jurisdiction", of an Australian legal practitioner, means the 15 jurisdiction in which the practitioner's only or most current Australian 16 practising certificate was granted. 17 "in-house legal services" mean legal services provided to a corporation by 18 an individual employed by the corporation concerning a proceeding or 19 transaction to which the corporation, or a related body corporate, is a 20 party. 21 "ILP authority" see section 81. 22 "incorporated legal practice" see section 80.167 23 "incorporated legal practice rule" see section 133. 24 "indemnity rule" see section 144(4). 25 "information notice" see section 13.168 26 "insolvent under administration" means-- 27 166 Queensland Law Society Act 1952, part 3 (Legal Practitioners' Fidelity Guarantee Fund) 167 Section 80 (Meaning of "incorporated legal practice") 168 Section 13 (Meaning of information notice)

 


 

270 Legal Profession Bill 2003 SCHEDULE 5 (continued) (a) a person who is an undischarged bankrupt under the Bankruptcy 1 Act 1966 (Cwlth) or the provisions of a foreign law that 2 correspond to that Act; or 3 (b) a person who has executed a deed of arrangement under the 4 Bankruptcy Act 1966 (Cwlth), part X or the provisions of a 5 foreign law that correspond to that Act, if the terms of the deed 6 have not been fully complied with; or 7 (c) a person whose creditors have accepted a composition under the 8 Bankruptcy Act 1966 (Cwlth), part X or the provisions of a 9 foreign law that correspond to that Act, if a final payment has not 10 been made under that composition; or 11 (d) a person for whom a debt agreement has been made under the 12 Bankruptcy Act 1966 (Cwlth), part IX or the provisions of a 13 foreign law that correspond to that Act, if the debt agreement has 14 not ended or has not been terminated. 15 "interstate lawyer" see section 5.169 16 "interstate legal practitioner" see section 6.170 17 "interstate practising certificate" means a practising certificate granted 18 under a corresponding law. 19 "interstate roll" means a roll of legal practitioners kept under a 20 corresponding law. 21 "investigation" see section 334. 22 "investigation matter" see section 182. 23 "investigator" see section 334. 24 "jurisdiction" means a State. 25 "law firm" means a partnership consisting of Australian lawyers. 26 "law practice" means-- 27 (a) an Australian lawyer who is a sole practitioner; or 28 (b) a law firm; or 29 169 Section 5 (Meaning of terms involving "lawyer") 170 Section 6 (Meaning of terms involving "legal practitioner")

 


 

271 Legal Profession Bill 2003 SCHEDULE 5 (continued) (c) an incorporated legal practice. 1 "law practice employee" means an employee of a law practice engaged in 2 the activities associated with the relevant practice. 3 "law society" means the Queensland Law Society Incorporated as 4 established under the Queensland Law Society Act 1952, section 4. 5 "lawyer director"-- 6 (a) in relation to an incorporated legal practice--see section 81; or 7 (b) in relation to a law practice--means a lawyer director of a law 8 practice that is an incorporated legal practice. 9 "lay panel" means the panel established under section 256(1)(a). 10 "Legal Practitioners Act", for chapter 6, part 5, see section 380. 11 "legal profession rule" see section 132. 12 "legal services" means work done, or business transacted, in or associated 13 with the ordinary course of legal practice. 14 "local lawyer" see section 5.171 15 "local legal practitioner" see section 6. 172 16 "local practising certificate" means a practising certificate, or another 17 document about the renewal, granted by the law society or bar 18 association under this Act. 19 "local roll" see section 34(1). 20 "misconduct" of a law practice employee means misconduct that consists 21 of either an act or omission by the law practice employee. 22 "officer", of a corporation, see section 81. 23 "panel member" means an individual holding an appointment to the lay 24 panel or the practitioner panel under chapter 4, part 2, division 3. 25 "practical legal training" means either, or a combination of both, of the 26 following-- 27 (a) legal training by participation in course work; 28 171 Section 5 (Meaning of terms involving "lawyer") 172 Section 6 (Meaning of terms involving "legal practitioner")

 


 

272 Legal Profession Bill 2003 SCHEDULE 5 (continued) (b) legal training under the supervision of an Australian lawyer, 1 whether involving articles of clerkship or otherwise. 2 "practising certificate" means a practising certificate granted under this 3 Act or a corresponding law. 4 "practitioner panel" means the panel established under section 256(1)(b). 5 "prescribed account" see section 121. 6 "professional misconduct" see section 163.173 7 "professional obligations", of an Australian lawyer, see section 81. 8 "QLS Act", for chapter 6, part 5, see section 380. 9 "qualified employee" means an employee of a law practice who is an 10 Australian legal practitioner. 11 "quashing a conviction" see section 12. 12 "registrar" see the Supreme Court of Queensland Act 1991, schedule 2. 13 "regulatory authority" means-- 14 (a) in relation to another jurisdiction-- 15 (i) if there is only one regulatory authority for the other 16 jurisdiction--that regulatory authority; or 17 (ii) if there are separate regulatory authorities for the other 18 jurisdiction for different branches of the legal profession or 19 for persons who practise in a particular style of legal 20 practice--the regulatory authority relevant to the branch or 21 style concerned; or 22 (b) otherwise--the law society or the bar association. 23 "related body corporate" see section 81. 24 "relevant authority", for chapter 5, part 1, see section 324. 25 "relevant law" means-- 26 (a) this Act; or 27 (b) the Legal Practitioners Act 1995 as in force at any time before or 28 after the commencement of this definition; or 29 173 Section 163 (Meaning of "professional misconduct")

 


 

273 Legal Profession Bill 2003 SCHEDULE 5 (continued) (c) the Queensland Law Society Act 1952 as in force at any time 1 before or after the commencement of this definition; or 2 (d) the Trust Accounts Act 1973 as in force at any time before or after 3 the commencement of this definition. 4 "relevant practice" means legal services provided by a law practice. 5 "relevant regulatory authority" see section 40. 6 "serious offence" see section 11. 7 "show cause event", in relation to a person, means-- 8 (a) a conviction for a serious offence or tax offence, whether or 9 not-- 10 (i) the offence was committed in or outside this jurisdiction; or 11 (ii) the offence was committed while the person was engaging 12 in legal practice as an Australian lawyer; or 13 (iii) other persons are prohibited from disclosing the identity of 14 the offender; or 15 (b) becoming an insolvent under administration. 16 "show cause notice", for chapter 2, see section 62. 17 "sole practitioner" means an Australian lawyer who engages in legal 18 practice on his or her own account. 19 "solicitor"-- 20 (a) for chapter 2, part 6--see section 121; and 21 (b) for chapter 4, part 3--see section 269; and 22 (c) for chapter 4, part 5--see section 305; and 23 (d) otherwise--see section 8. 24 "solicitors complaints tribunal" see the Queensland Law Society Act 25 1952, section 3. 26 "solicitors rule" see section 133. 27 "staff", in relation to the office of the commissioner, see section 242. 28 "subject person", for chapter 5, part 1, see section 324. 29 "suitability matter", in relation to an individual, see section 10. 30

 


 

274 Legal Profession Bill 2003 SCHEDULE 5 (continued) "suitability report", for chapter 5, part 1, see section 324. 1 "supervised legal practice" means legal practice by an individual-- 2 (a) as an employed lawyer of a law practice if-- 3 (i) a least 1 partner, lawyer director or other employee of the 4 law practice is an Australian lawyer who holds an 5 unrestricted practising certificate; and 6 (ii) the individual engages in legal practice under the 7 supervision of an Australian lawyer mentioned in 8 subparagraph (i); or 9 (b) as a partner in a law firm if-- 10 (i) at least 1 other partner is an Australian lawyer who holds an 11 unrestricted practising certificate; and 12 (ii) the individual engages in legal practice under the 13 supervision of an Australian lawyer mentioned in 14 subparagraph (i); or 15 (c) in a capacity approved under an administration rule. 16 "Supreme Court", for chapter 2, part 3, see section 24. 17 "tax offence" means an offence under the Taxation Administration Act 18 1953 (Cwlth), whether committed in or outside this jurisdiction. 19 "this jurisdiction" means this State. 20 "tribunal" means the Legal Practice Tribunal established under 21 section 248. 22 "tribunal member" means a member of the tribunal constituting the 23 tribunal to hear and decide a discipline application. 24 "tribunal rules" see section 252. 25 "trust account", for chapter 2, part 6, see section 121. 26 "unrestricted practising certificate" means an Australian practising 27 certificate that-- 28 (a) is not subject to a condition under section 53174 or a similar 29 condition under a corresponding law; and 30 174 Section 53 (Statutory condition regarding legal practice as solicitor)

 


 

275 Legal Profession Bill 2003 SCHEDULE 5 (continued) (b) does not limit or is not subject to a condition that limits the 1 holder to practise as or in the manner of a barrister; and 2 (c) is not subject to another condition, other than a condition 3 requiring the certificate holder to participate or complete 4 continuing legal education or a condition prescribed under a 5 regulation for this definition; and 6 (d) for an interstate practising certificate--is not subject to a 7 condition similar to a condition under section 53175 and whose 8 holder would not be subject to a condition under that section if 9 the holder were to apply for and be granted a local practising 10 certificate. 11 "unsatisfactory professional conduct" see section 162. 12 "unsupervised legal practice" means legal practice engaged in by an 13 Australian legal practitioner who is entitled to engage in legal practice 14 as a solicitor and whose practising certificate is not subject to a 15 condition requiring the practitioner to complete a period of supervised 16 legal practice as a solicitor. 17 18 © State of Queensland 2003 175 Section 53 (Statutory condition regarding legal practice as solicitor)

 


 

AMENDMENTS TO BILL

1 Legal Profession Bill 2003 LEGAL PROFESSION BILL 2003 AMENDMENTS AGREED TO IN COMMITTEE 1 Clause 2-- At page 22, line 7-- omit, insert-- `(1) Section 379 and schedule 1, to the extent it amends the Coroners Act 2003 and the Cremations Act 2003, commence or are taken to have commenced on 30 November 2003. `(2) The remaining provisions of this Act commence on a day to be fixed by proclamation.'. 2 Clause 157-- At page 109, lines 8 to 14-- omit, insert-- `(2) The relevant regulatory authority must cancel the local practising certificate. `(3) The relevant regulatory authority may, but need not, give the individual notice of the date on which it proposes to cancel the local practising certificate. `(4) The relevant regulatory authority must give the individual notice of the cancellation, unless notice of the date of the proposed cancellation was previously given.'. 3 Clause 173-- At page 117, lines 20 to 23-- omit, insert-- `(a) an Australian lawyer; (b) a relevant regulatory authority;

 


 

2 Legal Profession Bill 2003 (c) the chief executive officer, however expressed, of the department or agency in which the officer is a government legal officer or, if the chief executive officer may delegate that power, a delegate.'. 4 Clause 217-- At page 143, line 28, `228101'-- omit, insert-- `376B1'. 5 Clause 227-- At page 147, lines 8 to 16-- omit, insert-- `227 Annual and other reports to the Minister `(1) By 31 October after the end of each financial year, the commissioner must give to the Minister a report for the immediately preceding financial year. `(2) The report must deal with the system established under this Act for dealing with complaints. `(3) Also the Minister may, by written notice, ask the commissioner to provide a report at any time for a period stated in the Minister's request about the system or about an aspect of the system stated in the notice. `(4) If the Minister makes a request under subsection (3), the commissioner must comply with the request and give the relevant report to the Minister by the date stated in the notice. `(5) The commissioner may include other matters the commissioner considers appropriate in a report under this section, including, for example, recommendations about the system. `(6) The Minister must table in the Legislative Assembly a report given to the Minister under subsection (1), within 14 days after receiving the report.'. 1 Section 376B (Offence of improper disclosure of information)

 


 

3 Legal Profession Bill 2003 6 Clause 228-- At page 147, lines 17 to 31 and page 148, lines 1 to 10-- omit. 7 Clause 229-- At page 148, lines 11 to 29 and page 149 and lines 1 and 2-- omit. 8 Clause 331-- At page 186, line 9, `the board or'-- omit. 9 Clause 331-- At page 186, lines 11 and 12, `the board or'-- omit. 10 Clause 331-- At page 186, line 28, `relevant'-- omit, insert-- `regulatory'. 11 Clause 331-- At page 186, line 31, `relevant'-- omit, insert-- `regulatory'. 12 Clause 331-- At page 187, after line 23-- insert--

 


 

4 Legal Profession Bill 2003 `(5) Subsection (1) does not apply to information in a suitability report if that information was given or obtained by the relevant authority other than as part of the suitability report. Example for subsection (5)-- A suitability report may contain information that an applicant may have already disclosed, including name, address, or some information about previous convictions or a previous disqualification from being a lawyer.'. 13 Insertion of new sections 376A to 376C At page 212, after line 1-- insert-- `376A Information sharing among entities with functions under Act `(1) This section applies to each of the following (each of which is an "entity")-- (a) the board; (b) the law society; (c) the bar association; (d) the commissioner. `(2) An entity that holds a document or information (the "information holder") about a person may allow another entity (the "information seeker") access to the document or give the information to the information seeker if-- (a) the information holder considers allowing the access or giving the information is consistent with the information holder's or information seeker's functions under a relevant law; and (b) allowing the access or giving the information is done under a written arrangement between the information holder and information seeker as mentioned in subsection (3). `(3) An entity must have a written arrangement with another entity providing for the way in which the entity, as an information holder, and its officers may, under subsection (2), allow access to a document or give information to the other entity, as an information seeker, and its officers.

 


 

5 Legal Profession Bill 2003 `(4) Despite subsection (2), the information holder may not allow access to a suitability report about a person, or give information about a person in a suitability report, in contravention of section 331(1). Note-- Section 331 (Confidentiality of suitability report) states when the board or a regulatory authority may disclose a suitability report or information in a suitability report. `376B Offence of improper disclosure of information `(1) A person who discloses information obtained in the administration of this Act commits an offence, unless the disclosure is-- (a) authorised or required by this Act or another Act; or (b) made in connection with the administration of this Act; or (c) made with the consent of the person to whom the information relates; or (d) made in connection with legal proceedings under a relevant law or of any report of those proceedings, including proceedings before the tribunal or the committee relating to a discipline application; or (e) made with other lawful excuse. Maximum penalty--200 penalty units. `(2) For the purposes of and without limiting subsection (1), a person who receives information directly or indirectly from a corresponding authority is taken to have obtained the information in the administration of this Act. `(3) This section does not apply to the following disclosures of information-- (a) a disclosure that does not identify or help in identifying-- (i) a complainant; or (ii) an Australian lawyer or law practice employee, who is the subject of a complaint or an investigation matter, or a law practice that employs the lawyer or employee; or (iii) a person associated with the complainant, Australian lawyer, law practice employee or law practice;

 


 

6 Legal Profession Bill 2003 (b) a disclosure by an investigator to the commissioner and, if the investigator was nominated by a regulatory authority, to the regulatory authority. `(4) This section is not limited by another provision of this Act-- (a) allowing an entity to disclose information; or (b) requiring an entity to protect information. `376C Protection from liability `(1) An Act official is not civilly liable to someone for an act done, or omission made, honestly and without negligence under this Act. `(2) If subsection (1) prevents a civil liability attaching to an Act official, the liability attaches instead to the State. `(3) This section does not apply to an act done, or omission made, for which liability is excluded under section 216, 267 or 291.2 `(4) In this section-- "Act official" means-- (a) the commissioner or the staff of the commission; or (b) an investigator involved in the conduct of an investigation under chapter 3;3 or (c) a disciplinary body, any member of the disciplinary body or a panel member; or (d) the Brisbane registrar and other registrars; or (e) a mediator to whom a matter is referred under chapter 3; or (f) a regulatory authority; or (g) a member of the staff of an entity mentioned in paragraphs (b) to (f). "civil liability" includes liability for the payment of costs ordered to be paid in a proceeding for an offence against this Act.'. 2 Section 216 (Liability for publicising disciplinary action), 267 (Protection of members etc.) or 291 (Protection of members etc.) 3 Chapter 3 (Complaints, investigation matters and discipline)

 


 

7 Legal Profession Bill 2003 14 Schedule 1-- At page 226, after line 7-- insert-- `CORONERS ACT 2003 `1 Section 71(6), `sections 10(8) and 13 do' and footnote-- omit, insert-- `section 414 does'. `2 Sections 73(2), 80(2) and 82(4), `section 15(4)' and footnotes-- omit, insert-- `section 43(4)5'. `3 Section 97-- omit. `4 Schedule 2, definitions "de facto partner" and "spouse"-- omit. `CREMATIONS ACT 2003 `1 Section 17-- omit. `2 Schedule, definitions "de facto partner" and "spouse"-- omit.'. 4 Section 41 (Functions of magistrates generally) 5 Section 43 (Suspension of magistrate by Governor in Council)

 


 

8 Legal Profession Bill 2003 15 Schedule 1-- At page 234, line 20, ` "lawyer" '-- omit, insert-- ` "legal practitioner" '.

 


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