Chapter 2 General requirements for engaging in legal practice
12 Simplified outline of Chapter
(1) This Chapter sets out general requirements for engaging in legal practice in this jurisdiction.(2) The following is a general outline of the contents of this Chapter:• Part 2.2 provides for the reservation of legal work and legal titles to properly qualified persons and bodies,• Part 2.3 sets out the qualifications and procedure for admission to legal practice in this jurisdiction,• Part 2.4 provides for the grant, renewal, amendment, suspension and cancellation of practising certificates in this jurisdiction and sets out the entitlements of holders of interstate practising certificates to engage in legal practice in this jurisdiction,• Part 2.5 provides a scheme for notification of and response to action taken by courts and other authorities in this and other jurisdictions regarding admission to the legal profession and the right to engage in legal practice,• Part 2.6 regulates the provision of legal services in this jurisdiction by corporations (which are called “incorporated legal practices”) and by partnerships that provide legal services and non-legal services (called “multi-disciplinary partnerships”),• Part 2.7 regulates the practice of the law of a foreign country in this jurisdiction,• Part 2.8 regulates community legal centres.(3) Subsection (2) is intended only as a guide to readers as to the general scheme of this Chapter.
Part 2.2 Reservation of legal work and legal titles
The purposes of this Part are as follows:(a) to protect the public interest in the proper administration of justice by ensuring that legal work is carried out only by those who are properly qualified to do so,(b) to protect clients of law practices by ensuring that persons carrying out legal work are entitled to do so.
Division 2 General prohibitions on unqualified practice
14 Prohibition on engaging in legal practice when not entitled
(1) A person must not engage in legal practice in this jurisdiction unless the person is an Australian legal practitioner.Maximum penalty: 200 penalty units.
(2) Subsection (1) does not apply to engaging in legal practice of the following kinds:(a) legal practice engaged in under the authority of a law of this jurisdiction or of the Commonwealth,(b) legal practice engaged in by an incorporated legal practice in accordance with Part 2.6 (Incorporated legal practices and multi-disciplinary partnerships),(c) the practice of foreign law by an Australian-registered foreign lawyer in accordance with Part 2.7 (Legal practice by foreign lawyers),(d) legal practice engaged in by a complying community legal centre,(e) conveyancing work carried out in accordance with a licence in force under the Conveyancers Licensing Act 2003,(f) work performed by a land agent in respect of instruments he or she is entitled to draw, fill up or prepare, and to charge for, under the Land Agents Act 1927,(g) the drawing of instruments by an officer or employee in the service of the Crown (including the Public Service) in the course of his or her duty,(h) legal practice of a kind prescribed by the regulations.(3) Subsection (1) does not apply to:(a) a person who as an employee provides legal services to his or her employer or a related entity if he or she:(i) so acts in the ordinary course of his or her employment, and(ii) receives no fee, gain or reward for so acting other than his or her ordinary remuneration as an employee, or(b) a person or class of persons declared by the regulations to be exempt from the operation of subsection (1).(4) A person is not entitled to recover any amount in respect of anything the person did in contravention of subsection (1) and must repay any amount so received to the person from whom it was received.(5) A person may recover from another person, as a debt due to the person, any amount the person paid to the other person in respect of anything the other person did in contravention of subsection (1).(6) The regulations may make provision for or with respect to the application (with or without specified modifications) of provisions of this Act to persons engaged in legal practice of a kind referred to in subsection (2) (other than subsection (2) (b)–(f)) or persons referred to in subsection (3).
15 Prohibition on representing or advertising entitlement to engage in legal practice when not entitled
(1) A person must not represent or advertise that the person is entitled to engage in legal practice unless the person is an Australian legal practitioner.Maximum penalty: 100 penalty units.
(2) A director, officer, employee or agent of a body corporate must not represent or advertise that the body corporate is entitled to engage in legal practice unless the body corporate is an incorporated legal practice or a complying community legal centre.Maximum penalty: 100 penalty units.
(3) Subsections (1) and (2) do not apply to a representation or advertisement about being entitled to engage in legal practice of a kind referred to in section 14 (2) (Prohibition on engaging in legal practice when not entitled) by a person so entitled.(4) A reference in this section to a person:(a) representing or advertising that the person is entitled to engage in legal practice, or(b) representing or advertising that a body corporate is entitled to engage in legal practice,includes a reference to the person doing anything that states or implies that the person or the body corporate is entitled to engage in legal practice.
16 Presumptions about taking or using certain names, titles or descriptions specified in regulations
(1) This section applies to the following names, titles and descriptions:lawyer, legal practitioner, barrister, solicitor, attorney, counsel, Queen’s Counsel, King’s Counsel, Her Majesty’s Counsel, His Majesty’s Counsel, Senior Counsel
(2) The regulations may specify the kind of persons who are entitled, and the circumstances in which they are entitled, to take or use a name, title or description to which this section applies.(3) For the purposes of section 15 (1) (Prohibition on representing or advertising entitlement to engage in legal practice when not entitled), the taking or using of a name, title or description to which this section applies by a person who is not entitled to take or use that name, title or description gives rise to a rebuttable presumption that the person represented that they are entitled to engage in legal practice.(4) For the purposes of section 15 (2), the taking or using of a name, title or description to which this section applies by a person in relation to a body corporate, of which the person is a director, officer, employee or agent, gives rise to a rebuttable presumption that the person represented that the body corporate is entitled to engage in legal practice.
Division 3 Prohibitions regarding associates, clerks and non-legal partners
17 Associates who are disqualified or convicted persons
(1) A law practice must not have a lay associate whom any principal or legal practitioner associate of the law practice knows to be:(a) a disqualified person, or(b) a person who has been convicted of a serious offence,unless the associate is approved by the relevant authority under subsection (3).(2) A contravention by a law practice of subsection (1) is capable of being unsatisfactory professional conduct or professional misconduct on the part of a principal or legal practitioner associate of the law practice involved in the contravention.(3) The relevant authority to approve a person for the purposes of subsection (1) is:(a) in the case of a disqualified person who is an associate of a barrister—the Bar Council, or(b) in the case of a disqualified person who is an associate of a solicitor—the Law Society Council, or(c) in the case of a person who has been convicted of a serious offence—the Tribunal.(4) If a Council decides to refuse an application by a person for approval under subsection (3) (a) or (b) or to grant the approval subject to conditions, the person may apply to the Tribunal for a review of the decision.Note. Reviews are carried out under Chapter 5 of the Administrative Decisions Tribunal Act 1997. Section 729A modifies the operation of that Act. An appeal lies to the Supreme Court under section 729A against a decision of the Administrative Decisions Tribunal.(5) An approval under this section may be subject to specified conditions.(6) A disqualified person, or a person convicted of a serious offence, must not seek to become a lay associate of a law practice unless the person first informs the law practice of the disqualification or conviction.Maximum penalty: 100 penalty units.
(7) Proceedings for an offence under subsection (6) may only be brought within 6 months after discovery of the offence by the law practice.(8) This section does not apply in circumstances prescribed by the regulations.(9) In this section:lay associate of a law practice has the same meaning as in section 7 (Terms relating to associates and principals of law practices), and includes a consultant to the law practice (however described) who:
(a) is not an Australian legal practitioner, and(b) provides legal or related services to the law practice, other than services of a kind prescribed by the regulations.
18 Prohibition on employment of certain lay associates
(1) This section applies to a person who is not an Australian legal practitioner and who is or was a lay associate of a law practice that:(a) engages in legal practice principally in this jurisdiction, or(b) employs or employed the person to work principally in this jurisdiction,and so applies whether or not the law practice subsequently ceased to exist or engage in legal practice principally in this jurisdiction and whether or not any person ceases, by death or otherwise, to be a legal practitioner associate of the law practice.(2) On application by a Council, the Tribunal may make an order prohibiting (without approval under section 17 (Associates who are disqualified or convicted persons)) any law practice from employing or paying in connection with the legal practice engaged in by the law practice a specified person to whom this section applies, if:(a) the Tribunal is satisfied that the person is not a fit and proper person to be employed or paid in connection with that legal practice, or(b) the Tribunal is satisfied that the person has been guilty of conduct that, if the person were an Australian legal practitioner, would have constituted unsatisfactory professional conduct or professional misconduct.(3) An order under this section may apply to a specified law practice or specified class of law practices or may apply to law practices generally.(4) An order under this section may be revoked by the Tribunal on application by a Council or the person against whom the order was made.
19 Prohibition on partnerships with certain non-legal partners
(1) This section applies to a person who is not an Australian legal practitioner and who:(a) is or was a partner of a local legal practitioner, or(b) is or was a partner of an Australian legal practitioner and engaged in a business conducted by the partnership principally in this jurisdiction.(2) On application by a Council, the Tribunal may make an order prohibiting (without approval under section 17 (Associates who are disqualified or convicted persons)) any Australian legal practitioner from being a partner, in a business that includes the practitioner’s practice, of a specified person to whom this section applies if:(a) the Tribunal is satisfied that the person is not a fit and proper person to be such a partner, or(b) the Tribunal is satisfied that the person has been guilty of conduct which, if the person were an Australian legal practitioner, would have constituted unsatisfactory professional conduct or professional misconduct.(3) An order made under this section may be revoked by the Tribunal on application by a Council or by the person against whom the order was made.(4) The death of an Australian legal practitioner does not prevent an application being made for, or the making of, an order under this section in relation to a person who was a partner of the practitioner.
20 Proceedings on prohibition orders
(1) The parties to an application to the Tribunal under this Division may be represented by an Australian legal practitioner at the hearing of the application.(2) On making an order under this Division, or on determining an application for approval under section 17 (Associates who are disqualified or convicted persons), the Tribunal may make orders for costs.(3) An order for costs:(a) may be for a specified amount or an unspecified amount, and(b) if for an unspecified amount, may specify the basis on which the amount is to be determined, and(c) may specify the terms on which costs must be paid.(4) A Council must:(a) retain in its office a register of orders made under section 18 or 19 on its application or approvals given by it under section 17, and(b) permit the register to be inspected during office hours and without charge, but only if the inspection is made by an Australian legal practitioner.(5) In any proceedings under this Act, a document that purports:(a) to be an order under section 18 or 19, and(b) to be signed by the member constituting, or presiding at the sitting of, the Tribunal when the order was made,is, without further proof, evidence of the order it purports to be.
(1) A contravention of this Part by an Australian lawyer who is not an Australian legal practitioner is capable of being professional misconduct.(2) Nothing in this Part affects any liability that a person who is an Australian lawyer but not an Australian legal practitioner may have under Chapter 4 (Complaints and discipline), and the person may be punished for an offence under this Part as well as being dealt with under Chapter 4 in relation to the same matter.
Part 2.3 Admission of local lawyers
(1) The purpose of this Part is, in the interests of the administration of justice and for the protection of clients of law practices, to provide a system under which only applicants who have appropriate academic qualifications and practical legal training and who are otherwise fit and proper persons become qualified for admission and are admitted to the legal profession in this jurisdiction.(2) A person is admitted to the legal profession in this jurisdiction by being admitted as a local lawyer.
In this Part:admission means admission as a lawyer under this Act.
applicant or applicant for admission means an applicant for admission as a lawyer under this Act.
Division 2 Eligibility and suitability for admission
(1) A person is eligible for admission only if the person is a natural person aged 18 years or over and:(a) the person has attained:(i) approved academic qualifications, or(ii) corresponding academic qualifications, and(b) the person has satisfactorily completed:(i) approved practical legal training requirements, or(ii) corresponding practical legal training requirements.(2) In this section:approved academic qualifications means academic qualifications that are approved, under the admission rules, for admission to the legal profession in this jurisdiction.
approved practical legal training requirements means legal training requirements that are approved, under the admission rules, for admission to the legal profession in this jurisdiction.
corresponding academic qualifications means academic qualifications that would qualify the person for admission to the legal profession in another jurisdiction if the Admission Board is satisfied that substantially the same minimum criteria apply for the approval of academic qualifications for admission in the other jurisdiction as apply in this jurisdiction.
corresponding practical legal training requirements means legal training requirements that would qualify the person for admission to the legal profession in another jurisdiction if the Admission Board is satisfied that substantially the same minimum criteria apply for the approval of legal training requirements for admission in the other jurisdiction as apply in this jurisdiction.
(3) The admission rules must not require a person to satisfactorily complete before admission a period of supervised training that exceeds in length a period or periods equivalent to one full-time year (as determined in accordance with the admission rules).(4) The Admission Board may exempt a person from the requirements of subsection (1) (a) or (b) or both if satisfied that the person has:(a) sufficient academic qualifications, or(b) sufficient relevant experience in legal practice or relevant service with a government department or government agency,or both so as to render the person eligible for admission, whether the qualifications or experience were obtained wholly or partly in Australia or overseas.(4A) An exemption under subsection (4) may be given unconditionally or subject to such conditions relating to the obtaining of further academic qualifications or further legal training as the Admission Board thinks appropriate.(5) For the purposes of subsection (2), the Admission Board may satisfy itself regarding the minimum criteria for the approval of academic qualifications, or legal training requirements, for admission in another jurisdiction by considering appropriate advice from an authority of the other jurisdiction that those criteria were established consistently with relevant agreed standards, and accordingly the Admission Board need not examine (in detail or at all) the content of courses of legal study or legal training requirements prescribed in the other jurisdiction. The regulations may identify or provide a means of identifying those agreed standards.
(1) In deciding if an applicant is a fit and proper person to be admitted, the Admission Board:(a) must consider each of the suitability matters in relation to the applicant to the extent a suitability matter is appropriate, and(b) may consider any other matter it considers relevant.(2) However, the Admission Board may consider a person to be a fit and proper person to be admitted despite a suitability matter because of the circumstances relating to the matter.
26 Early consideration of suitability
(1) A person may apply to the Admission Board for a declaration that matters disclosed by the person will not, without more, adversely affect an assessment by the Board as to whether the person is a fit and proper person to be admitted.(2) The Admission Board is to consider each application under this section and make the declaration sought or refuse to do so.
(1) An applicant for admission may appeal to the Supreme Court against the refusal of the Admission Board to give a compliance certificate in respect of the applicant.(2) An applicant for a declaration sought under section 26 (Early consideration of suitability) may appeal to the Supreme Court against the refusal of the Admission Board to make the declaration.(3) A Council may appeal to the Supreme Court against the giving of a compliance certificate.(4) A Council may appeal to the Supreme Court against the making of a declaration under section 26 (Early consideration of suitability).(5) An appeal under this section is to be by way of rehearing, and fresh evidence or evidence in addition to or in substitution for the evidence before the Admission Board may be given on the appeal, and the decision of the Supreme Court is taken to be a decision of the Admission Board.(6) On an appeal under this section, the Supreme Court may make an order or declaration as it thinks fit.(7) On an appeal under this section, the Supreme Court may make an order as to costs as it thinks fit, other than:(a) an order against the Admission Board in favour of an applicant where the appeal was not successful, and(b) an order against the Admission Board in favour of a Council.
29 Binding effect of declaration or order
A declaration made under section 26, or an order or declaration under section 28, is binding on the Admission Board unless the applicant failed, on the application or appeal, to make a full and fair disclosure of all matters relevant to the declaration sought.
30 Entitlement to be represented, heard and make representations
(1) A Council and the applicant concerned are entitled:(a) to make representations in writing to the Admission Board in relation to any matter under consideration by the Board under this Division, and(b) to be represented and heard at any inquiry or appeal under this Division.(2) The Admission Board must notify each Council in accordance with the admission rules of:(a) any application for a declaration under section 26 (Early consideration of suitability), and(b) any declaration made under that section.(3) The Admission Board may notify a Council of any application for admission.(4) The Admission Board is entitled to be represented and heard at any appeal under section 28.
Division 3 Admission to the legal profession
(1) The Supreme Court may admit persons as lawyers in accordance with this Part.(2) The Supreme Court may admit an applicant as a lawyer if the Admission Board advises the Court that the Board considers that the applicant:(a) is eligible for admission, and(b) is a fit and proper person to be admitted.(3) The advice of the Admission Board is to be given by means of a compliance certificate in the form prescribed by the admission rules.
(1) The Supreme Court is to maintain a roll of persons admitted as lawyers under this Act (referred to in this Act as the local roll).(2) When a person is admitted under this Act, the Supreme Court is to cause the person’s name to be entered on the local roll.(3) A person admitted as a lawyer under this Act must sign the local roll.(4) The admission of a person as a lawyer under this Act is effective from the time the person signs the local roll.(5) The local roll must be available for inspection, without charge, during normal business hours.(6) The Supreme Court may publish the name of persons admitted as lawyers under this Act and any relevant particulars concerning those persons.(7) The Supreme Court’s functions under this section may be exercised by a person or body designated by the Court for the purpose.(8) The regulations may make provision for or with respect to:(a) the information that may or must be included in the local roll,(b) publication of information contained in the local roll.
33 Local lawyer is officer of Supreme Court
(1) A person becomes an officer of the Supreme Court on being admitted as a lawyer under this Act.(2) A person ceases to be an officer of the Supreme Court under subsection (1) if the person’s name is removed from the local roll.
34 Miscellaneous provisions respecting admission
(1) The Supreme Court can only admit or enrol persons as lawyers, and cannot admit or enrol persons as barristers, solicitors or legal practitioners.(2) Any inherent power or jurisdiction of the Supreme Court to admit or enrol persons as barristers, solicitors or legal practitioners is and remains revoked.(3) The Supreme Court Charter is and remains revoked in New South Wales in so far as it relates to the admission of barristers, advocates, proctors, solicitors and attorneys.(4) In this section:Supreme Court Charter means the Charter dated 13 October 1823 under the Imperial Act 4 Geo IV c 96 establishing Courts of Justice in New South Wales.
Division 4 Legal Profession Admission Board
Note. Provisions for the constitution of the Admission Board are located in Part 7.1 and Schedule 2.
35 Consideration of applications for admission
(1) The Admission Board is to consider whether or not:(a) an applicant for admission is:(i) eligible for admission (under section 24), and(ii) a fit and proper person to be admitted (in accordance with section 25), and(b) the application is made in accordance with any applicable admission rules and the applicant has complied with any applicable requirements of the admission rules.(2) The Admission Board may refuse to consider the application if the application was not made in accordance with the admission rules.(3) The Admission Board may require an applicant to provide such further information as it considers relevant to its consideration of the application within such time as it specifies.
(1) The Admission Board is to complete its processing of an application for admission by giving a compliance certificate under this section for the applicant or by refusing to give such a certificate.(2) If, after considering an application for admission, the Admission Board considers:(a) the applicant:(i) is eligible for admission, and(ii) is a fit and proper person to be admitted, and(b) the application is made in accordance with any applicable admission rules and the applicant has complied with any applicable requirements of the admission rules, and(c) there are no grounds for refusing to give a certificate for the applicant,the Board must, within 7 days of its decision or within the time specified in or determined in accordance with the admission rules, advise the Supreme Court to that effect by filing with the Prothonotary a certificate in the approved form (a compliance certificate).(3) The Admission Board must refuse to give a compliance certificate for an applicant unless the Board is satisfied that the applicant:(a) is eligible for admission, and(b) is a fit and proper person to be admitted.(4) The Admission Board may refuse to give a compliance certificate for an applicant if it is not satisfied that:(a) the application is made in accordance with the admission rules, or(b) the applicant has complied with any applicable requirements of the admission rules.(5) If the Admission Board refuses to give a compliance certificate for the applicant, the Board must, as soon as practicable after its decision or within the time specified in or determined in accordance with the admission rules, give the Prothonotary and the applicant an information notice about the refusal.(6) For the purposes of section 28 (1), the Admission Board is taken to have refused to give a compliance certificate for an applicant if a compliance certificate has been neither given nor refused for the applicant within 6 months after:(a) the application for admission was lodged, or(b) if the Board has given the applicant a notice under section 37 (1)—the applicant has complied with the notice to the Board’s satisfaction.
37 Consideration of applicant’s eligibility and suitability
(1) To help it consider whether or not an applicant is eligible for admission or is a fit and proper person to be admitted, the Admission Board may, by notice to the applicant, require:(a) the applicant to give it specified documents or information, or(b) the applicant to co-operate with any inquiries by the Board that it considers appropriate.(2) An applicant’s failure to comply with a notice under subsection (1) by the date specified in the notice and in the way required by the notice is a ground for refusing to approve the applicant as a suitable candidate for admission.(3) The Admission Board may refer a matter to the Supreme Court for directions.
37A Communication with other authorities
(1) Without limiting any other functions that it has to seek or obtain information, the Admission Board may communicate with and obtain relevant information from such Australian or overseas authorities as it thinks appropriate in connection with an application under this Part.(2) Without limiting any other power that it has to disclose information under this Act, the Admission Board may disclose information to such Australian and overseas authorities as it thinks appropriate in response to a request for relevant information, but may do so only if satisfied that it is not likely that the information provided will be inappropriately disclosed by such an authority.(3) Section 722 (1) extends to the disclosure of information received under subsection (1).
(1) The Admission Board may make rules for the admission of persons as lawyers under this Act.(2) Without limiting subsection (1), rules may be made about any of the following:(a) the procedure for admission, including:(i) how an application is to be made, and(ii) giving notice of the application to an entity or public notice of the application, and(iii) the affidavits or certificates the applicant must provide with or for the application,(b) admission requirements regarding, and the approval of, academic qualifications and practical legal training,(c) the examination of applicants for admission and the assessment of their qualifications,(d) the disclosure of matters that may affect consideration of the eligibility of an applicant for admission, or affect consideration of the question whether the applicant is a fit and proper person to be admitted, including convictions that must be disclosed and those that need not be disclosed,(e) applications for admission under the trans-Tasman mutual recognition legislative scheme,(f) the assessment of the qualifications and practical legal training of overseas qualified or trained applicants against the academic requirements and practical legal training requirements that apply to local applicants,(g) the conferral of a right of objection to an applicant’s admission on persons of appropriate standing,(h) the procedure to be adopted in the conduct of inquiries under this Part,(i) registration and deregistration as, and the discipline of, students-at-law and the qualifications for registration,(j) the examination and assessment in academic subjects of candidates for registration, students-at-law or applicants for admission,(k) the establishment and conduct of boards or other bodies with functions concerning:(i) the examination of applicants for admission, and(ii) the assessment of applicants as to whether they are eligible for admission and as to whether they are fit and proper persons to be admitted,(l) the exemption by the Board of a person from the requirements of section 24 (1) (a) or (b) as provided by section 24 (4),(m) accreditation of legal education and practical legal training courses,(n) fees and costs payable under the rules and the refund or remission of fees,(o) any other matters relating to the functions of the Board.(3) Without limiting subsection (1), the rules may provide for abridging, in specified circumstances, any period of practical legal training required by the rules.(3A) Without limiting subsection (1) or the power of the Admission Board to delegate functions under section 718, the rules may:(a) provide for the establishment, dissolution and procedures of committees and subcommittees of the Board, and(b) confer or provide for conferring functions on any such committee or subcommittee, including any functions of the Board, and(c) provide that a committee or subcommittee exercises any of its functions in an advisory capacity or as delegate of the Board.(4) Part 6 of the Interpretation Act 1987 applies to a rule made under this section in the same way as it applies in relation to a statutory rule within the meaning of that Act.Note. Part 6 of the Interpretation Act 1987 contains provisions relating to the publication and parliamentary disallowance of statutory rules and other standard provisions relating to the making, amendment and repeal of statutory rules.
38A Non-compellability of certain witnesses
(1) A person referred to in section 601 (Protection from liability) is not compellable in any legal proceedings to give evidence or produce documents in respect of any matter in which the person was involved in the course of the administration of this Part.(2) This section does not apply to:(a) proceedings under Part 3 of the Royal Commissions Act 1923, or(b) proceedings before the Independent Commission Against Corruption, or(c) a hearing under the Special Commissions of Inquiry Act 1983, or(d) an inquiry under the Ombudsman Act 1974.
Part 2.4 Legal practice by Australian legal practitioners
The purposes of this Part are as follows:(a) to facilitate the national practice of law by ensuring that Australian legal practitioners can engage in legal practice in this jurisdiction and to provide for the certification of Australian lawyers whether or not admitted in this jurisdiction,(b) to provide a system for the granting and renewing of local practising certificates.
Division 2 Legal practice in this jurisdiction by Australian legal practitioners
40 Entitlement of holder of Australian practising certificate to practise in this jurisdiction
An Australian legal practitioner is, subject to this Act, entitled to engage in legal practice in this jurisdiction.
Division 3 Local practising certificates generally
41 Local practising certificates
(1) Practising certificates may be granted under this Part.(2) The Bar Council may, on application, grant a practising certificate to an Australian lawyer authorising the lawyer to practise as a barrister.(3) The Law Society Council may, on application, grant a practising certificate to an Australian lawyer authorising the lawyer to practise as a solicitor and barrister.(4) It is a statutory condition of a local practising certificate that the holder must not hold another local practising certificate, or an interstate practising certificate, that is in force during the currency of the first-mentioned local practising certificate.(5) (Repealed)
42 Suitability to hold local practising certificate
(1) This section has effect for the purposes of section 48 (Grant or renewal of local practising certificate) or any other provision of this Act where the question of whether or not a person is a fit and proper person to hold a local practising certificate is relevant.(2) A Council may, in considering whether or not the person is a fit and proper person to hold a local practising certificate, take into account any suitability matter relating to the person, and any of the following, whether happening before or after the commencement of this section:(a) whether the person obtained an Australian practising certificate because of incorrect or misleading information,(b) whether the person has contravened a condition of an Australian practising certificate held by the person,(c) whether the person has contravened this Act or a corresponding law or the regulations or legal profession rules under this Act or a corresponding law,(d) whether the person has contravened:(i) an order of the Tribunal, or(ii) an order of a corresponding disciplinary body or of another court or tribunal of another jurisdiction exercising jurisdiction or powers by way of appeal or review of an order of a corresponding disciplinary body,(e) without limiting any other paragraph:(i) whether the person has failed to pay a required contribution or levy to the Fidelity Fund, or(ii) whether the person has contravened a requirement imposed by a Council about professional indemnity insurance, or(iii) whether the person has contravened a requirement of this Act or the regulations about trust money, or(iv) whether the person has failed to pay other costs, expenses or fines for which the person is liable under this Act or the regulations,(f) other matters the Council thinks appropriate.(3) A person may be considered a fit and proper person to hold a local practising certificate even though the person is within any of the categories of the matters referred to in subsection (2), if the Council considers that the circumstances warrant the determination.(4) If a matter was:(a) disclosed in an application for admission to the legal profession in this or another jurisdiction, and(b) determined by a Supreme Court or by the Admission Board or a corresponding authority not to be sufficient for refusing admission,the matter cannot be taken into account as a ground for refusing to grant or renew or for suspending or cancelling a local practising certificate unless the matter was a pre-admission event (whether it happened before or after the commencement of this section), but the matter may be taken into account when considering other matters in relation to the person concerned.(5) A Council may decide to take no action or no further action in connection with a pre-admission event, if satisfied that it is appropriate to do so given the passage of time and other circumstances the Council considers relevant.
43 Duration of local practising certificate
(1) A local practising certificate granted under this Act is in force from the date specified in it until the end of the financial year in which it is granted, unless the certificate is sooner suspended or cancelled.(2) A local practising certificate renewed under this Act is in force until the end of the financial year following its previous period of currency, unless the certificate is sooner suspended or cancelled.(3) If an application for the renewal of a local practising certificate as a solicitor has been properly made as required by this Act but has not been determined by the Law Society Council by the following 1 July, the certificate:(a) continues in force on and from that 1 July until the Law Society Council renews or refuses to renew the certificate or the holder withdraws the application for renewal, unless the certificate is sooner cancelled or suspended, and(b) if renewed, is taken to have been renewed on and from that 1 July.
44 Local legal practitioner is officer of Supreme Court
A person who is not already an officer of the Supreme Court becomes an officer of the Supreme Court on being granted a local practising certificate.
Division 4 Grant or renewal of local practising certificates
45 Application for grant of local practising certificate
(1) Applications generally
An Australian lawyer may apply to the appropriate Council for the grant or renewal of a local practising certificate if eligible to do so under this section.(2) General eligibility to make application
An Australian lawyer is eligible to apply for the grant or renewal of a local practising certificate if the lawyer complies with any regulations and legal profession rules relating to eligibility for the practising certificate and if:(a) in the case of a lawyer who is not an Australian legal practitioner at the time of making the application:(i) the lawyer reasonably expects to be engaged in legal practice solely or principally in this jurisdiction during the currency of the certificate or renewal applied for, or(ii) if subparagraph (i) does not apply to the lawyer or it is not reasonably practicable to determine whether it applies to the lawyer—the lawyer’s place of residence in Australia is this jurisdiction or the lawyer does not have a place of residence in Australia, or(b) in the case of a lawyer who is an Australian legal practitioner at the time of making the application:(i) the jurisdiction in which the lawyer engages in legal practice solely or principally is this jurisdiction, or(ii) the lawyer holds a current local practising certificate and engages in legal practice in another jurisdiction under an arrangement that is of a temporary nature, or(iii) the lawyer reasonably expects to be engaged in legal practice solely or principally in this jurisdiction during the currency of the certificate or renewal applied for, or(iv) if subparagraphs (i), (ii) and (iii) do not apply to the lawyer or it is not reasonably practicable to determine whether subparagraph (i), (ii) or (iii) applies to the lawyer—the lawyer’s place of residence in Australia is this jurisdiction or the lawyer does not have a place of residence in Australia.(3) Determination of place of legal practice in Australia
For the purposes of subsection (2) (b), the jurisdiction in which an Australian lawyer engages in legal practice solely or principally is to be decided by reference to the lawyer’s legal practice during the certificate period current at the time:(a) the application is made, or(b) in the case of a late application—the application should have been made.(4) Circumstances in which application cannot be made (more than one Australian practising certificate)
An Australian lawyer is not eligible to apply for the grant or renewal of a local practising certificate in respect of a financial year if the lawyer would also be the holder of another Australian practising certificate for that year, but this subsection does not limit the factors determining ineligibility to apply for the grant or renewal of a local practising certificate.(5) Application must not be made by ineligible lawyer
An Australian lawyer must not apply for the grant or renewal of a local practising certificate if the lawyer is not eligible to make the application.(6) Circumstances in which application must be made
An Australian legal practitioner who:(a) engages in legal practice solely or principally in this jurisdiction during a financial year, and(b) reasonably expects to engage in legal practice solely or principally in this jurisdiction in the following financial year,must apply for the grant or renewal of a local practising certificate in respect of the following financial year.(7) Subsection (6) does not apply to an interstate legal practitioner who applied for the grant or renewal of an interstate practising certificate on the basis that the practitioner reasonably expected to engage in legal practice solely or principally in this jurisdiction under an arrangement that is of a temporary nature.(8) The exemption provided by subsection (7) ceases to operate at the end of the period prescribed by the regulations for the purposes of this subsection.(9) Application for local practising certificate by lawyer who practises in Australia and overseas
A reference in this section to engaging in legal practice principally in this or any other jurisdiction applies only to legal practice in Australia. Accordingly, an Australian lawyer who is engaged or expects to be engaged in legal practice principally in a foreign country is nevertheless eligible to apply for the grant or renewal of a local practising certificate if the lawyer otherwise meets the requirements of this section.Note. The purpose of this subsection is to deal with a case where a person practises both in Australia and overseas. In that case, overseas practice is to be disregarded (even if it forms the principal portion of the person’s overall practice), so that eligibility is determined by reference to the person’s practice in Australia.(10) Application for local practising certificate by lawyer of prescribed class
An Australian lawyer is also eligible to apply for the grant or renewal of a local practising certificate if the lawyer is of a class or description prescribed by the regulations. The regulations may provide that a Council has a discretion as to whether or not to grant or renew a local practising certificate to a person in his or her capacity as an Australian lawyer of that class or description.Note. The purpose of this subsection is to enable regulations to be made conferring eligibility on an Australian lawyer who is not otherwise eligible to apply for a local practising certificate. Regulations could be made conferring eligibility, for example, on an Australian lawyer who practises exclusively overseas, or an Australian lawyer who holds a public office of a specified kind.
(1) An application for the grant or renewal of a local practising certificate must be:(a) made in accordance with the regulations and must provide or be accompanied by such information as may be required by the regulations, and(b) accompanied by the appropriate fees.(2) The regulations may require the applicant to disclose matters that may affect the applicant’s eligibility for the grant or renewal of a local practising certificate or the question whether the applicant is a fit and proper person to hold a local practising certificate.(3) The regulations may indicate that particular kinds of matters previously disclosed in a particular manner need not be disclosed for the purposes of the current application.(4) Without limiting subsection (2), the regulations may require the applicant to disclose details of, or details of the nature of, pre-admission events.(5) The appropriate Council may require an applicant to provide such further information as it considers relevant to its determination of the application within such time as it specifies.
47 Timing of application for renewal of local practising certificate
(1) An application for the renewal of a local practising certificate must be made within:(a) the period prescribed by the regulations as the standard renewal period, or(b) a later period prescribed by the regulations as the late fee period.(2) Those periods must be within the currency of the local practising certificate being renewed.(3) The appropriate Council may reject an application for renewal made during the late fee period, and must reject an application for renewal made outside those periods.Note. Section 92 authorises the charging of a late fee for applications received during the late fee period. If an application is rejected under subsection (3), the applicant will have to apply for the grant of a new practising certificate.
48 Grant or renewal of local practising certificate
(1) The appropriate Council must consider an application that has been made for the grant or renewal of a local practising certificate and may:(a) grant or refuse to grant the certificate, or(b) renew or refuse to renew the certificate.(1A) The appropriate Council may, when granting or renewing a certificate, impose conditions as referred to in section 50 (Conditions imposed by Council).(2) The Council may refuse:(a) to consider an application if:(i) it is not made in accordance with this Act, the regulations or the legal profession rules, or(ii) the required fees and costs have not been paid, or(iii) further information has not been provided as required under section 46 (5), or(b) to grant or renew a local practising certificate if the applicant has not complied with the regulations or the legal profession rules in relation to the application.(3) The Council must not grant a local practising certificate unless it is satisfied that the applicant:(a) was eligible to apply for the grant when the application was made, and(b) is a fit and proper person to hold the certificate.Note. Section 42 (Suitability to hold local practising certificate) deals with the question of whether or not a person is a fit and proper person to hold a practising certificate.(4) The Council must not renew a local practising certificate if it is satisfied that the applicant:(a) was not eligible to apply for the renewal when the application was made, or(b) is not a fit and proper person to continue to hold the certificate.(5) The Council must not grant or renew a local practising certificate if the Council considers the applicant’s circumstances have changed since the application was made and the applicant would (having regard to information that has come to the Council’s attention) not have been eligible to make the application when the application is being considered.(6) Without limiting any other provision of this section, the Council may refuse to grant or renew a local practising certificate if a finding of unsatisfactory professional conduct or professional misconduct has been made in respect of the applicant and:(a) a fine imposed because of the finding has not been paid, or(b) costs awarded against the applicant because of the finding have been assessed but have not been paid or, if an arrangement for their payment has been made, the applicant is in default under the arrangement.(7) Without limiting any other provision of this section, the Council may refuse to grant or renew a local practising certificate if:(a) any costs of an investigation or examination payable under Part 3.1 by or in respect of the applicant have not been paid, or(b) any fees, costs or expenses of external intervention payable under Chapter 5 by or in respect of the applicant have not been paid, or(c) the applicant is required by this Act to contribute to the Indemnity Fund and the application is not accompanied by the contribution payable under that section, or(d) the applicant is required by this Act to contribute to the Fidelity Fund and the application is not accompanied by the contribution payable under that section, or(e) any levy payable by the applicant under Part 3.3 or 3.4 or Schedule 7 is unpaid, or(f) the required application fees and costs have not been paid.(8) Without limiting any other provision of this section, the Council may refuse to grant or renew a local practising certificate on any ground on which the local practising certificate could be suspended or cancelled.(9) Without limiting any other provision of this section, the Bar Council may refuse to grant a local practising certificate for a barrister if the applicant has not successfully completed any examination required by the Bar Council to be passed as a prerequisite to undertaking a reading program.(10) This section does not affect any other provision of this Act that provides for the refusal to grant a local practising certificate.Note. Sections 403 and 406 provide for the refusal to grant a local practising certificate if any required professional indemnity insurance has not been obtained. Section 485 provides for the refusal to grant a local practising certificate if any required fidelity cover in respect of regulated mortgages has not been obtained.(11) If the Council grants or renews a local practising certificate, the Council must, as soon as practicable, give the applicant:(a) for the grant of a certificate—a local practising certificate, or(b) for the renewal of a certificate—a new local practising certificate.(12) If the Council refuses to grant or renew a local practising certificate, the Council must, as soon as practicable, give the applicant an information notice.(13) If an application made for the grant of a local practising certificate is not determined within:(a) 3 months after the application is made, unless paragraph (b) applies, or(b) the required period referred to in section 68 (Investigation and consideration of show cause event), if that section applies in relation to the applicant,the application is deemed to have been refused.
Division 5 Conditions on local practising certificates
(1) A local practising certificate is subject to:(a) any conditions imposed by the appropriate Council, and(b) any statutory conditions imposed by this or any other Act, and(c) any conditions imposed by or under the legal profession rules or the regulations, and(d) any conditions imposed or varied by the Tribunal under section 51 (Imposition or variation of conditions pending criminal proceedings), and(e) any conditions imposed under Chapter 4 (Complaints and discipline) or under provisions of a corresponding law that correspond to Chapter 4.(2) If a condition is imposed, varied or revoked under this Act (other than a statutory condition) during the currency of the local practising certificate concerned, the certificate is to be amended by the appropriate Council, or a new certificate is to be issued by the Council, to reflect on its face the imposition, variation or revocation.
50 Conditions imposed by Council
(1) The appropriate Council may impose conditions on a local practising certificate:(a) when it is granted or renewed, or(b) during its currency (in accordance with section 61 (Amending, suspending or cancelling local practising certificate)).(2) A condition imposed under this section must be reasonable and relevant.(3) A condition imposed under this section may be about any of the following:(a) requiring the holder of the practising certificate to undertake and complete:(i) continuing legal education, or(ii) specific legal education or training, or(iii) a period of supervised legal practice,(b) restricting the areas of law practised,(c) controlling, restricting or prohibiting the operation of a trust account,(d) restricting the holder to particular conditions concerning employment or supervision,(e) requiring the holder of the practising certificate to undergo counselling or medical treatment or to act in accordance with medical advice given to the holder,(f) requiring the holder of the practising certificate to use the services of an accountant or other financial specialist in connection with his or her practice,(g) requiring the holder of the practising certificate to provide the appropriate Council with evidence as to any outstanding tax obligations of the holder and as to provision made by the holder to satisfy any such outstanding obligations,(h) a matter agreed to by the holder.(4) Subsection (3) does not limit the matters about which a condition may be imposed under this section.(5) The appropriate Council must not impose a condition requiring the holder to undertake and complete specific legal education or training unless:(a) the Council is satisfied, having regard to:(i) the nature or currency of the holder’s academic studies, legal training or legal experience, or(ii) the holder’s conduct,that it is reasonable to require the specific legal education or training to be undertaken, or(b) the condition is one that is imposed generally on holders of local practising certificates or any class of holders of local practising certificates.Note. A class of holders might comprise newly qualified lawyers, or lawyers returning to legal practice after suspension or an extended break.(6) The appropriate Council may vary or revoke conditions imposed under this section.(7) If the appropriate Council imposes, varies or revokes a condition during the currency of the local practising certificate concerned, the imposition, variation or revocation takes effect when the holder has been notified of it or a later time specified by the Council.(8) If the appropriate Council imposes a condition on the certificate when it is granted or renewed and the holder of the certificate within one month after the grant or renewal notifies the Council in writing that he or she does not agree to the condition, the Council must, as soon as practicable, give the holder an information notice.(9) This section has effect subject to section 61 (Amending, suspending or cancelling local practising certificate) in relation to the imposition of a condition on a local practising certificate during its currency.
51 Imposition or variation of conditions pending criminal proceedings
(1) If a local legal practitioner has been charged with a relevant offence but the charge has not been determined, the appropriate Council may apply to the Tribunal for an order under this section.(2) On an application under subsection (1), the Tribunal, if it considers it appropriate to do so having regard to the seriousness of the offence and to the public interest, may make either or both of the following orders:(a) an order varying the conditions on the practitioner’s local practising certificate, or(b) an order imposing further conditions on the practitioner’s local practising certificate.(3) An order under this section has effect until the sooner of:(a) the end of the period specified by the Tribunal, or(b) if the practitioner is convicted of the offence—28 days after the day of the conviction, or(c) if the charge is dismissed—the day of the dismissal.(4) The Tribunal, on application by any party, may vary or revoke an order under this section at any time.(5) In this section:relevant offence means a serious offence or an offence that would have to be disclosed under the admission rules in relation to an application for admission to the legal profession under this Act.
52 Statutory condition regarding conditions imposed on interstate admission
It is a statutory condition of a local practising certificate that the holder must not contravene a condition that was imposed on the admission of the person to the legal profession under a corresponding law (with any variations of the condition made from time to time) and that is still in force.Note. Contravention of a condition imposed on admission locally is dealt with in section 58 (Compliance with conditions).
53 Statutory condition regarding practice as solicitor
(1) It is a statutory condition of a local practising certificate for a solicitor that the holder must engage in supervised legal practice only, until the holder has completed:(a) if the holder completed practical legal training principally under the supervision of an Australian legal practitioner, whether involving articles of clerkship or otherwise, to qualify for admission to the legal profession in this or another jurisdiction—a period or periods equivalent to 18 months’ supervised legal practice, worked out under relevant regulations, after the day the holder’s first practising certificate was granted, or(b) if the holder completed other practical legal training to qualify for admission to the legal profession in this or another jurisdiction—a period or periods equivalent to 2 years’ supervised legal practice, worked out under relevant regulations, after the day the holder’s first practising certificate was granted.(2) Subsection (1) has effect subject to any other conditions that relate to engaging in supervised legal practice as a solicitor after a period or periods referred to in that subsection.(3) A Council may exempt a person or class of persons from the requirement for supervised legal practice under subsection (1) or may reduce a period referred to in that subsection for a person or class of persons, if satisfied that the person or persons do not need to be supervised or need to be supervised only for a shorter period, having regard to:(a) the length and nature of any legal practice previously engaged in by the person or persons, and(b) the length and nature of any legal practice engaged in by the supervisors (if any) who previously supervised the legal practice engaged in by the person or persons.(4) An exemption under subsection (3) may be given unconditionally or subject to such conditions as the Council thinks appropriate.
54 Statutory condition regarding practice as a barrister
(1) It is a statutory condition of a local practising certificate for a barrister (but not a solicitor and barrister) that the barrister must not:(a) engage in legal practice otherwise than as a sole practitioner, or(b) engage in legal practice in partnership with any person, or(c) engage in legal practice as the employee of any person, or(d) hold office as a legal practitioner director of an incorporated legal practice.(2) Subsection (1) does not apply to:(a) a barrister who is, or who is of a class or description of barristers, specified by the Bar Council for the purposes of this section, or(b) a barrister who is of a class or description of barristers prescribed by the regulations for the purposes of this section,to the extent respectively specified by the Bar Council or prescribed by the regulations.
55 Statutory condition regarding notification of offence
(1) It is a statutory condition of a local practising certificate that the holder of the certificate:(a) must notify the appropriate Council that the holder has been:(i) convicted of an offence that would have to be disclosed under the admission rules in relation to an application for admission to the legal profession under this Act, or(ii) charged with a serious offence, and(b) must do so within 7 days of the event and by a written notice.(2) The regulations, or the legal profession rules if the regulations do not do so, may specify the form of the notice to be used and the person to whom or the address to which it is to be sent or delivered.(3) The giving of notice in accordance with Division 7 (Special powers in relation to local practising certificates—show cause events) of a conviction for a serious offence satisfies the requirements of subsection (1) (a) (i) in relation to the conviction.
56 Additional conditions on practising certificates of barristers
(1) Without limiting section 50 (Conditions imposed by Council), the Bar Council may under that section impose conditions of the following kinds on the practising certificate of a barrister:(a) a condition requiring the holder to undertake and complete to the satisfaction of the Bar Council a full-time component or other component of a reading program applicable to the holder and determined or approved by the Bar Council,(b) a condition requiring the holder to read with a barrister of a specified class or description chosen by the holder (including a barrister chosen from a list of at least 10 barristers kept by the Bar Council for the purpose) for a specified period and to comply with such requirements as will enable the barrister, at the end of the specified period, to certify to the Bar Council that the holder is fit to practise as a barrister without restriction.(2) A condition of a kind referred to in subsection (1) that is imposed on the practising certificate of a barrister may limit the practising rights of the barrister until the condition is complied with.(3) The Bar Council may cancel or suspend a local practising certificate if the holder fails to comply with a condition of the kind referred to in subsection (1).
57 Conditions imposed by legal profession rules
The legal profession rules may:(a) impose conditions on local practising certificates or any class of local practising certificates, or(b) authorise conditions to be imposed on local practising certificates or any class of local practising certificates.
(1) The holder of a current local practising certificate must not contravene (in this jurisdiction or elsewhere) a condition to which the certificate is subject.Maximum penalty: 100 penalty units.
(2) (Repealed)
Division 6 Amendment, suspension or cancellation of local practising certificates
59 Application of this Division
This Division does not apply in relation to matters referred to in Division 7 (Special powers in relation to local practising certificates—show cause events).
60 Grounds for suspending or cancelling local practising certificate
(1) Each of the following is a ground for suspending or cancelling a local practising certificate:(a) the holder is no longer a fit and proper person to hold the certificate,Note. Section 42 (Suitability to hold local practising certificate) deals with the question of whether or not a person is a fit and proper person to hold a practising certificate.(b) if the holder is an insurable barrister or insurable solicitor within the meaning of Part 3.3 (Professional indemnity insurance)—the holder does not have, or no longer has, professional indemnity insurance that complies with this Act in relation to the certificate,(c) if the holder is an insurable solicitor within the meaning of Part 3.3 (Professional indemnity insurance)—the holder fails to pay a contribution, instalment of a contribution, or levy in accordance with section 411 (Contributions) or 412 (Levies) or Schedule 7 (Professional indemnity insurance—provisions relating to HIH insurance),(d) if a condition of the certificate is that the holder is limited to legal practice specified in the certificate—the holder is engaging in legal practice that the holder is not entitled to engage in under this Act.(2) Subsection (1) does not limit the grounds on which conditions may be imposed on a local practising certificate under section 50.
61 Amending, suspending or cancelling local practising certificates
(1) If the appropriate Council believes a ground exists to amend, suspend or cancel a local practising certificate (the proposed action), the Council must give the holder a notice that:(a) states the proposed action and:(i) if the proposed action is to amend the certificate—states the proposed amendment, and(ii) if the proposed action is to suspend the certificate—states the proposed suspension period, and(b) states the grounds for proposing to take the proposed action, and(c) outlines the facts and circumstances that form the basis for the Council’s belief, and(d) invites the holder to make written representations to the Council within a specified time of not less than 7 days and not more than 28 days, as to why the proposed action should not be taken.(2) If, after considering all written representations made within the specified time and, in its discretion, written representations made after the specified time, the Council still believes a ground exists to take the proposed action, the Council may:(a) if the notice under subsection (1) stated the proposed action was to amend the practising certificate—amend the certificate in the way stated or in a less onerous way the Council considers appropriate because of the representations, or(b) if the notice stated the proposed action was to suspend the practising certificate for a specified period:(i) suspend the certificate for a period no longer than the specified period, or(ii) amend the certificate in a less onerous way the Council considers appropriate because of the representations, or(c) if the notice stated the proposed action was to cancel the practising certificate:(i) cancel the certificate, or(ii) suspend the certificate for a period, or(iii) amend the certificate in a less onerous way the Council considers appropriate because of the representations.(3) The Council may, at its discretion, consider representations made after the specified time.(4) The Council must give the person notice of its decision.(5) If the Council decides to amend, suspend or cancel the practising certificate, the Council must give the holder an information notice about the decision.(6) In this section, amend a certificate means amend the certificate under section 50 during its currency, other than at the request of the holder of the certificate.
62 Operation of amendment, suspension or cancellation of local practising certificate
(1) Application of section
This section applies if a decision is made to amend, suspend or cancel a local practising certificate under section 61 (Amending, suspending or cancelling local practising certificate).(2) Action to take effect on giving of notice or specified date
Subject to subsections (3) and (4), the amendment, suspension or cancellation of the practising certificate takes effect on the later of the following:(a) the day notice of the decision is given to the holder,(b) the day specified in the notice.(3) Grant of stay
If the practising certificate is amended, suspended or cancelled because the holder has been convicted of an offence:(a) the Supreme Court may, on the application of the holder, order that the operation of the amendment, suspension or cancellation of the practising certificate be stayed until:(i) the end of the time to appeal against the conviction, and(ii) if an appeal is made against the conviction—the appeal is finally decided, lapses or otherwise ends, and(b) the amendment, suspension or cancellation does not have effect during any period in respect of which the stay is in force.(4) Quashing of conviction
If the practising certificate is amended, suspended or cancelled because the holder has been convicted of an offence and the conviction is quashed:(a) the amendment or suspension ceases to have effect when the conviction is quashed, or(b) the cancellation ceases to have effect when the conviction is quashed and the certificate is restored as if it had merely been suspended.
63 Other ways of amending or cancelling local practising certificate
(1) The appropriate Council may amend or cancel a local practising certificate if the holder requests the appropriate Council to do so.(2) The appropriate Council may amend a local practising certificate:(a) for a formal or clerical reason, or(b) in another way that does not adversely affect the holder’s interests.(3) The appropriate Council must cancel a local practising certificate if the holder’s name has been removed from the local roll or the holder ceases to be an Australian lawyer.(4) The amendment or cancellation of a local practising certificate under this section is effected by written notice given to the holder.(5) Section 61 (Amending, suspending or cancelling local practising certificate) does not apply in a case to which this section applies.
64 Relationship of this Division with Chapter 4
Nothing in this Division prevents a complaint from being made under Chapter 4 (Complaints and discipline) about a matter to which this Division relates.
Division 7 Special powers in relation to local practising certificates—show cause events
66 Applicant for local practising certificate—show cause event
(1) This section applies if:(a) a person (referred to in this Division as the applicant) is applying for the grant of a local practising certificate, and(b) a show cause event in relation to the person happened, whether before or after the commencement of this section and whether before or after the person was first admitted to the legal profession in this or another jurisdiction.(2) As part of the application, the applicant must provide to the appropriate Council a written statement:(a) about the show cause event, and(b) explaining why, despite the show cause event, the applicant considers himself or herself to be a fit and proper person to hold a local practising certificate.(3) A contravention of subsection (2) is professional misconduct.(4) However, the applicant need not provide a statement under subsection (2) if the applicant (as a previous applicant for a local practising certificate or as the holder of a local practising certificate previously in force) has previously provided to the appropriate Council:(a) a statement under this section, or(b) a notice and statement under section 67,explaining why, despite the show cause event, the applicant considers himself or herself to be a fit and proper person to hold a local practising certificate.(5) If the show cause event is a pre-admission event, the appropriate Council may decide to take no action under this Division in connection with the event, if satisfied that it is appropriate to do so given the passage of time and other circumstances the Council considers relevant (in which case the Council is not required to investigate and determine the matter under section 68).(6) A Council must, within 7 days after receiving a written statement from the applicant under this section about a show cause event, provide a copy of the statement to the Commissioner.(7) A Council may refuse to grant a local practising certificate if the applicant:(a) is required by this section to provide a written statement about a show cause event and has failed to provide the statement in accordance with this section, or(b) has provided a written statement in accordance with this section but, in the opinion of the Council, the applicant has failed to show in the statement that the applicant is a fit and proper person to hold a practising certificate, or(c) has failed without reasonable excuse to comply with a requirement under Chapter 6 (Provisions relating to investigations) made in connection with an investigation of the show cause event concerned or has committed an offence under that Chapter in connection with any such investigation.(8) If a Council refuses to grant a local practising certificate under subsection (7) to an applicant, the Council is not required to exercise its functions under section 68 in relation to the application.
67 Holder of local practising certificate—show cause event
(1) This section applies to a show cause event that happens in relation to a person (referred to in this Division as the holder) who is the holder of a local practising certificate.(2) The holder must provide to the appropriate Council both of the following:(a) within 7 days after the happening of the event—written notice that the event happened,(b) within 28 days after the happening of the event—a written statement explaining why, despite the show cause event, the person considers himself or herself to be a fit and proper person to hold a local practising certificate.(3) A contravention of subsection (2) is professional misconduct.(4) If a written statement is provided after the 28 days mentioned in subsection (2) (b), the appropriate Council may accept the statement and take it into consideration.(5) A Council must, within 7 days after receiving a notice or statement from a local practitioner under this section, provide a copy of the notice or statement to the Commissioner.(6) A Council may cancel or suspend a local practising certificate if the holder:(a) is required by this section to provide notice or a written statement about a show cause event and has failed to provide the notice or statement in accordance with this section, or(b) has provided a written statement in accordance with this section but, in the opinion of the Council, the holder has failed to show in the statement that the holder is a fit and proper person to hold a practising certificate, or(c) has failed without reasonable excuse to comply with a requirement under Chapter 6 (Provisions relating to investigations) made in connection with an investigation of the show cause event concerned or has committed an offence under that Chapter in connection with any such investigation.(7) If a Council cancels or suspends a local practising certificate under subsection (6), the Council is not required to exercise its functions under section 68 in relation to the matter.
68 Investigation and consideration of show cause event
(1) On becoming aware of the happening of a show cause event in relation to an applicant or holder, the appropriate Council must investigate and determine within the required period whether the applicant or holder is a fit and proper person to hold a local practising certificate.(2) The appropriate Council must within 28 days of becoming aware of the happening of the show cause event give notice in writing to the applicant or holder:(a) if the Council has not received a statement under section 66 or 67 in relation to the show cause event, requiring the applicant or holder to provide the required statement, and(b) informing the applicant or holder that a determination in relation to the matter is required to be made under this Division, and(c) informing the applicant or holder of the required period under this section in relation to the determination of the matter and that the applicant or holder will be notified of any extension of that period, and(d) informing the applicant or holder of the effect of the automatic suspension provisions in section 70 in the event of the matter not being determined by the Council or the Commissioner within the required period.(3) The appropriate Council must determine the matter by:(a) deciding that the applicant or holder is a fit and proper person to hold a local practising certificate, or(b) deciding that the applicant or holder is not a fit and proper person to hold a local practising certificate, or(c) deciding that the applicant or holder is a fit and proper person to hold a local practising certificate but that it is appropriate to impose conditions on the applicant’s or holder’s local practising certificate for a specified period.(4) In investigating and determining a matter under this section the appropriate Council:(a) is not limited to investigating and making its determination on the basis of just the show cause event concerned, and(b) must have regard to the facts and circumstances that surround, arise in connection with, relate to or give rise to the show cause event concerned.(5) For the purposes of this section, the required period within which the matter must be determined is the period of 3 months (or 4 months if the Commissioner decides in a particular case to extend the period) commencing on:(a) the date on which the appropriate Council receives a written statement under section 66 or 67 in relation to the show cause event, or(b) if the appropriate Council has not received a written statement as referred to in paragraph (a) when it gives a notice under subsection (2) to the applicant or holder, the date specified in the notice as the date of issue of the notice.(6) If the Commissioner extends a period under subsection (5), the Commissioner must give notice in writing to the applicant or holder concerned of the extension of the period.(7) The appropriate Council is not required to deal with a matter under this section if the matter has previously been the subject of investigation and determination under this section.(8) The appropriate Council must give the applicant or holder an information notice about a decision under subsection (3) (b) or (c). The Commissioner must give that notice if the Commissioner makes the decision in the exercise of the functions of the Council under section 71 (Commissioner taking over determination of matter).
69 Power to renew practising certificate or defer action in special circumstances
(1) Despite any other provision of this Division, a Council may renew a holder’s local practising certificate if the end of the financial year for which the holder’s current practising certificate is in force is imminent and the Council has not made a determination under section 68 in relation to the holder.(2) The renewal of a practising certificate in the circumstances referred to in subsection (1) does not prevent a determination from subsequently being made and action taken under this Division to cancel or suspend the holder’s local practising certificate.(3) Despite any other provision of this Act, a Council required to determine a matter under section 68 in relation to a holder may, for the purpose of enabling the proper arrangement of the affairs of the holder:(a) renew the holder’s local practising certificate for such period, specified in the local practising certificate, as the Council considers necessary to achieve that purpose, or(b) defer cancelling or suspending the holder’s local practising certificate for such period as the Council considers necessary to achieve that purpose.
70 No decision in required period—suspension of practising certificate and referral to Commissioner
(1) If the appropriate Council has not determined a matter under section 68 (Investigation and consideration of show cause event) within the required period under that section:(a) the Commissioner must take over the determination of the matter under that section from the Council, and(b) if the matter concerns the holder of a local practising certificate, the local practising certificate of the holder concerned is suspended.Note. Subsection (1) extends to an applicant for a local practising certificate but the rest of this section applies only to the holder of a local practising certificate that is suspended under subsection (1).(2) A suspension imposed by this section remains in force (unless the Tribunal orders its removal sooner) until:(a) the Commissioner decides that the holder is a fit and proper person to hold a local practising certificate, or(b) the appropriate Council has given effect to any other decision of the Commissioner as required by section 72 (Council to implement decisions under this Division).(3) The holder whose local practising certificate is suspended by this section may make an application to the Tribunal to remove the suspension. The decision of the Tribunal on the application is an original decision for the purposes of the Administrative Decisions Tribunal Act 1997.(4) When dealing with such an application, the Tribunal may make any one or more of the following orders:(a) an order removing the suspension on the grounds that the holder is a fit and proper person to hold a local practising certificate,(b) an order continuing the suspension for a specified period,(c) an order that specified conditions be imposed on the holder’s local practising certificate for a specified period,(d) an order that the appropriate Council cancel the holder’s local practising certificate on the ground that the holder is not a fit and proper person to hold a local practising certificate,(e) an order that the Commissioner suspend any investigation or determination of the matter pending the Tribunal’s decision on the application.(5) The Commissioner may investigate and determine a matter under this Division and exercise powers under this Division in relation to the matter despite a suspension under this section of the local practising certificate concerned unless the Tribunal otherwise orders under this section.(6) The Commissioner and a Council are to give effect to any order of the Tribunal under this section.
71 Commissioner taking over determination of matter
When the Commissioner takes over the determination of a matter under section 68 (Investigation and consideration of show cause event) from a Council:(a) the Council is not required to determine the matter and is to cease to deal with the matter, and(b) the Commissioner has and may exercise the functions of the Council to investigate and determine the matter under section 68 (Investigation and consideration of show cause event), and(c) the Council is to provide any assistance required by the Commissioner to investigate the matter (including copies of or access to all documents held by the Council that relate to the matter or are required for the purpose of investigating the matter).
72 Council to implement decisions under this Division
(1) If the appropriate Council or the Commissioner decides under this Division that the applicant or holder is not a fit and proper person to hold a local practising certificate:(a) the Council must give effect to that decision by refusing the grant of a local practising certificate to the applicant or by immediately cancelling or suspending the holder’s local practising certificate, and(b) the Council may make a complaint in relation to the matter under Part 4.2, or institute proceedings in relation to the matter in the Tribunal under Part 4.8 (as if the matter had been the subject of complaint and investigation under Chapter 4).(2) If a Council institutes proceedings in the Tribunal as referred to in subsection (1) (b), the Council must notify the Commissioner that those proceedings have been instituted.(3) If the appropriate Council decides under this Division that it is appropriate to impose conditions on an applicant’s or holder’s local practising certificate, the Council must give effect to that decision by imposing those conditions.(4) If the Commissioner decides under this Division that it is appropriate to impose conditions on an applicant’s or holder’s local practising certificate, the Council must give effect to that decision by imposing such of those conditions as it considers to be appropriate after consultation with the Commissioner.(5) If the appropriate Council or the Commissioner decides under this Division that the applicant or holder is a fit and proper person to hold a local practising certificate, the Council must, subject to this Act, grant a local practising certificate to the applicant or lift any suspension of the holder’s local practising certificate.(6) Conditions imposed as referred to in this section must continue to be imposed for such period as the appropriate Council has decided is the period for which they should be imposed or (in the case of conditions that the Commissioner has decided it is appropriate to impose) for such period as the appropriate Council has decided is the period for which they should be imposed after consultation with the Commissioner.(7) The appropriate Council must not grant a local practising certificate to an applicant during any period that the Commissioner has directed under this Division that the person is not to be granted a local practising certificate.(8) A cancellation or suspension of or imposition of conditions on a local practising certificate takes effect when the appropriate Council gives notice in writing of it to the holder.(9) Despite section 60 of the Administrative Decisions Tribunal Act 1997, an application to the Tribunal for a review of a decision referred to in this section does not affect the operation of the decision under review or prevent the taking of action under this section to implement that decision.
73 Failure to comply with conditions imposed under this Division
(1) If the holder of a local practising certificate contravenes without reasonable excuse a condition of the practising certificate imposed under this Division:(a) the contravention is professional misconduct, and(b) the appropriate Council may, by written notice given to the holder, cancel or suspend the local practising certificate.(2) The notice under this section must:(a) include an information notice about the cancellation or suspension, and(b) state that the holder may apply for a review of the decision of the Council under section 75.(3) The Council may revoke a suspension under this section at any time.
74 Restriction on making further applications
(1) If the appropriate Council refuses to grant a local practising certificate to an applicant or cancels a holder’s local practising certificate under this Division, the Council may also decide that the applicant or holder is not entitled to apply for the grant of a local practising certificate for a specified period not exceeding 5 years.(2) The Commissioner may, in making a decision that an applicant or holder is not a fit and proper person to hold a local practising certificate, also decide that the applicant or holder is not entitled to apply for the grant of a local practising certificate for a specified period not exceeding 5 years.(3) If the Council or Commissioner makes such a decision, the decision must be included in the information notice required under section 68 (8).(4) A person in respect of whom a decision has been made under this section, or under a provision of a corresponding law, is not entitled to apply for the grant of a local practising certificate during the period specified in the decision.
75 Review of decisions by Tribunal
(1) An applicant or holder who is dissatisfied with a decision of a Council or the Commissioner under this Division with respect to the applicant or holder may apply to the Tribunal for a review of the decision.(2) A Council must notify the Commissioner of the lodging of any application for review of a decision of the Council. The Commissioner must notify the appropriate Council of the lodging of any application for review of a decision of the Commissioner.(3) In proceedings on a review by the Tribunal of a decision under this Division in which the question of whether a person is a fit and proper person to hold a local practising certificate is at issue:(a) the onus of establishing that a person is a fit and proper person to hold a local practising certificate is on the person asserting that fact, and(b) it is to be presumed in the absence of evidence to the contrary that any statement of facts in the reasons of a Council or Commissioner for the decision concerned is a correct statement of the facts in the matter, and(c) a certificate of conviction of an offence (being a certificate referred to in section 178 (Convictions, acquittals and other judicial proceedings) of the Evidence Act 1995) is admissible in the proceedings and is evidence of the commission of the offence by the person to whom it relates, and(d) a document that appears to be a document issued for the purposes of or in connection with any application, proceedings or other matter arising under the Bankruptcy Act 1966 of the Commonwealth is admissible in the proceedings and is evidence of the matters stated in the document.(4) The Tribunal may make any order it considers appropriate on a review under this section, including any of the following orders:(a) an order directing the appropriate Council to grant, or to refuse to grant, an application for a local practising certificate,(b) an order directing the appropriate Council to cancel or suspend for a specified period a local practising certificate, or to reinstate a local practising certificate that has been cancelled or suspended,(c) an order that an applicant or holder is not entitled to apply for the grant of a local practising certificate for a specified period not exceeding 5 years,(d) an order directing the appropriate Council to impose conditions on a local practising certificate for a specified period, or to vary or revoke conditions imposed by the appropriate Council or to vary the period for which they are required to be imposed.(5) The Tribunal may not order the imposition of conditions on a local practising certificate without first taking submissions from the appropriate Council as to the appropriateness of the proposed conditions.(6) The appropriate Council is to give effect to any order of the Tribunal under this section.Note. Reviews are carried out under Chapter 5 of the Administrative Decisions Tribunal Act 1997. Section 729A modifies the operation of that Act. An appeal lies to the Supreme Court under section 729A against a decision of the Administrative Decisions Tribunal.
76 Parties to Tribunal proceedings
(1) The following persons are entitled to appear at a hearing conducted by the Tribunal on a review under section 75 (Review of decisions by Tribunal):(a) the applicant or holder who applied for the review,(b) the relevant Council,(c) the Commissioner,(d) the Attorney General.(2) The Tribunal may grant leave to any other person to appear at the hearing if satisfied that it is appropriate for that person to appear at the hearing.(3) Despite section 71 of the Administrative Decisions Tribunal Act 1997, a person who is entitled to appear at the hearing or who is granted leave to appear at the hearing may appear personally or be represented by an Australian legal practitioner or (with the leave of the Tribunal) by any other person.(4) Any person who appears at a hearing (otherwise than as a witness) is taken to be a party to the proceedings concerned.
77 Relationship of this Division with Chapters 4 and 6
(1) The provisions of Part 4.4 (Investigation of complaints), and the provisions of Chapter 6 (Provisions relating to investigations) that are relevant to Part 4.4, apply, with any necessary adaptations, in relation to a matter under this Division, as if the matter were the subject of a complaint under Chapter 4.(2) Nothing in this Division prevents a complaint from being made under Chapter 4 about a matter to which this Division relates.
Division 8 Further provisions relating to local practising certificates
78 Immediate suspension of local practising certificate
(1) This section applies, despite Divisions 6 and 7, if the appropriate Council considers it necessary in the public interest to immediately suspend a local practising certificate on:(a) any of the grounds on which the certificate could be suspended or cancelled under Division 6, or(b) the ground of the happening of a show cause event in relation to the holder, or(c) any other ground that the Council considers warrants suspension of the local practising certificate in the public interest,whether or not any action has been taken or commenced under Division 6 or 7 in relation to the holder.(2) The Council may, by written notice given to the holder, immediately suspend the practising certificate until the earlier of the following:(a) the time at which the Council informs the holder of the Council’s decision by notice under section 61 (4) (Amending, suspending or cancelling local practising certificate),(b) the end of the period of 56 days after the notice is given to the holder under this section.(3) The notice under this section must:(a) include an information notice about the suspension, and(b) state that the practitioner may make written representations to the Council about the suspension, and(c) state that the person may appeal against the suspension under section 108 (Appeal against certain decisions of Councils).(4) The holder may make written representations to the Council about the suspension, and the Council must consider the representations.(5) The Council may revoke the suspension at any time, whether or not in response to any written representations made to it by the holder.(6) Nothing in this section prevents a Council from making a complaint under Chapter 4 about a matter to which this section relates. The suspension of a local practising certificate under this section does not affect any disciplinary processes in respect of matters arising before the suspension.
79 Surrender of local practising certificate
The regulations may make provision for or with respect to:(a) the surrender of a local practising certificate (and, if appropriate, the grant or issue of another certificate), and(b) the cancellation of a surrendered certificate, and(c) the refund of a fee or portion of a fee paid in respect of a surrendered certificate.
80 Return of local practising certificate
(1) This section applies if a local practising certificate granted to an Australian legal practitioner:(a) is amended, suspended or cancelled by the appropriate Council, or(b) is replaced by another certificate.(2) The appropriate Council may give the practitioner a notice requiring the practitioner to return the certificate to the Council in the way specified in the notice within a specified period of not less than 14 days.(3) The practitioner must comply with the notice, unless the practitioner has a reasonable excuse.Maximum penalty: 20 penalty units.
(4) The Council must return the practising certificate to the practitioner as soon as practicable:(a) if the certificate is amended—after amending it, or(b) if the certificate is suspended and is still current at the end of the suspension period—at the end of the suspension period.
Division 9 Practice as a barrister or solicitor
(1) Practice as a barrister is subject to the barristers rules.(2) Practice as a barrister is not subject to any other rules, practice guidelines or rulings of the Bar Association or Bar Council.
(1) Practice as a solicitor is subject to the solicitors rules.(2) Practice as a solicitor is not subject to any other rules, practice guidelines or rulings of the Law Society or Law Society Council.
(1) Barristers
Barristers may accept any clients, subject to the barristers rules and the conditions of any relevant practising certificate.(2) Solicitors
Solicitors may accept any clients, subject to the solicitors rules and the conditions of any relevant practising certificate.(3) Contracts
A barrister or solicitor may enter into a contract for the provision of services with a client or with another legal practitioner. The barrister or solicitor may accordingly sue and be sued in relation to the contract.(4) Barristers contracts
A barrister may enter into a contract with a client even though the barrister has accepted a brief from a solicitor in the matter.(5) Immunity
Nothing in this section affects any law relating to immunity to suit in relation to advocacy.
(1) A barrister or solicitor may advertise in any way the barrister or solicitor thinks fit, subject to any regulations under section 85.(2) However, an advertisement must not be of a kind that is or that might reasonably be regarded as:(a) false, misleading or deceptive, or(b) in contravention of the Trade Practices Act 1974 of the Commonwealth, the Fair Trading Act 1987 or any similar legislation.(3) A contravention by a barrister or solicitor of subsection (2) is capable of being professional misconduct or unsatisfactory professional conduct, whether or not the barrister or solicitor is convicted of an offence in relation to the contravention.
85 Regulation of advertising and other marketing of services
(1) The regulations may make provision for or with respect to regulating or prohibiting conduct by any person that relates to the marketing of legal services, including (without limitation) regulating or prohibiting any of the following:(a) advertising by a barrister or solicitor,(b) advertising by any person for or on behalf of a barrister or solicitor,(c) advertising by any person in connection with the provision of legal services,(d) advertising by any person of services connected with personal injury.(2) The regulations under this section may create an offence punishable by a penalty not exceeding 200 penalty units.(3) The Attorney General may direct a person in writing not to engage in conduct described in the direction if the Attorney General is satisfied that:(a) the conduct contravenes the regulations under this section, and(b) the person has been engaging in conduct of that or a similar kind.(4) The Tribunal may, on application made under subsection (5), direct a barrister or solicitor not to engage in conduct if the Tribunal is satisfied that:(a) the conduct contravenes the regulations under section 142 of the Workplace Injury Management and Workers Compensation Act 1998, and(b) the barrister or solicitor has been engaging in conduct of that or a similar kind.(5) An application made to the Tribunal may be made under this section by the appropriate Council or the Commissioner.(6) The Tribunal cannot deal with an application for a direction with respect to conduct that is the subject of a direction by the Attorney General under this section or by the appropriate Minister under section 142 of the Workplace Injury Management and Workers Compensation Act 1998. Any such ministerial direction may be given with respect to any conduct even if proceedings are pending before, or have been dealt with by, the Tribunal with respect to the conduct.(7) The following applies in connection with proceedings before the Tribunal under this section:(a) the parties to the proceedings are the applicant and the person to whom the direction is proposed to be given,(b) the matter is to be allocated to the Legal Services Division of the Tribunal,(c) the Tribunal is to conduct an initial ex parte hearing for the purpose of determining whether to issue a direction pending the final determination of the matter.(8) A person who contravenes a direction under this section is guilty of an offence.Maximum penalty: 200 penalty units.
(9) A contravention by a barrister or solicitor:(a) of a direction under this section or under section 142 of the Workplace Injury Management and Workers Compensation Act 1998 is professional misconduct, or(b) of a regulation under this section (or under section 142 of that Act) is professional misconduct, but only if the regulation declares that the contravention is professional misconduct.(10) The Attorney General is not required, before giving a direction under this section, to notify the person to whom the direction is given or any other person who may be affected by the direction.(11) A direction under this section may be amended or revoked.(12) (Repealed)(13) In this section:personal injury includes pre-natal injury, impairment of a person’s physical or mental condition or a disease.
(1) A barrister or solicitor must not advertise or hold himself or herself out as being a specialist or as offering specialist services, unless the barrister or solicitor:(a) has appropriate expertise and experience, or(b) is appropriately accredited under an accreditation scheme conducted or approved by the Bar Council or Law Society Council.(2) The Bar Council or Law Society Council is required to approve an accreditation scheme if directed to do so by the Attorney General.
(1) Barristers and solicitors may act as advocates.(2) Barristers and solicitors may appear, and have a right of audience, in any court as advocates.(3) Joint rules may be made about ethical rules to be observed by barristers and solicitors in the practice of advocacy.
(1) In any proceedings, one or more barristers and one or more solicitors may appear together as advocates.(2) The appearance together as advocates of a barrister and solicitor may be regulated by joint rules, but not by legal profession rules made by one Council only.
(1) There is no rule or practice that prevents a barrister from attending on another barrister or solicitor or a solicitor from attending on another solicitor or barrister.(2) Nothing in this section prevents arrangements being made between individual Australian legal practitioners with regard to attendance on each other.
90 Prohibition of official schemes for recognition of seniority or status
(1) Any prerogative right or power of the Crown to appoint persons as Queen’s Counsel or to grant letters patent of precedence to counsel remains abrogated.(2) Nothing in this section affects the appointment of a person who was appointed as Queen’s Counsel before the commencement of this section.(3) Nothing in this section abrogates any prerogative right or power of the Crown to revoke such an appointment.(4) No law or practice prevents a person who was Queen’s Counsel immediately before the commencement of this section from continuing to be Queen’s Counsel while a barrister or solicitor.(5) Executive or judicial officers of the State have no authority to conduct a scheme for the recognition or assignment of seniority or status among legal practitioners.(6) Nothing in subsection (5) prevents the publication of a list of legal practitioners in the order of the dates of their admission, or a list of barristers or solicitors in the order of the dates of their becoming barristers or solicitors, or a list of Queen’s Counsel in their order of seniority.(7) In this section:executive or judicial officers includes the Governor, Ministers of the Crown, Parliamentary Secretaries, statutory office holders, persons employed in the Public Service or by the State, an authority of the State or another public employer, and also includes judicial office holders or persons acting under the direction of the Chief Justice of New South Wales or other judicial office holder.
Queen’s Counsel means one of Her Majesty’s Counsel learned in the law for the State of New South Wales and extends to King’s Counsel where appropriate.
Division 10 Fees for practising certificates
91 Fee for practising certificate
(1) A fee is payable for the grant or renewal of a local practising certificate of such amount as is determined by the appropriate Council and approved by the Attorney General.(2) A Council may determine different practising certificate fees according to such different factors as are specified in the determination and approved by the Attorney General.(3) A Council may waive payment of the practising certificate fee or any part of the fee.(4) Subject to the regulations (if any), a Council is to determine the practising certificate fee on a cost recovery basis, with the fee being such amount as is required from time to time for the purpose of recovering the costs of or associated with the regulatory functions of the Council or of the Bar Association or Law Society, as the case requires.(5) The regulatory functions of a Council, the Bar Association or the Law Society are its functions under this Act, and any other functions it exercises that are associated with the regulation of legal practice or maintaining professional standards of legal practice.(6) The practising certificate fee is not to include any charge for membership of the Bar Association or Law Society and is not to include any amount that is required for the purpose of recovering any costs of or associated with providing services or benefits to which local legal practitioners become entitled as members of the Bar Association or Law Society.(7) In addition, in determining the practising certificate fee, a Council must exclude costs that are otherwise recoverable under this Act (for example, costs payable from the Public Purpose Fund under this Act).(8) The regulations may make provision for or with respect to the determination of practising certificate fees, including by specifying the costs that may or may not be recovered by the charging of practising certificate fees.(9) In this section:costs includes expenses.
(1) This section applies if an application for a local practising certificate is made during the late fee period.(2) Payment of a late fee prescribed by or determined under the regulations may, if the Council thinks fit, be required as a condition of acceptance of the application.
92A Late fee for certain applications for new practising certificates
(1) This section applies if an application for the grant of a local practising certificate to have effect during a financial year is made to a Council by a person who was the holder of a local practising certificate granted by the Council in respect of the previous financial year.(2) Payment of an additional fee prescribed by or determined under the regulations may, if the Council thinks fit, be required as a condition of acceptance of the application.
94 Submission of budget to Attorney General
(1) The Attorney General may from time to time require a Council to prepare and submit a budget to the Attorney General, in respect of such period as the Attorney General directs, relating to any costs (or projected costs) that are recoverable (or are proposed to be recovered) by the charging of a practising certificate fee.(2) The budget is to include such information as the Attorney General directs. In particular, the Attorney General may require the provision of information about the administration of the Council (including the Bar Association and the Law Society).(3) The Attorney General may refuse to approve the amount of a practising certificate fee under section 91 (Fee for practising certificate) if the Council has failed to submit a budget as required under this section.(4) In this section:costs includes expenses.
95 Audit of Council activities
(1) The Attorney General may appoint an appropriately qualified person to conduct an audit of all or any particular activities of a Council for the purpose of determining the following:(a) whether any activities the costs of which are recoverable, or are proposed to be recovered, by the charging of a practising certificate fee are being carried out economically and efficiently and in accordance with the relevant laws,(b) whether practising certificate fees are being expended for the purpose of defraying the costs in respect of which the fees are charged.(2) A Council is to provide all reasonable assistance to the person appointed to conduct the audit.(3) The person appointed to conduct the audit is to report to the Attorney General on the result of the audit.(4) An audit may be conducted under this section whenever the Attorney General considers it appropriate.(5) In this section:audit includes an examination and inspection.
costs includes expenses.
Council includes the Bar Association and the Law Society.
Division 11 Interstate legal practitioners
98 Requirement for professional indemnity insurance
(1) An interstate legal practitioner must not engage in legal practice in this jurisdiction, or represent or advertise that the practitioner is entitled to engage in legal practice in this jurisdiction, unless the practitioner:(a) is covered by professional indemnity insurance that:(i) covers legal practice in this jurisdiction, and(ii) has been approved under or complies with the requirements of the corresponding law of the practitioner’s home jurisdiction, and(iii) is for at least $1.5 million (inclusive of defence costs),unless (without affecting subparagraph (i) or (ii)) the practitioner engages in legal practice solely as or in the manner of a barrister, or(b) is employed by a corporation or by a prescribed body, other than an incorporated legal practice, and the only legal services provided by the practitioner in this jurisdiction are in-house legal services.Maximum penalty: 100 penalty units.
(2) Subsection (1) does not apply to an interstate legal practitioner who:(a) is a government lawyer as defined in section 114, and(b) is engaged in legal practice in this jurisdiction only to the extent that the practitioner is engaging in government work, and(c) has an indemnity or immunity (whether provided by law or governmental policy) that is applicable in respect of that legal practice.
100 Extent of entitlement of interstate legal practitioner to practise in this jurisdiction
(1) This Division does not authorise an interstate legal practitioner to engage in legal practice in this jurisdiction to a greater extent than a local legal practitioner could be authorised under a local practising certificate.(2) Also, an interstate legal practitioner’s right to engage in legal practice in this jurisdiction:(a) is subject to:(i) any conditions imposed by the appropriate Council under section 101 (Additional conditions on practice of interstate legal practitioners), and(ii) any conditions imposed by or under the legal profession rules as referred to in that section, and(b) is, to the greatest practicable extent and with all necessary changes:(i) the same as the practitioner’s right to engage in legal practice in the practitioner’s home jurisdiction, and(ii) subject to any condition on the practitioner’s right to engage in legal practice in that jurisdiction, including any conditions imposed on his or her admission to the legal profession in this or another jurisdiction.(3) If there is an inconsistency between conditions mentioned in subsection (2) (a) and conditions mentioned in subsection (2) (b), the conditions that are, in the opinion of the appropriate Council, more onerous prevail to the extent of the inconsistency.(4) An interstate lawyer must not engage in legal practice in this jurisdiction in a manner not authorised by this Act or in contravention of any condition referred to in this section.(5) (Repealed)
101 Additional conditions on practice of interstate legal practitioners
(1) The appropriate Council may, by written notice to an interstate legal practitioner engaged in legal practice in this jurisdiction, impose any condition on the practitioner’s practice that it may impose under this Act on a local practising certificate.(2) Also, an interstate legal practitioner’s right to engage in legal practice in this jurisdiction is subject to any condition imposed by or under an applicable legal profession rule.(3) Conditions imposed under or referred to in this section must not be more onerous than conditions applying to local legal practitioners.(4) A notice under this section must include an information notice about the decision to impose a condition.(5) An interstate legal practitioner must not contravene a condition imposed under this section.
102 Special provisions about interstate legal practitioner engaging in unsupervised legal practice as solicitor in this jurisdiction
(1) An interstate legal practitioner must not engage in unsupervised legal practice as a solicitor in this jurisdiction unless:(a) if the interstate legal practitioner completed practical legal training principally under the supervision of an Australian lawyer, whether involving articles of clerkship or otherwise, to qualify for admission to the legal profession in this or another jurisdiction—the interstate legal practitioner has undertaken a period or periods equivalent to 18 months’ supervised legal practice, worked out under relevant regulations, after the day the practitioner’s first practising certificate was granted, or(b) if the interstate legal practitioner completed other practical legal training to qualify for admission to the legal profession in this or another jurisdiction—the interstate legal practitioner has undertaken a period or periods equivalent to 2 years’ supervised legal practice, worked out under relevant regulations, after the day the practitioner’s first practising certificate was granted.(2) Subsection (1):(a) does not apply if the interstate legal practitioner is exempt from the requirement for supervised legal practice in the practitioner’s home jurisdiction, or(b) applies only to the extent of a shorter period if the required period of supervised legal practice has been reduced for the interstate legal practitioner in the practitioner’s home jurisdiction.
103 Interstate legal practitioner is officer of Supreme Court
An interstate legal practitioner engaged in legal practice in this jurisdiction has all the duties and obligations of an officer of the Supreme Court, and is subject to the jurisdiction and powers of the Supreme Court in respect of those duties and obligations.
(1) The Councils separately or jointly may enter into arrangements (referred to in this Division as protocols) with regulatory authorities of other jurisdictions about determining:(a) the jurisdiction from which an Australian lawyer engages in legal practice principally or can reasonably expect to engage in legal practice principally, or(b) the circumstances in which an arrangement under which an Australian legal practitioner practises in a jurisdiction:(i) can be regarded as being of a temporary nature, or(ii) ceases to be of a temporary nature, or(c) the circumstances in which an Australian legal practitioner can reasonably expect to engage in legal practice principally in a jurisdiction during the currency of an Australian practising certificate.(2) For the purposes of this Act, and to the extent that the protocols are relevant, a matter referred to in subsection (1) (a), (b) or (c) is to be determined in accordance with the protocols.(3) The Councils may enter into arrangements that amend, revoke or replace a protocol.(4) A protocol does not have effect in this jurisdiction unless it is embodied or identified in the regulations.
105 Consideration and investigation of applicants or holders
(1) To help it consider whether or not to grant, renew, amend, suspend or cancel a local practising certificate, a Council may, by notice to the applicant or holder, require the applicant or holder:(a) to give it specified documents or information, or(b) to be medically examined by a medical practitioner nominated by the Council, or(c) to co-operate with any inquiries by the Council that it considers appropriate.(2) A failure to comply with a notice under subsection (1) by the date specified in the notice and in the way required by the notice is a ground for making an adverse decision in relation to the action being considered by the Council.(3) Without limiting subsection (2), a failure to comply with a requirement for medical examination may be accepted by the Council as evidence of the unfitness of the person to engage in legal practice.
106 Register of local practising certificates
(1) A Council must keep a register of the names of Australian lawyers to whom it grants local practising certificates.(2) The regulations may make provision for or with respect to the following:(a) the information that may be included in the register,(b) the information that must be included in the register,(c) the notification by local legal practitioners to the appropriate Council of changes of particulars,(d) the notification by the Council to other authorities of particulars contained in the register,(e) the removal of information from the register relating to former holders of certificates.(3) The register must state the conditions (if any) imposed on a local practising certificate in relation to engaging in legal practice.(4) A condition imposed on a local practising certificate relating to infirmity, injury or mental or physical illness is not to be stated on the register unless:(a) the condition restricts the holder’s right to engage in legal practice, or(b) the holder consents to the condition being stated on the register.(5) The register may be kept in the way the Council decides.(6) The Council may publish, in circumstances that it considers appropriate, the names of persons kept on the register and any other information included in the register concerning those persons.(7) The register must be available for inspection, without charge, at the Council’s office during normal business hours.
(1) The Commissioner or a Council may apply to the Supreme Court for an order or injunction that a local legal practitioner not contravene a condition imposed under this Part.(2) The Commissioner or a Council may apply to the Supreme Court for an order or injunction that an interstate legal practitioner not contravene a requirement of section 100 (4) (Extent of entitlement of interstate legal practitioner to practise in this jurisdiction).(3) No undertaking as to damages or costs is required.(4) The Supreme Court may grant an order or injunction on such terms as it considers appropriate, and make any order it considers appropriate, on the application.(5) This section does not affect the generality of section 720 (Injunctions).
108 Appeal against certain decisions of Councils
(1) A person who is dissatisfied with any of the following decisions of a Council may appeal to the Supreme Court against the decision:(a) a decision to refuse to grant or renew a local practising certificate, or(b) a decision to amend, suspend or cancel a local practising certificate.(2) The Supreme Court may make such order in the matter as it thinks fit.(3) Except to the extent (if any) that may be ordered by the Supreme Court, the lodging of an appeal does not stay the effect of the refusal, cancellation, amendment or suspension appealed against.(4) This section does not apply to a decision under Division 7.
The Attorney General, while admitted to the legal profession in this or any other jurisdiction, is entitled to an unconditional practising certificate. The Attorney General may elect to hold a practising certificate as a barrister or as a solicitor.
(1) The Crown Solicitor may, in his or her official capacity, act as solicitor for:(a) the State of New South Wales, or(b) a person suing or being sued on behalf of the State of New South Wales, or(c) a Minister of the Crown in his or her official capacity as such a Minister, or(d) a body established by an Act or other law of New South Wales, or(e) an officer or employee of the Public Service or any other service of the State of New South Wales or of a body established by an Act or other law of New South Wales, or(f) a person holding office under an Act or other law of New South Wales or because of the person’s appointment to that office by the Governor or a Minister of the Crown, or(g) any other person or body, or any other class of persons or bodies, approved by the Attorney General.(2) The Crown Solicitor may act under subsection (1):(a) with or without charge, or(b) for a party in a matter that is not the subject of litigation, even if also acting under that subsection for another party in the matter.(3) The Crown Solicitor may, in his or her official capacity, act as agent for:(a) another State or a Territory, or(b) at the request of another State or a Territory—an instrumentality of, or a person in the service of, that State or Territory.(4) If, under subsection (1) (g), the Crown Solicitor is given approval to act as solicitor for a Minister of the Crown (otherwise than in his or her official capacity as such a Minister), the following must be included in the annual report under the Annual Reports (Departments) Act 1985 of the Crown Solicitor’s activities:(a) the name of the Minister,(b) the matter in which the Crown Solicitor acted (but without disclosure of any confidential client information),(c) the costs incurred by the Crown Solicitor in acting for the Minister and the amount charged to the Minister for so acting.(5) In this section, a reference to a State or a Territory includes a reference to the Crown in right of the State or Territory and to the Government of the State or Territory.
111 Government and other lawyers—exemption from certain conditions
(1) This section applies to each of the following persons:(a) a local legal practitioner who is the holder of a statutory position under the Crown (whether in the right of this jurisdiction or in another right),(b) a local legal practitioner who acts as parliamentary counsel under a contract of service, or contract for services, with the Crown (whether in the right of this jurisdiction or in another right),(c) a local legal practitioner who is, or is a member of a class or description of local legal practitioners, specified by the appropriate Council for the purposes of this subsection,(d) a local legal practitioner who is, or is a member of a class or description of local legal practitioners, specified by the regulations for the purposes of this subsection,while the person is a local legal practitioner to whom at least one of the paragraphs of this subsection applies.(2) The local practising certificate of a person to whom this section applies is not subject to conditions of the kind referred to in section 50 (3) (a), (b) and (d) (Conditions imposed by Council) or 56 (1) (Additional conditions on practising certificates of barristers), other than a condition relating to continuing legal education.
112 Government lawyers—exemption from certain provisions
(1) Nothing in Division 9 (Practice as a barrister or solicitor) affects:(a) practice as a barrister as the holder of a statutory office under the Crown (whether in right of New South Wales or in another right), or(b) practice as parliamentary counsel under a contract of service, or contract for services, with the Crown (whether in right of New South Wales or in another right).(2) This section does not limit the operation of section 114 (Government lawyers of other jurisdictions).
113 Government lawyers—imposition of additional conditions
Without limiting section 50 (Conditions imposed by Council), the Bar Council may under that section impose conditions of the following kinds on the local practising certificate of a barrister:(a) a condition limiting the holder to practising as a barrister as the holder of a statutory office under the Crown (whether in right of New South Wales or in another right),(b) a condition limiting the holder to practising as a barrister in any other office under a contract of service, or contract for services, with the Crown (whether in right of New South Wales or in another right),(c) a condition limiting the holder to practising as parliamentary counsel under a contract of service, or contract for services, with the Crown (whether in right of New South Wales or in another right).
114 Government lawyers of other jurisdictions
(1) A government lawyer of another jurisdiction is not subject to:(a) any prohibition under this Act about:(i) engaging in legal practice in this jurisdiction, or(ii) making representations about engaging in legal practice in this jurisdiction, or(b) conditions imposed on a local practising certificate, or(c) requirements of legal profession rules, or(d) professional discipline,in respect of the performance of his or her official duties or functions as a government lawyer of the other jurisdiction to the extent that he or she is exempt from matters of the same kind under a law of the other jurisdiction.(2) Contributions and levies are not payable to the Fidelity Fund by or in respect of a government lawyer of another jurisdiction in his or her capacity as a government lawyer.(2A) Without affecting the generality of subsection (1), that subsection extends to prohibitions under section 98 relating to professional indemnity insurance.(3) Without affecting subsections (1), (2) and (2A), nothing in this section prevents a government lawyer of another jurisdiction from being granted or holding a local practising certificate.(4) In this section:another jurisdiction means:
(a) another State or Territory of the Commonwealth, or(b) the Commonwealth.government agency of another jurisdiction means:
(a) a government department of that jurisdiction, or(b) a body or organisation that is established by or under the law of that jurisdiction for a public purpose or to exercise governmental functions,and includes a body or organisation (or a class of bodies or organisations) prescribed by the regulations as being within this definition.government lawyer means an Australian lawyer, or a person eligible for admission to the legal profession, employed in or by a government agency of another jurisdiction.
115 Non-compellability of certain witnesses
(1) A person referred to in section 601 (Protection from liability) is not compellable in any legal proceedings to give evidence or produce documents in respect of any matter in which the person was involved in the course of the administration of this Part.(2) This section does not apply to:(a) proceedings under Part 3 of the Royal Commissions Act 1923, or(b) proceedings before the Independent Commission Against Corruption, or(c) a hearing under the Special Commissions of Inquiry Act 1983, or(d) an inquiry under the Ombudsman Act 1974.
Part 2.5 Inter-jurisdictional provisions regarding admission and practising certificates
The purpose of this Part is to provide a nationally consistent scheme for the notification of and response to action taken by courts and other authorities in relation to the admission of persons to the legal profession and their right to engage in legal practice in Australia.
In this Part:foreign regulatory action taken in relation to a person means:
(a) removal of the person’s name from a foreign roll for disciplinary reasons, or(b) suspension or cancellation of, or refusal to renew, the person’s right to engage in legal practice in a foreign country.
118 Other requirements not affected
Powers and duties under this Part are additional to those under Chapter 4 (Complaints and discipline) or any other Chapter of this Act.
Division 2 Notifications to be given by local authorities to interstate authorities
119 Official notification to other jurisdictions of applications for admission and associated matters
(1) This section applies if an application for admission to the legal profession is made under this Act.(2) The Admission Board may give the corresponding authority for another jurisdiction written notice of any of the following (as relevant):(a) the making of the application,(b) the withdrawal of the application,(c) the refusal to issue a compliance certificate in relation to the application.(3) The notice must state the applicant’s name and address as last known to the Admission Board and may contain other relevant information.
120 Official notification to other jurisdictions of removals from local roll
(1) This section applies if a person’s name is removed from the local roll, except where the removal occurs under section 126 (Peremptory removal of local lawyer’s name from local roll following removal in another jurisdiction).(2) The Prothonotary must, as soon as practicable, give written notice of the removal to:(a) the corresponding authority of every other jurisdiction, and(b) the registrar or other proper officer of the High Court.(3) The notice must state:(a) the person’s name and address as last known to the Prothonotary, and(b) the date the person’s name was removed from the roll, and(c) the reason for removing the person’s name,and may contain other relevant information.
121 Council to notify other jurisdictions of certain matters
(1) If:(a) the appropriate Council takes any of the following actions:(i) refuses to grant an Australian lawyer a local practising certificate,(ii) suspends, cancels or refuses to renew an Australian lawyer’s local practising certificate, or(b) the lawyer successfully appeals against the action taken,the Council must, as soon as practicable, give the corresponding authorities of other jurisdictions written notice of the action taken or the result of the appeal.(2) The notice must state:(a) the lawyer’s name and address as last known to the Council, and(b) particulars of:and may contain other relevant information.(i) the action taken and the reasons for it, or(ii) the result of the appeal,(3) The appropriate Council may give corresponding authorities written notice of a condition imposed on an Australian lawyer’s local practising certificate.
Division 3 Notifications to be given by lawyers to local authorities
122 Lawyer to give notice of removal of name from interstate roll
(1) If a local lawyer’s name has been removed from an interstate roll, the lawyer must, as soon as practicable, give the Prothonotary a written notice of the removal.Maximum penalty: 50 penalty units.
(2) If a local legal practitioner’s name has been removed from an interstate roll, the practitioner must, as soon as practicable, give the appropriate Council a written notice of the removal.Maximum penalty: 50 penalty units.
(3) This section does not apply where the name has been removed from an interstate roll under a provision that corresponds to section 126 (Peremptory removal of local lawyer’s name from local roll following removal in another jurisdiction).
123 Lawyer to give notice of interstate orders
(1) If an order is made under a corresponding law recommending that the name of a local lawyer be removed from the local roll, the lawyer must, as soon as practicable, give the Prothonotary written notice of the order.Maximum penalty: 50 penalty units.
Note. Chapter 4 requires the Supreme Court to order removal of the local lawyer’s name from the local roll in these circumstances.(2) If an order is made under a corresponding law in relation to a local legal practitioner that:(a) the practitioner’s local practising certificate be suspended or cancelled, or(b) a local practising certificate not be granted to the practitioner for a period, or(c) an order that conditions be imposed on the practitioner’s local practising certificate,the person must, as soon as practicable, give the appropriate Council written notice of the order.Maximum penalty: 50 penalty units.
Note. Chapter 4 requires the appropriate Council to give effect to orders made under corresponding laws.
124 Lawyer to give notice of foreign regulatory action
(1) If foreign regulatory action has been taken in relation to a local lawyer, the lawyer must, as soon as practicable, give the Prothonotary a written notice of the action taken.Maximum penalty: 50 penalty units.
(2) If foreign regulatory action has been taken in relation to a local legal practitioner, the practitioner must, as soon as practicable, give the appropriate Council a written notice of the action taken.Maximum penalty: 50 penalty units.
125 Provisions relating to requirement to notify
A notice to be given under this Division by a person must:(a) state his or her name and address, and(b) disclose full details of the action to which the notice relates, including the date on which that action was taken, and(c) be accompanied by a copy of any official notification provided to him or her in connection with that action.
Division 4 Taking of action by local authorities in response to notifications received
126 Peremptory removal of local lawyer’s name from local roll following removal in another jurisdiction
(1) This section applies if the Prothonotary is satisfied that:(a) a local lawyer’s name has been removed from an interstate roll, and(b) no order referred to in section 130 (1) (a) (Order for non-removal of name or non-cancellation of local practising certificate) is, at the time of that removal, in force in relation to it.(2) The Prothonotary must remove the lawyer’s name from the local roll.(3) The Prothonotary may, but need not, give the lawyer notice of the date on which the Prothonotary proposes to remove the name from the local roll.(4) The Prothonotary must, as soon as practicable, give the former local lawyer notice of the removal of the name from the local roll, unless notice of the date of the proposed removal was previously given.(5) The name of the former local lawyer is, on his or her application to the Prothonotary or on the Prothonotary’s own initiative, to be restored to the local roll if the name is restored to the interstate roll.(6) Nothing in this section prevents the former local lawyer from afterwards applying for admission under Part 2.3 (Admission of local lawyers).
127 Peremptory cancellation of local practising certificate following removal of name from interstate roll
(1) This section applies if:(a) a local legal practitioners’s name is removed from an interstate roll but he or she remains an Australian lawyer, and(b) no order referred to in section 130 (1) (b) (Order for non-removal of name or non-cancellation of local practising certificate) is, at the time of that removal, in force in relation to it.(2) The appropriate Council must cancel the local practising certificate as soon as practicable after receiving official written notification of the removal and may cancel the practising certificate before that time.(3) The Council may, but need not, give the person notice of the date on which the Council proposes to cancel the local practising certificate.(4) The Council must, as soon as practicable, give the person notice of the cancellation, unless notice of the date of the proposed cancellation was previously given.(5) Nothing in this section prevents the former local legal practitioner from afterwards applying for a local practising certificate.
128 Show cause procedure for removal of lawyer’s name from local roll following foreign regulatory action
(1) This section applies if the appropriate authority is satisfied that:(a) foreign regulatory action has been taken in relation a local lawyer, and(b) no order referred to in section 130 (1) (a) (Order for non-removal of name or non-cancellation of local practising certificate) is in force in relation to it.(2) The authority may serve on the lawyer a notice stating that the authority will apply to the Supreme Court for an order that the lawyer’s name be removed from the local roll unless the lawyer shows cause to the authority why his or her name should not be removed.(3) If the lawyer does not satisfy the authority that his or her name should not be removed from the local roll, the authority may apply to the Supreme Court for an order that his or her name be removed from the local roll.(4) Before applying for an order that the lawyer’s name be removed, the authority must afford the lawyer a reasonable opportunity to show cause why his or her name should not be removed.(5) The Supreme Court may, on application made under this section, order that the lawyer’s name be removed from the local roll, or may refuse to do so.(6) The lawyer is entitled to appear before and be heard by the Supreme Court at a hearing in respect of an application under this section.(7) In this section:appropriate authority means:
(a) if the local lawyer holds a local practising certificate—the appropriate Council, or(b) if the local lawyer does not hold a local practising certificate but holds an interstate practising certificate—either Council, or(c) if the local lawyer holds neither a local practising certificate nor an interstate practising certificate—the Law Society Council.
129 Show cause procedure for cancellation of local practising certificate following foreign regulatory action
(1) This section applies if the appropriate Council is satisfied that:(a) foreign regulatory action has been taken in relation to a local legal practitioner, and(b) no order referred to in section 130 (1) (b) (Order for non-removal of name or non-cancellation of local practising certificate) is in force in relation to it.(2) The Council may serve on the practitioner a notice stating that the Council proposes to cancel his or her local practising certificate unless the practitioner shows cause to the Council why his or her practising certificate should not be cancelled.(3) The Council must afford the practitioner a reasonable opportunity to show cause why his or her practising certificate should not be cancelled.(4) If the practitioner does not satisfy the Council that the practising certificate should not be cancelled, the Council may cancel the certificate.(4A) The Council must, as soon as practicable, give the practitioner an information notice about its decision to cancel the practising certificate.(5) The practitioner may appeal to the Supreme Court against a decision of the Council to cancel the practising certificate.(6) The Supreme Court may make any order it considers appropriate on the appeal.
130 Order for non-removal of name or non-cancellation of local practising certificate
(1) If an Australian lawyer reasonably expects that his or her name will be removed from an interstate roll or that foreign regulatory action will be taken against the lawyer, the lawyer may apply to the Supreme Court for:(a) an order that his or her name not be removed from the local roll under section 126 (Peremptory removal of local lawyer’s name from local roll following removal in another jurisdiction) or section 128 (Show cause procedure for removal of lawyer’s name from local roll following foreign regulatory action), or(b) an order that his or her local practising certificate not be cancelled under section 127 (Peremptory cancellation of local practising certificate following removal of name from interstate roll) or section 129 (Show cause procedure for cancellation of local practising certificate following foreign regulatory action),or both.(2) The Supreme Court may make the order or orders applied for if satisfied that:(a) the lawyer’s name is likely to be removed from the interstate roll or the foreign regulatory action is likely to be taken, and(b) the reason for the removal of the name or the taking of the foreign regulatory action will not involve disciplinary action or the possibility of disciplinary action,or may refuse to make an order.(3) An order under this section may be made subject to any conditions the Supreme Court considers appropriate and remains in force for the period specified in it.(4) The Supreme Court may revoke an order made under this section, and sections 126–129 (as relevant) then apply as if the lawyer’s name were removed from the interstate roll or the foreign regulatory action were taken when the revocation takes effect.(5) Nothing in this section affects action being taken in relation to the lawyer under other provisions of this Act.
131 Local authority may give information to other local authorities
A regulatory authority of this jurisdiction that receives information from a regulatory authority of another jurisdiction under provisions of a corresponding law that correspond to this Part may furnish the information to other regulatory authorities of this jurisdiction that have powers or duties under this Act.
Part 2.6 Incorporated legal practices and multi-disciplinary partnerships
The purposes of this Part are:(a) to regulate the provision of legal services by corporations in this jurisdiction, and(b) to regulate the provision of legal services in this jurisdiction in conjunction with the provision of other services (whether by a corporation or persons acting in partnership with each other).
In this Part:corporation means:
(a) a company within the meaning of the Corporations Act 2001 of the Commonwealth, or(b) any other body corporate, or body corporate of a kind, prescribed by the regulations.director, in relation to:
(a) a company within the meaning of the Corporations Act 2001 of the Commonwealth—means a director as defined in section 9 of that Act, or(b) any other body corporate, or body corporate of a kind, prescribed by the regulations—means a person specified or described in the regulations.legal practitioner director means a director of an incorporated legal practice who is an Australian legal practitioner holding an unrestricted practising certificate.
legal practitioner partner means a partner of a multi-disciplinary partnership who is an Australian legal practitioner holding an unrestricted practising certificate.
officer means:
(a) in relation to a company within the meaning of the Corporations Act 2001 of the Commonwealth—an officer as defined in section 9 of that Act, or(b) in relation to any other body corporate, or body corporate of a kind, prescribed by the regulations—a person specified or described in the regulations.professional obligations of an Australian legal practitioner include:
(a) duties to the Supreme Court, and(b) obligations in connection with conflicts of interest, and(c) duties to clients, including disclosure, and(d) ethical rules required to be observed by the practitioner.Regulator means:
(a) in relation to this jurisdiction—the Commissioner, or(b) in relation to another jurisdiction—the person or body defined as the Regulator in relation to that jurisdiction by the corresponding law of that jurisdiction or, if there is no such definition, the corresponding authority.related body corporate means:
(a) in relation to a company within the meaning of the Corporations Act 2001 of the Commonwealth—a related body corporate within the meaning of section 50 of that Act, or(b) in relation to any other body corporate, or body corporate of a kind, prescribed by the regulations—a person specified or described in the regulations.
Division 2 Incorporated legal practices
134 Nature of incorporated legal practice
(1) An incorporated legal practice is a corporation that engages in legal practice in this jurisdiction, whether or not it also provides services that are not legal services.(2) However, a corporation is not an incorporated legal practice if:(a) the corporation does not receive any form of, or have any expectation of, a fee, gain or reward for the legal services it provides, or(b) the only legal services that the corporation provides are any or all of the following services:(i) in-house legal services, namely, legal services provided to the corporation concerning a proceeding or transaction to which the corporation (or a related body corporate) is a party,(ii) services that are not legally required to be provided by an Australian legal practitioner and that are provided by an officer or employee who is not an Australian legal practitioner, or(c) the corporation is a complying community legal centre, or(d) this Division or the regulations so provide.(3) The regulations may make provision for or with respect to the application (with or without specified modifications) of provisions of this Act to corporations that are not incorporated legal practices because of the operation of subsection (2).(4) Nothing in this Division affects or applies to the provision by an incorporated legal practice of legal services in one or more other jurisdictions.
135 Non-legal services and businesses of incorporated legal practices
(1) An incorporated legal practice may provide any service and conduct any business that the corporation may lawfully provide or conduct, except as provided by this section.(2) An incorporated legal practice (or a related body corporate) must not conduct a managed investment scheme.(3) The regulations may prohibit an incorporated legal practice (or a related body corporate) from providing a service or conducting a business of a kind specified by the regulations.
136 Corporations eligible to be incorporated legal practice
(1) Any corporation is, subject to this Division, eligible to be an incorporated legal practice.(2) This section does not authorise a corporation to provide legal services if the corporation is prohibited from doing so by any Act or law (whether of this jurisdiction, the Commonwealth or any other jurisdiction) under which it is incorporated or its affairs are regulated.(3) An incorporated legal practice is not itself required to hold an Australian practising certificate.
137 Notice of intention to start providing legal services
(1) Before a corporation starts to engage in legal practice in this jurisdiction, the corporation must give the Law Society written notice, in the approved form, of its intention to do so.(2) A corporation must not engage in legal practice in this jurisdiction if it is in default of this section.Maximum penalty: 50 penalty units.
(3) A corporation that starts to engage in legal practice in this jurisdiction without giving a notice under subsection (1) is in default of this section until it gives the Law Society written notice, in the approved form, of the failure to comply with that subsection and the fact that it has started to engage in legal practice.(4) The giving of a notice under subsection (3) does not affect a corporation’s liability under subsection (1) or (2).(5) A corporation is not entitled to recover any amount for anything the corporation did in contravention of subsection (2).(6) A person may recover from a corporation or a legal practitioner associate of the corporation, as a debt due to the person, any amount the person paid to or at the direction of the corporation for anything the corporation did in contravention of subsection (2).(7) This section does not apply to a corporation referred to in section 134 (2) (a), (b) or (c).
138 Prohibition on representations that corporation is incorporated legal practice
(1) A corporation must not, without reasonable excuse, represent or advertise that the corporation is an incorporated legal practice unless a notice in relation to the corporation has been given under section 137 (Notice of intention to start providing legal services).Maximum penalty: 500 penalty units.
(2) A director, officer, employee or agent of a corporation must not, without reasonable excuse, represent or advertise that the corporation is an incorporated legal practice unless a notice in relation to the corporation has been given under section 137 (Notice of intention to start providing legal services).Maximum penalty: 100 penalty units.
(3) A reference in this section to a person, being:(a) a corporation—representing or advertising that the corporation is an incorporated legal practice, or(b) a director, officer, employee or agent of a corporation—representing or advertising that the corporation is an incorporated legal practice,includes a reference to the person doing anything that states or implies that the corporation is entitled to engage in legal practice.
139 Notice of termination of provision of legal services
(1) A corporation must, within the prescribed period after it ceases to engage in legal practice in this jurisdiction as an incorporated legal practice, give the Law Society a written notice, in the approved form, of that fact.Maximum penalty: 50 penalty units.
(2) The regulations may make provision for or with respect to determining whether and when a corporation ceases to engage in legal practice in this jurisdiction.
140 Incorporated legal practice must have legal practitioner director
(1) An incorporated legal practice is required to have at least one legal practitioner director.(2) Each legal practitioner director of an incorporated legal practice is, for the purposes of this Act only, responsible for the management of the legal services provided in this jurisdiction by the incorporated legal practice.(3) Each legal practitioner director of an incorporated legal practice must ensure that appropriate management systems are implemented and maintained to enable the provision of legal services by the incorporated legal practice:(a) in accordance with the professional obligations of Australian legal practitioners and other obligations imposed by or under this Act, the regulations or the legal profession rules, and(b) so that those obligations of Australian legal practitioners who are officers or employees of the practice are not affected by other officers or employees of the practice.(4) If it ought reasonably to be apparent to a legal practitioner director of an incorporated legal practice that the provision of legal services by the practice will result in breaches of the professional obligations of Australian legal practitioners or other obligations imposed by or under this Act, the regulations or the legal profession rules, the director must take all reasonable action available to the director to ensure that:(a) the breaches do not occur, and(b) appropriate remedial action is taken in respect of breaches that do occur.(5) A contravention of subsection (3) or (4) or both by a legal practitioner director is capable of being professional misconduct.(6) Nothing in this Division derogates from the obligations or liabilities of a director of an incorporated legal practice under any other law.(7) The reference in subsection (1) to a legal practitioner director does not include a reference to a person who is not validly appointed as a director, but this subsection does not affect the meaning of the expression “legal practitioner director” in other provisions of this Act.Note: The requirements of this section may be subject to audit under section 670.
141 Obligations of legal practitioner director relating to misconduct
(1) Each of the following is capable of being unsatisfactory professional conduct or professional misconduct by a legal practitioner director:(a) unsatisfactory professional conduct or professional misconduct of an Australian legal practitioner employed by the incorporated legal practice,(b) conduct of any other director (not being an Australian legal practitioner) of the incorporated legal practice that adversely affects the provision of legal services by the practice,(c) the unsuitability of any other director (not being an Australian legal practitioner) of the incorporated legal practice to be a director of a corporation that provides legal services.(1A) A legal practitioner director is not guilty of unsatisfactory professional conduct or professional misconduct under subsection (1) if the director establishes that he or she took all reasonable steps to ensure that:(a) Australian legal practitioners employed by the incorporated legal practice did not engage in conduct or misconduct referred to in subsection (1) (a), or(b) directors (not being Australian legal practitioners) of the incorporated legal practice did not engage in conduct referred to in subsection (1) (b), or(c) unsuitable directors (not being Australian legal practitioners) of the incorporated legal practice were not appointed or holding office as referred to in subsection (1) (c),as the case requires.(2) A legal practitioner director of an incorporated legal practice must ensure that all reasonable action available to the legal practitioner director is taken to deal with any unsatisfactory professional conduct or professional misconduct of an Australian legal practitioner employed by the practice.(3) (Repealed)
142 Incorporated legal practice without legal practitioner director
(1) An incorporated legal practice contravenes this subsection if it does not have any legal practitioner directors for a period exceeding 7 days.Maximum penalty: 500 penalty units.
(2) If an incorporated legal practice ceases to have any legal practitioner directors, the incorporated legal practice must notify the Law Society as soon as possible.Maximum penalty: 500 penalty units.
(3) An incorporated legal practice must not provide legal services in this jurisdiction during any period it is in default of director requirements under this section.Maximum penalty: 100 penalty units.
(4) An incorporated legal practice that contravenes subsection (1) is taken to be in default of director requirements under this section for the period from the end of the period of 7 days until:(a) it has at least one legal practitioner director, or(b) a person is appointed under this section or a corresponding law in relation to the practice.(5) The Law Society Council may, if it thinks it appropriate, appoint an Australian legal practitioner who is an employee of the incorporated legal practice or another person nominated by the Council, in the absence of a legal practitioner director, to exercise the functions conferred or imposed on a legal practitioner director under this Part.(6) An Australian legal practitioner is not eligible to be appointed under this section unless the practitioner holds an unrestricted practising certificate.(7) The appointment under this section of a person to exercise the functions of a legal practitioner director does not, for any other purpose, confer or impose on the person any of the other functions or duties of a director of the incorporated legal practice.(8) An incorporated legal practice does not contravene subsection (1) during any period during which a person holds an appointment under this section in relation to the practice.(9) A reference in this section to a legal practitioner director does not include a reference to a person who is not validly appointed as a director, but this subsection does not affect the meaning of the expression “legal practitioner director” in other provisions of this Act.
143 Obligations and privileges of practitioners who are officers or employees
(1) An Australian legal practitioner who provides legal services on behalf of an incorporated legal practice in the capacity of an officer or employee of the practice:(a) is not excused from compliance with professional obligations as an Australian legal practitioner, or any obligations as an Australian legal practitioner under any law, and(b) does not lose the professional privileges of an Australian legal practitioner.(2) For the purposes only of subsection (1), the professional obligations and professional privileges of a practitioner apply as if:(a) where there are 2 or more legal practitioner directors of an incorporated legal practice—the practice were a partnership of the legal practitioner directors and the employees of the practice were employees of the legal practitioner directors, or(b) where there is only 1 legal practitioner director of an incorporated legal practice—the practice were a sole practitioner and the employees of the practice were employees of the legal practitioner director.(3) The law relating to client legal privilege (or other legal professional privilege) is not excluded or otherwise affected because an Australian legal practitioner is acting in the capacity of an officer or employee of an incorporated legal practice.(4) The directors of an incorporated legal practice do not breach their duties as directors merely because legal services are provided pro bono by an Australian legal practitioner employed by the practice.
144 Professional indemnity Insurance
(1) An incorporated legal practice, and each insurable solicitor who is a legal practitioner director or an officer or employee of the practice, is required to comply with the obligations of an insurable solicitor under Part 3.3 (Professional indemnity insurance) with respect to insurance policies and payments to or on account of the Solicitors Mutual Indemnity Fund.(2) Each solicitor who is an interstate legal practitioner who is a legal practitioner director or an officer or employee of the practice and who if, he or she were a local practitioner, would be an insurable solicitor is required to comply with the obligations of an interstate legal practitioner under section 98 with respect to appropriate indemnity insurance.(3) If an obligation referred in subsection (1) or (2) is not complied with, the Law Society Council may:(a) in the case of a legal practitioner director who holds a local practising certificate—suspend the director’s practising certificate while the failure continues, or(b) in the case of a legal practitioner director who is an interstate legal practitioner—suspend that director’s entitlement under Part 2.4 to practise in this State while the failure continues and request the corresponding authority in the jurisdiction in which the practitioner has his or her sole or principal place of legal practice to suspend the director’s interstate practising certificate until the Law Society Council notifies the corresponding authority that the obligation has been complied with.(4) The insurance premiums or other amounts payable under Part 3.3 by an incorporated legal practice may be determined by reference to the total number of solicitors employed by the practice and other relevant matters.(5) The amounts payable from the Solicitors Mutual Indemnity Fund include payments for such liability of an incorporated legal practice, and of the solicitors who are officers and employees of the practice, in connection with the provision of legal services as the Law Society Council determines with the approval of the Attorney General.(6) The Law Society Council may exempt an incorporated legal practice from this section on such grounds as the Council considers sufficient.
(1) For the purposes of the application of any law (including the common law) or legal profession rules relating to conflicts of interest to the conduct of an Australian legal practitioner who is:(a) a legal practitioner director of an incorporated legal practice, or(b) an officer or employee of an incorporated legal practice,the interests of the incorporated legal practice or any related body corporate are also taken to be those of the practitioner (in addition to any interests that the practitioner has apart from this subsection).(2) Legal profession rules may be made for or with respect to additional duties and obligations in connection with conflicts of interest arising out of the conduct of an incorporated legal practice.Note. Under section 143 (Obligations and privileges of practitioners who are officers or employees), an Australian legal practitioner who is an officer or employee of an incorporated legal practice must comply with the same professional obligations as other practitioners.
(1) This section applies if a person engages an incorporated legal practice to provide services that the person might reasonably assume to be legal services, but does not apply where the practice provides only legal services in this jurisdiction.(2) Each legal practitioner director of the incorporated legal practice, and any employee who is an Australian legal practitioner and who provides the services on behalf of the practice, must ensure that a disclosure, complying with the requirements of this section and the regulations made for the purposes of this section, is made to the person in connection with the provision of the services.Maximum penalty: 50 penalty units.
(3) The disclosure must be made by giving the person a notice in writing:(a) setting out the services to be provided, and(b) stating whether or not all the legal services to be provided will be provided by an Australian legal practitioner, and(c) if some or all of the legal services to be provided will not be provided by an Australian legal practitioner—identifying those services and indicating the status or qualifications of the person or persons who will provide the services, andNote. For example, the person might be a licensed conveyancer. However, this paragraph would not apply in a case where a law applying in the jurisdiction prohibits a particular legal service from being provided by a person who is not an Australian legal practitioner.(d) stating that this Act applies to the provision of legal services but not to the provision of the non-legal services.(4) The regulations may make provision for or with respect to the following matters:(a) the manner in which a disclosure is to be made,(b) additional matters required to be disclosed in connection with the provision of legal services or non-legal services by an incorporated legal practice.(5) Without limiting subsection (4), the additional matters may include the kind of services provided by the incorporated legal practice and whether those services are or are not covered by the insurance or other provisions of this Act.(6) A disclosure under this section to a person about the provision of legal services may relate to the provision of legal services on one occasion or on more than one occasion or on an on-going basis.
147 Effect of non-disclosure of provision of certain services
(1) This section applies if:(a) section 146 (Disclosure obligations) applies in relation to a service that is provided to a person who has engaged an incorporated legal practice to provide the service and that the person might reasonably assume to be a legal service, and(b) a disclosure has not been made under that section in relation to the service.(2) The standard of care owed by the incorporated legal practice in respect of the service is the standard that would be applicable if the service had been provided by an Australian legal practitioner.
148 Application of legal profession rules
Legal profession rules, so far as they apply to Australian legal practitioners, also apply to Australian legal practitioners who are officers or employees of an incorporated legal practice, unless the rules otherwise provide.
149 Requirements relating to advertising
(1) Any restriction imposed by or under this or any other Act, the regulations or the legal profession rules in connection with advertising by Australian legal practitioners applies to advertising by an incorporated legal practice with respect to the provision of legal services.(2) If a restriction referred to in subsection (1) is limited to a particular branch of the legal profession or for persons who practise in a particular style of legal practice, the restriction applies only to the extent that the incorporated legal practice carries on the business in that branch of the legal profession or in that style of legal practice.(3) Any advertisement of the kind referred to in this section is, for the purposes of disciplinary proceedings taken against an Australian legal practitioner, taken to have been authorised by each legal practitioner director of the incorporated legal practice.(4) This section does not apply if the provision by which the restriction is imposed expressly excludes its application to incorporated legal practices.
150 Extension of vicarious liability relating to failure to account, pay or deliver and dishonesty to incorporated legal practices
(1) This section applies to any of the following proceedings (being proceedings based on the vicarious liability of an incorporated legal practice):(a) civil proceedings relating to a failure to account for, pay or deliver money or property received by, or entrusted to, the practice (or to any officer or employee of the practice) in the course of the provision of legal services by the practice, being money or property under the direct or indirect control of the practice,(b) civil proceedings for any other debt owed, or damages payable, to a client as a result of a dishonest act or omission by an Australian legal practitioner who is an employee of the practice in connection with the provision of legal services to the client.(2) If the incorporated legal practice would not (but for this section) be vicariously liable for any acts or omissions of its officers and employees in those proceedings, but would be liable for those acts or omissions if the practice and those officers and employees were carrying on business in partnership, the practice is taken to be vicariously liable for those acts or omissions.
151 Sharing of receipts, revenue or other income
(1) Nothing in this Act, the regulations or the legal profession rules prevents an Australian legal practitioner from sharing with an incorporated legal practice receipts, revenue or other income arising from the provision of legal services by the practitioner.(2) This section does not extend to the sharing of receipts, revenue or other income in contravention of section 152 (Disqualified persons), and has effect subject to section 54 (Statutory condition regarding practice as a barrister).
(1) An incorporated legal practice is guilty of an offence if a person who is a disqualified person:(a) is an officer or employee of the incorporated legal practice (whether or not the person provides legal services) or is an officer or employee of a related body corporate, or(b) is a partner of the incorporated legal practice in a business that includes the provision of legal services, or(c) shares the receipts, revenue or other income arising from the provision of legal services by the incorporated legal practice, or(d) is engaged or paid in connection with the provision of legal services by the incorporated legal practice.Maximum penalty: 100 penalty units.
(2) The failure of a legal practitioner director of an incorporated legal practice to ensure that the practice complies with subsection (1) is capable of being unsatisfactory professional conduct or professional misconduct.
153 Banning of incorporated legal practices
(1) The Supreme Court may, on the application of the Law Society Council or the Regulator, make an order disqualifying a corporation from providing legal services in this jurisdiction for the period the Court considers appropriate if satisfied that:(a) a ground for disqualifying the corporation under this section has been established, and(b) the disqualification is justified.(2) An order under this section may, if the Supreme Court thinks it appropriate, be made:(a) subject to conditions as to the conduct of the incorporated legal practice, or(b) subject to conditions as to when or in what circumstances the order is to take effect, or(c) together with orders to safeguard the interests of clients or employees of the incorporated legal practice.(3) Action may be taken against an incorporated legal practice on any of the following grounds:(a) that a legal practitioner director or an Australian legal practitioner who is an officer or employee of the corporation is found guilty of professional misconduct under a law of this jurisdiction or another jurisdiction,(b) that the Law Society Council or the Regulator is satisfied, after conducting an audit of the incorporated legal practice, that the incorporated legal practice has failed to implement satisfactory management and supervision of its provision of legal services,(c) that the incorporated legal practice (or a related body corporate) has contravened section 135 (Non-legal services and businesses of incorporated legal practices) or the regulations made under that section,(d) that the incorporated legal practice has contravened section 152 (Disqualified persons),(e) that a person who is an officer of the incorporated legal practice and who is the subject of an order under:(i) section 154 (Disqualification from managing incorporated legal practice) or under provisions of a corresponding law that correspond to that section, or(ii) section 179 (Prohibition on partnerships with certain partners who are not Australian legal practitioners) or under provisions of a corresponding law that correspond to that section,is acting in the management of the incorporated legal practice.(4) If a corporation is disqualified under this section, the Law Society Council or the Regulator that applied for the order must, as soon as practicable, notify the Regulator of every other jurisdiction.(5) If a corporation is disqualified from providing legal services in another jurisdiction under a corresponding law, the Regulator or the Law Society Council may determine that the corporation is taken to be disqualified from providing legal services in this jurisdiction for the same period, but nothing in this subsection prevents the Regulator or the Law Society Council from instead applying for an order under this section.(6) A corporation that provides legal services in contravention of a disqualification under this section is guilty of an offence.Maximum penalty: 500 penalty units.
(7) A corporation that is disqualified under this section ceases to be an incorporated legal practice.(8) Conduct of an Australian legal practitioner who provides legal services on behalf of a corporation in the capacity of an officer or employee of the corporation is capable of being unsatisfactory professional conduct or professional misconduct where the practitioner ought reasonably to have known that the corporation is disqualified under this section.(9) The regulations may make provision for or with respect to the publication and notification of orders made under this section, including notification of appropriate authorities of other jurisdictions.
154 Disqualification from managing incorporated legal practice
(1) The Supreme Court may, on the application of the Law Society Council or the Regulator, make an order disqualifying a person from managing a corporation that is an incorporated legal practice for the period the Court considers appropriate if satisfied that:(a) the person is a person who could be disqualified under section 206C, 206D, 206E or 206F of the Corporations Act 2001 of the Commonwealth from managing corporations, and(b) the disqualification is justified.(2) The Supreme Court may, on the application of a person subject to a disqualification order under this section, revoke the order.(3) A disqualification order made under this section has effect for the purposes only of this Act and does not affect the application or operation of the Corporations Act 2001 of the Commonwealth.(4) The regulations may make provision for or with respect to the publication and notification of orders made under this section.(5) A person who is disqualified from managing a corporation under provisions of a corresponding law that correspond to this section is taken to be disqualified from managing a corporation under this section.
155 Disclosure of information to Australian Securities and Investments Commission
(1) This section applies if the Law Society Council or the Regulator, in connection with exercising functions under this Act, acquired information concerning a corporation that is or was an incorporated legal practice.(2) The Law Society Council or the Regulator may disclose to the Australian Securities and Investments Commission information concerning the corporation that is relevant to the Commission’s functions.(3) Information may be provided under subsection (2) despite any law relating to secrecy or confidentiality, including any provisions of this Act.
156 External administration proceedings under Corporations Act 2001 (Cth)
(1) This section applies to proceedings in any court under Chapter 5 (External administration) of the Corporations Act 2001 of the Commonwealth:(a) relating to a corporation that is an externally-administered body corporate under that Act, or(b) relating to a corporation becoming an externally-administered body corporate under that Act,being a corporation that is or was an incorporated legal practice.(2) The Law Society Council and the Regulator are entitled to intervene in the proceedings, unless the court determines that the proceedings do not concern or affect the provision of legal services by the incorporated legal practice.(3) The court may, when exercising its jurisdiction in the proceedings, have regard to the interests of the clients of the incorporated legal practice who have been or are to be provided with legal services by the practice.(4) Subsection (3) does not authorise the court to make any decision that is contrary to a specific provision of the Corporations Act 2001 of the Commonwealth.(5) The provisions of subsections (2) and (3) are declared to be Corporations legislation displacement provisions for the purposes of section 5G of the Corporations Act 2001 of the Commonwealth in relation to the provisions of Chapter 5 of that Act.Note. Section 5G of the Corporations Act 2001 of the Commonwealth provides that if a State law declares a provision of a State law to be a Corporations legislation displacement provision, any provision of the Corporations legislation with which the State provision would otherwise be inconsistent does not apply to the extent necessary to avoid the inconsistency.
157 External administration proceedings under other legislation
(1) This section applies to proceedings for the external administration (however expressed) of an incorporated legal practice, but does not apply to proceedings to which section 156 (External administration proceedings under Corporations Act 2001 (Cth)) applies.(2) The Law Society Council and the Regulator are entitled to intervene in the proceedings, unless the court determines that the proceedings do not concern or affect the provision of legal services by the incorporated legal practice.(3) The court may, when exercising its jurisdiction in the proceedings, have regard to the interests of the clients of the incorporated legal practice who have been or are to be provided with legal services by the practice.(4) Subsection (3) does not authorise the court to make any decision that is contrary to a specific provision of any legislation applicable to the incorporated legal practice.
158 Incorporated legal practice that is subject to receivership under this Act and external administration under Corporations Act 2001 (Cth)
(1) This section applies if an incorporated legal practice is the subject of both:(a) the appointment of a Part 5.5 receiver, and(b) the appointment of a Corporations Act administrator.(2) The Part 5.5 receiver is under a duty to notify the Corporations Act administrator of the appointment of the Part 5.5 receiver, whether the appointment precedes, follows or is contemporaneous with the appointment of the Corporations Act administrator.(3) The Part 5.5 receiver or the Corporations Act administrator (or both of them jointly) may apply to the Supreme Court for the resolution of issues arising from or in connection with the dual appointments and their respective powers, except where proceedings referred to in section 156 (External administration proceedings under Corporations Act 2001 (Cth)) have been commenced.(4) The Supreme Court may make any orders it considers appropriate, and no liability attaches to the Part 5.5 receiver or the Corporations Act administrator for any act or omission done by the receiver or administrator in good faith for the purpose of carrying out or acting in accordance with the orders.(5) The Law Society Council and the Regulator are entitled to intervene in the proceedings, unless the court determines that the proceedings do not concern or affect the provision of legal services by the incorporated legal practice.(6) The provisions of subsections (3) and (4) are declared to be Corporations legislation displacement provisions for the purposes of section 5G of the Corporations Act 2001 of the Commonwealth in relation to the provisions of Chapter 5 of that Act.(7) In this section:Corporations Act administrator means:
(a) a receiver, receiver and manager, liquidator (including a provisional liquidator), controller, administrator or deed administrator appointed under the Corporations Act 2001 of the Commonwealth, or(b) a person who is appointed to exercise powers under that Act and who is prescribed, or of a class prescribed, by the regulations for the purposes of this definition.Part 5.5 receiver means a receiver appointed under Part 5.5.
159 Incorporated legal practice that is subject to receivership under this Act and external administration under other legislation
(1) This section applies if an incorporated legal practice is the subject of both:(a) the appointment of a Part 5.5 receiver, and(b) the appointment of an external administrator.(2) The Part 5.5 receiver is under a duty to notify the external administrator of the appointment of the Part 5.5 receiver, whether the appointment precedes, follows or is contemporaneous with the appointment of the external administrator.(3) The Part 5.5 receiver or the external administrator (or both of them jointly) may apply to the Supreme Court for the resolution of issues arising from or in connection with the dual appointments and their respective powers.(4) The Supreme Court may make any orders it considers appropriate, and no liability attaches to the Part 5.5 receiver or the external administrator for any act or omission done by the receiver or administrator in good faith for the purpose of carrying out or acting in accordance with the orders.(5) The Law Society Council and the Regulator are entitled to intervene in the proceedings, unless the court determines that the proceedings do not concern or affect the provision of legal services by the incorporated legal practice.(6) In this section:external administrator means a person who is appointed to exercise powers under other legislation (whether or not of this jurisdiction) and who is prescribed, or of a class prescribed, by the regulations for the purposes of this definition.
Part 5.5 receiver means a receiver appointed under Part 5.5.
160 Co-operation between courts
Courts of this jurisdiction may make arrangements for communicating and co-operating with other courts or tribunals in connection with the exercise of powers under this Division.
161 Relationship of Act to constitution of incorporated legal practice
The provisions of this Act or the regulations that apply to an incorporated legal practice prevail, to the extent of any inconsistency, over the constitution or other constituent documents of the practice.
162 Relationship of Act to legislation establishing incorporated legal practice
(1) This section applies to a corporation that is established by or under a law (whether or not of this jurisdiction), and is an incorporated legal practice, but is not a company within the meaning of the Corporations Act 2001 of the Commonwealth.(2) The provisions of this Act or the regulations that apply to an incorporated legal practice prevail, to the extent of any inconsistency, over provisions of the legislation by or under which the corporation is established or regulated that are specified or described in the regulations.
163 Relationship of Act to Corporations legislation
(1) The regulations may declare any provision of this Act or the regulations that relates to an incorporated legal practice to be a Corporations legislation displacement provision for the purposes of section 5G of the Corporations Act 2001 of the Commonwealth.(2) The regulations may declare any matter relating to an incorporated legal practice that is prohibited, required, authorised or permitted by or under this Act or the regulations to be an excluded matter for the purposes of section 5F of the Corporations Act 2001 of the Commonwealth in relation to:(a) the whole of the Corporations legislation, or(b) a specified provision of the Corporations legislation, or(c) the Corporations legislation other than a specified provision, or(d) the Corporations legislation otherwise than to a specified extent.(3) In this section:matter includes act, omission, body, person or thing.
A person (whether or not an officer or an employee of an incorporated legal practice) must not cause or induce:(a) a legal practitioner director, or(b) another Australian legal practitioner who provides legal services on behalf of an incorporated legal practice,to contravene this Act, the regulations, the legal profession rules or his or her professional obligations as an Australian legal practitioner.Maximum penalty: 100 penalty units.
Division 3 Multi-disciplinary partnerships
165 Nature of multi-disciplinary partnership
(1) A multi-disciplinary partnership is a partnership between one or more Australian legal practitioners and one or more other persons who are not Australian legal practitioners, where the business of the partnership includes the provision of legal services in this jurisdiction as well as other services.(2) However, a partnership consisting only of one or more Australian legal practitioners and one or more Australian-registered foreign lawyers is not a multi-disciplinary partnership.(3) A complying community legal centre is not a multi-disciplinary partnership.(4) Nothing in this Division affects or applies to the provision by a multi-disciplinary partnership of legal services in one or more other jurisdictions.
166 Conduct of multi-disciplinary partnerships
(1) An Australian legal practitioner may be in partnership with a person who is not an Australian legal practitioner, where the business of the partnership includes the provision of legal services.(2) Subsection (1) does not prevent an Australian legal practitioner from being in partnership with a person who is not an Australian legal practitioner, where the business of the partnership does not include the provision of legal services.(3) The regulations may prohibit an Australian legal practitioner from being in partnership with a person providing a service or conducting a business of a kind specified by the regulations, where the business of the partnership includes the provision of legal services.
167 Notice of intention to start practice in multi-disciplinary partnership
A legal practitioner partner must, before starting to provide legal services in this jurisdiction as a member of a multi-disciplinary partnership, give the Law Society written notice, in the approved form, of his or her intention to do so.Maximum penalty: 50 penalty units.
168 General obligations of legal practitioner partners
(1) Each legal practitioner partner of a multi-disciplinary partnership is, for the purposes only of this Act, responsible for the management of the legal services provided in this jurisdiction by the partnership.(2) Each legal practitioner partner must ensure that appropriate management systems are implemented and maintained to enable the provision of legal services by the multi-disciplinary partnership:(a) in accordance with the professional obligations of Australian legal practitioners and the other obligations imposed by this Act, the regulations or the legal profession rules, and(b) so that the professional obligations of legal practitioner partners and employees who are Australian legal practitioners are not affected by other partners and employees of the partnership.(3) (Repealed)
169 Obligations of legal practitioner partner relating to misconduct
(1) Each of the following is capable of being unsatisfactory professional conduct or professional misconduct by a legal practitioner partner:(a) unsatisfactory professional conduct or professional misconduct of an Australian legal practitioner employed by the multi-disciplinary partnership,(b) conduct of any other partner (not being an Australian legal practitioner) of the multi-disciplinary partnership that adversely affects the provision of legal services by the partnership,(c) the unsuitability of any other partner (not being an Australian legal practitioner) of the multi-disciplinary partnership to be a member of a partnership that provides legal services.(2) A legal practitioner partner of a multi-disciplinary partnership must ensure that all reasonable action available to the legal practitioner partner is taken to deal with any unsatisfactory professional conduct or professional misconduct of an Australian legal practitioner employed by the partnership.(3) (Repealed)
170 Actions of partner who is not an Australian legal practitioner
A partner of a multi-disciplinary partnership who is not an Australian legal practitioner does not contravene a provision of this Act, the regulations or the legal profession rules merely because of any of the following:(a) the partner is a member of a partnership where the business of the partnership includes the provision of legal services,(b) the partner receives any fee, gain or reward for business of the partnership that is the business of an Australian legal practitioner,(c) the partner holds out, advertises or represents himself or herself as a member of a partnership where the business of the partnership includes the provision of legal services,(d) the partner shares with any other partner the receipts, revenue or other income of business of the partnership that is the business of an Australian legal practitioner,unless the provision expressly applies to a partner of a multi-disciplinary partnership who is not an Australian legal practitioner.
171 Obligations and privileges of practitioners who are partners or employees
(1) An Australian legal practitioner who provides legal services in the capacity of a partner or an employee of a multi-disciplinary partnership:(a) is not excused from compliance with professional obligations as an Australian legal practitioner, or any other obligations as an Australian legal practitioner under any law, and(b) does not lose the professional privileges of an Australian legal practitioner.(2) The law relating to client legal privilege (or other legal professional privilege) is not excluded or otherwise affected because an Australian legal practitioner is acting in the capacity of a partner or an employee of a multi-disciplinary partnership.
(1) For the purposes of the application of any law (including the common law) or legal profession rules relating to conflicts of interest to the conduct of an Australian legal practitioner who is:(a) a legal practitioner partner of a multi-disciplinary partnership, or(b) an employee of a multi-disciplinary partnership,the interests of the partnership or any partner of the multi-disciplinary partnership are also taken to be those of the practitioner concerned (in addition to any interests that the practitioner has apart from this subsection).(2) Legal profession rules may be made for or with respect to additional duties and obligations in connection with conflicts of interest arising out of the conduct of a multi-disciplinary partnership.
(1) This section applies if a person engages a multi-disciplinary partnership to provide services that the person might reasonably assume to be legal services.(2) Each legal practitioner partner of the multi-disciplinary partnership, and any employee of the partnership who is an Australian legal practitioner and who provides the services on behalf of the partnership, must ensure that a disclosure, complying with the requirements of this section and the regulations made for the purposes of this section, is made to the person in connection with the provision of the services.Maximum penalty: 50 penalty units.
(3) The disclosure must be made by giving the person a notice in writing:(a) setting out the services to be provided, and(b) stating whether or not all the legal services to be provided will be provided by an Australian legal practitioner, and(c) if some or all of the legal services to be provided will not be provided by an Australian legal practitioner—identifying those services and indicating the status or qualifications of the person or persons who will provide the services, andNote. For example, the person might be a licensed conveyancer. However, this paragraph would not apply in a case where a law applying in the jurisdiction prohibits a particular legal service from being provided by a person who is not an Australian legal practitioner.(d) stating that this Act applies to the provision of legal services but not to the provision of the non-legal services.(4) The regulations may make provision for or with respect to the following matters:(a) the manner in which disclosure is to be made,(b) additional matters required to be disclosed in connection with the provision of legal services or non-legal services by a multi-disciplinary partnership.(5) Without limiting subsection (4), the additional matters may include the kind of services provided by the multi-disciplinary partnership and whether those services are or are not covered by the insurance or other provisions of this Act.(6) A disclosure under this section to a person about the provision of legal services may relate to the provision of legal services on one occasion or on more than one occasion or on an on-going basis.
174 Effect of non-disclosure of provision of certain services
(1) This section applies if:(a) section 173 (Disclosure obligations) applies in relation to a service that is provided to a person who has engaged a multi-disciplinary partnership to provide the service and that the person might reasonably assume to be a legal service, and(b) a disclosure has not been made under that section in relation to the service.(2) The standard of care owed by the multi-disciplinary partnership in respect of the service is the standard that would be applicable if the service had been provided by an Australian legal practitioner.
175 Application of legal profession rules
Legal profession rules, so far as they apply to Australian legal practitioners, also apply to Australian legal practitioners who are legal practitioner partners or employees of a multi-disciplinary partnership, unless the rules otherwise provide.
176 Requirements relating to advertising
(1) Any restriction imposed by or under this or any other Act, the regulations or the legal profession rules in connection with advertising by Australian legal practitioners applies to advertising by a multi-disciplinary partnership with respect to the provision of legal services.(2) If a restriction referred to in subsection (1) is limited to a particular branch of the legal profession or for persons who practise in a particular style of legal practice, the restriction applies only to the extent that the multi-disciplinary partnership carries on the business of the relevant class of Australian legal practitioners.(3) An advertisement of the kind referred to in this section is, for the purposes of disciplinary proceedings taken against an Australian legal practitioner, taken to have been authorised by each legal practitioner partner of the multi-disciplinary partnership.(4) This section does not apply if the provision by which the restriction is imposed expressly excludes its application to multi-disciplinary partnerships.
177 Sharing of receipts, revenue or other income
(1) Nothing in this Act, the regulations or the legal profession rules prevents a legal practitioner partner, or an Australian legal practitioner who is an employee of a multi-disciplinary partnership, from sharing receipts, revenue or other income arising from the provision of legal services by the partner or practitioner with a partner or partners who are not Australian legal practitioners.(2) This section does not extend to the sharing of receipts, revenue or other income in contravention of section 178 (Disqualified persons), and has effect subject to section 54 (Statutory condition regarding practice as a barrister).
(1) A legal practitioner partner of a multi-disciplinary partnership must not knowingly:(a) be a partner of a disqualified person in the multi-disciplinary partnership, or(b) share with a disqualified person the receipts, revenue or other income arising from the provision of legal services by the multi-disciplinary partnership, or(c) employ or pay a disqualified person in connection with the provision of legal services by the multi-disciplinary partnership.Maximum penalty: 100 penalty units.
(2) (Repealed)
179 Prohibition on partnerships with certain partners who are not Australian legal practitioners
(1) This section applies to a person who:(a) is not an Australian legal practitioner, and(b) is or was a partner of an Australian legal practitioner.(2) On application by the Law Society Council or the Regulator, the Supreme Court may make an order prohibiting any Australian legal practitioner from being a partner, in a business that includes the provision of legal services, of a specified person to whom this section applies if:(a) the Court is satisfied that the person is not a fit and proper person to be a partner, or(b) the Court is satisfied that the person has been guilty of conduct that, if the person were an Australian legal practitioner, would have constituted unsatisfactory professional conduct or professional misconduct, or(c) in the case of a corporation, if the Court is satisfied that the corporation has been disqualified from providing legal services in this jurisdiction or there are grounds for disqualifying the corporation from providing legal services in this jurisdiction.(3) An order made under this section may be revoked by the Supreme Court on application by the Law Society Council or the Regulator or by the person against whom the order was made.(4) The death of an Australian legal practitioner does not prevent an application being made for, or the making of, an order under this section in relation to a person who was a partner of the practitioner.(5) The regulations may make provision for or with respect to the publication and notification of orders made under this section.
A person (whether or not a partner, or an employee, of a multi-disciplinary partnership) must not cause or induce:(a) a legal practitioner partner, or(b) an employee of a multi-disciplinary partnership who provides legal services and who is an Australian legal practitioner,to contravene this Act, the regulations, the legal profession rules or his or her professional obligations as an Australian legal practitioner.Maximum penalty: 100 penalty units.
181 Obligations of individual practitioners not affected
Except as provided by this Part, nothing in this Part affects any obligation imposed on:(a) a legal practitioner director or an Australian legal practitioner who is an employee of an incorporated legal practice, or(b) a legal practitioner partner or an Australian legal practitioner who is an employee of a multi-disciplinary partnership, or(c) an Australian legal practitioner who is an officer or employee of, or whose services are used by, a complying community legal centre,under this or any other Act, the regulations or the legal profession rules in his or her capacity as an Australian legal practitioner.
(1) The regulations may make provision for or with respect to the following matters:(a) the legal services provided by incorporated legal practices or legal practitioner partners or employees of multi-disciplinary partnerships,(b) other services provided by incorporated legal practices or legal practitioner partners or employees of multi-disciplinary partnerships in circumstances where a conflict of interest relating to the provision of legal services may arise.(2) A regulation prevails over any inconsistent provision of the legal profession rules.(3) A regulation may provide that a breach of the regulations is capable of being unsatisfactory professional conduct or professional misconduct:(a) in the case of an incorporated legal practice—by a legal practitioner director, or by an Australian legal practitioner responsible for the breach, or both, or(b) in the case of a multi-disciplinary partnership—by a legal practitioner partner, or by an Australian legal practitioner responsible for the breach, or both.
Part 2.7 Legal practice by foreign lawyers
The purpose of this Part is to encourage and facilitate the internationalisation of legal services and the legal services sector by providing a framework for the regulation of the practice of foreign law in this jurisdiction by foreign lawyers as a recognised aspect of legal practice in this jurisdiction.
In this Part:Australia includes the external Territories.
Australian law means law of the Commonwealth or of a jurisdiction.
domestic registration authority means the Bar Council or the Law Society Council.
foreign law means law of a foreign country.
foreign law practice means a partnership or corporate entity that is entitled to engage in legal practice in a foreign country.
foreign registration authority means an entity in a foreign country having the function, conferred by the law of the foreign country, of registering persons to engage in legal practice in the foreign country.
local registration certificate means a registration certificate given under this Part.
overseas-registered foreign lawyer means a natural person who is properly registered to engage in legal practice in a foreign country by the foreign registration authority for the country.
practise foreign law means doing work, or transacting business, in this jurisdiction concerning foreign law, being work or business of a kind that, if it concerned the law of this jurisdiction, would ordinarily be done or transacted by an Australian legal practitioner.
registered, when used in connection with a foreign country, means having all necessary licences, approvals, admissions, certificates or other forms of authorisation (including practising certificates) required by or under legislation for engaging in legal practice in that country.
Note. The terms Australian-registered foreign lawyer, foreign country, interstate-registered foreign lawyer and locally registered foreign lawyer are defined in section 4 (Definitions).
185 This Part does not apply to Australian legal practitioners
(1) This Part does not apply to an Australian legal practitioner (including an Australian legal practitioner who is also an overseas-registered foreign lawyer).(2) Accordingly, nothing in this Part requires or enables an Australian legal practitioner (including an Australian legal practitioner who is also an overseas-registered foreign lawyer) to be registered as a foreign lawyer under this Act in order to practise foreign law in this jurisdiction.
Division 2 Practice of foreign law
186 Requirement for registration
(1) A person must not practise foreign law in this jurisdiction unless the person is:(a) an Australian-registered foreign lawyer, or(b) an Australian legal practitioner.Maximum penalty: 200 penalty units.
(2) However, a person does not contravene subsection (1) if the person is an overseas-registered foreign lawyer:(a) who:(i) practises foreign law in this jurisdiction for one or more periods that do not in aggregate exceed 90 days in any period of 12 months, or(ii) is subject to a restriction imposed under the Migration Act 1958 of the Commonwealth that has the effect of limiting the period during which work may be done, or business transacted, in Australia by the person, and(b) who:(i) does not maintain an office for the purpose of practising foreign law in this jurisdiction, or(ii) does not become a partner or director of a law practice.
187 Entitlement of Australian-registered foreign lawyer to practise in this jurisdiction
An Australian-registered foreign lawyer is, subject to this Act, entitled to practise foreign law in this jurisdiction.
(1) An Australian-registered foreign lawyer may provide only the following legal services in this jurisdiction:(a) doing work, or transacting business, concerning the law of a foreign country where the lawyer is registered by the foreign registration authority for the country,(b) legal services (including appearances) in relation to arbitration proceedings of a kind prescribed under the regulations,(c) legal services (including appearances) in relation to proceedings before bodies other than courts, being proceedings in which the body concerned is not required to apply the rules of evidence and in which knowledge of the foreign law of a country referred to in paragraph (a) is essential,(d) legal services for conciliation, mediation and other forms of consensual dispute resolution of a kind prescribed under the regulations.(2) Nothing in this Act authorises an Australian-registered foreign lawyer to appear in any court (except on the lawyer’s own behalf) or to practise Australian law in this jurisdiction.(3) Despite subsection (2), an Australian-registered foreign lawyer may advise on the effect of an Australian law if:(a) the giving of advice on Australian law is necessarily incidental to the practice of foreign law, and(b) the advice is expressly based on advice given on the Australian law by an Australian legal practitioner who is not an employee of the foreign lawyer.
(1) An Australian-registered foreign lawyer may (subject to any conditions attaching to the foreign lawyer’s registration) practise foreign law:(a) on the foreign lawyer’s own account, or(b) in partnership with one or more Australian-registered foreign lawyers or one or more Australian legal practitioners, or both, in circumstances where, if the Australian-registered foreign lawyer were an Australian legal practitioner, the partnership would be permitted under a law of this jurisdiction, or(c) as a director or employee of an incorporated legal practice or a partner or employee of a multi-disciplinary partnership that is permitted by a law of this jurisdiction, or(d) as an employee of an Australian legal practitioner or law firm in circumstances where, if the Australian-registered foreign lawyer were an Australian legal practitioner, the employment would be permitted under a law of this jurisdiction, or(e) as an employee of an Australian-registered foreign lawyer.(2) An affiliation referred to in subsection (1) (b)–(e) does not entitle the Australian-registered foreign lawyer to practise Australian law in this jurisdiction.
190 Application of Australian professional ethical and practice standards
(1) An Australian-registered foreign lawyer must not engage in any conduct in practising foreign law that would, if the conduct were engaged in by an Australian legal practitioner in practising Australian law in this jurisdiction, be capable of being professional misconduct or unsatisfactory professional conduct.(2) Chapter 4 (Complaints and discipline) applies to a person who:(a) is an Australian-registered foreign lawyer, or(b) was an Australian-registered foreign lawyer when the relevant conduct allegedly occurred, but is no longer an Australian-registered foreign lawyer (in which case Chapter 4 applies as if the person were an Australian-registered foreign lawyer),and so applies as if references in Chapter 4 to an Australian legal practitioner were references to a person of that kind.(3) The regulations may make provision with respect to the application (with or without modification) of the provisions of Chapter 4 for the purposes of this section.(4) Without limiting the matters that may be taken into account in determining whether a person should be disciplined for a contravention of subsection (1), the following matters may be taken into account:(a) whether the conduct of the person was consistent with the standard of professional conduct of the legal profession in any foreign country where the person is registered,(b) whether the person contravened the subsection wilfully or without reasonable excuse.(5) Without limiting any other provision of this section or the orders that may be made under Chapter 4 as applied by this section, the following orders may be made under that Chapter as applied by this section:(a) an order that a person’s registration under this Act as a foreign lawyer be cancelled,(b) an order that a person’s registration under a corresponding law as a foreign lawyer be cancelled.
(1) An Australian-registered foreign lawyer may use only the following designations:(a) the lawyer’s own name,(b) a title or business name the lawyer is authorised by law to use in a foreign country where the lawyer is registered by a foreign registration authority,(c) subject to this section, the name of a foreign law practice with which the lawyer is affiliated or associated (whether as a partner, director, employee or otherwise),(d) if the lawyer is a principal of any law practice in Australia whose principals include both one or more Australian-registered foreign lawyers and one or more Australian legal practitioners—a description of the practice that includes reference to both Australian legal practitioners and Australian-registered foreign lawyers (for example, “Solicitors and locally registered foreign lawyers” or “Australian solicitors and US attorneys”).(2) An Australian-registered foreign lawyer who is a principal of a foreign law practice may use the practice’s name in or in connection with practising foreign law in this jurisdiction only if:(a) the lawyer indicates, on the lawyer’s letterhead or any other document used in this jurisdiction to identify the lawyer as an overseas-registered foreign lawyer, that the foreign law practice practises only foreign law in this jurisdiction, and(b) the lawyer has provided the domestic registration authority with acceptable evidence that the lawyer is a principal of the foreign law practice.(3) An Australian-registered foreign lawyer who is a principal of a foreign law practice may use the name of the practice as referred to in this section whether or not other principals of the practice are Australian-registered foreign lawyers.(4) This section does not authorise the use of a name or other designation that contravenes any requirements of the law of this jurisdiction concerning the use of business names or that is likely to lead to any confusion with the name of any established domestic law practice or foreign law practice in this jurisdiction.
192 Letterhead and other identifying documents
(1) An Australian-registered foreign lawyer must indicate, in each public document distributed by the lawyer in connection with the lawyer’s practice of foreign law, the fact that the lawyer is an Australian-registered foreign lawyer and is restricted to the practice of foreign law.(2) Subsection (1) is satisfied if the lawyer includes in the public document the words:(a) “registered foreign lawyer” or “registered foreign practitioner”, and(b) “entitled to practise foreign law only”.(3) An Australian-registered foreign lawyer may (but need not) include any or all of the following on any public document:(a) an indication of all foreign countries in which the lawyer is registered to engage in legal practice,(b) a description of himself or herself, and any law practice with which the lawyer is affiliated or associated, in any of the ways designated in section 191 (Designation).(4) In this section:public document includes any business letter, statement of account, invoice, business card, and promotional and advertising material.
(1) An Australian-registered foreign lawyer is required to comply with any advertising restrictions imposed by the domestic registration authority or by law on legal practice engaged in by an Australian legal practitioner that are relevant to legal practice engaged in in this jurisdiction.(2) Without limiting subsection (1), an Australian-registered foreign lawyer must not advertise (or use any description on the lawyer’s letterhead or any other document used in this jurisdiction to identify the lawyer as a lawyer) in any way that:(a) might reasonably be regarded as:(i) false, misleading or deceptive, or(ii) suggesting that the Australian-registered foreign lawyer is an Australian legal practitioner, or(b) contravenes any requirements of the regulations.
194 Foreign lawyer employing Australian legal practitioner
(1) An Australian-registered foreign lawyer may employ one or more Australian legal practitioners.(2) Employment of an Australian legal practitioner does not entitle an Australian-registered foreign lawyer to practise Australian law in this jurisdiction.(3) An Australian legal practitioner employed by an Australian-registered foreign lawyer may practise foreign law.(4) An Australian legal practitioner employed by an Australian-registered foreign lawyer must not:(a) provide advice on Australian law to, or for use by, the Australian-registered foreign lawyer, or(b) otherwise practise Australian law in this jurisdiction in the course of that employment.(5) Subsection (4) does not apply to an Australian legal practitioner employed by a law firm a partner of which is an Australian-registered foreign lawyer, if at least one other partner is an Australian legal practitioner.(6) Any period of employment of an Australian legal practitioner by an Australian-registered foreign lawyer cannot be used to satisfy a requirement imposed by a condition on a local practising certificate to complete a period of supervised legal practice.
195 Trust money and trust accounts
(1) The provisions of Part 3.1 (Trust money and trust accounts), and any other provisions of this Act, the regulations or any legal profession rule relating to requirements for trust money and trust accounts, apply (subject to this section) to Australian-registered foreign lawyers in the same way as they apply to law practices and Australian legal practitioners.(2) In this section, a reference to money is not limited to a reference to money in this jurisdiction.(3) The regulations may make provision with respect to the application (with or without modification) of the provisions of this Act, the regulations or any legal profession rule relating to trust money and trust accounts for the purposes of this section.
196 Professional indemnity insurance
(1) An Australian-registered foreign lawyer must, at all times while practising foreign law in this jurisdiction, comply with one of the following:(a) the foreign lawyer must have professional indemnity insurance that conforms with the requirements for professional indemnity insurance applicable for Australian legal practitioners in any jurisdiction,(b) if the foreign lawyer does not have professional indemnity insurance that complies with paragraph (a)—the foreign lawyer:(i) must have professional indemnity insurance that covers the practice of foreign law in this jurisdiction and that complies with the relevant requirements of a foreign law or foreign registration authority, and(ii) if the insurance is for less than $1.5 million (inclusive of defence costs)—must provide a disclosure statement to each client disclosing the level of cover,(c) if the foreign lawyer does not have professional indemnity insurance that complies with paragraph (a) or (b)—the foreign lawyer must provide a disclosure statement to each client stating that the lawyer does not have complying professional indemnity insurance.(2) A disclosure statement must be made in writing before, or as soon as practicable after, the foreign lawyer is retained in the matter.(3) A disclosure statement provided to a person before the foreign lawyer is retained in a matter is taken to be provided to the person as a client for the purposes of this section.(4) A disclosure statement is not valid unless it is given in accordance with, and otherwise complies with, any applicable requirements of the regulations.
(1) The regulations may provide that provisions of Part 3.4 (Fidelity cover) apply to prescribed classes of Australian-registered foreign lawyers and so apply with any modifications specified in the regulations.Note. Section 398 applies the provisions of Part 3.2 to Australian-registered foreign lawyers.(2) The regulations may make provision for or with respect to payments by locally registered foreign lawyers of contributions to the Fidelity Fund.
Division 3 Local registration of foreign lawyers generally
198 Local registration of foreign lawyers
Overseas-registered foreign lawyers may be registered as foreign lawyers under this Act.
(1) Registration as a foreign lawyer granted under this Act is in force from the day specified in the local registration certificate until the end of the financial year in which it is granted, unless the registration is sooner suspended or cancelled.(2) Registration as a foreign lawyer renewed under this Act is in force until the end of the financial year following its previous period of currency, unless the registration is sooner suspended or cancelled.(3) If an application for the renewal of registration as a foreign lawyer has not been determined by the following 1 July, the registration:(a) continues in force on and from that 1 July until the domestic registration authority renews or refuses to renew the registration or the holder withdraws the application for renewal, unless the registration is sooner suspended or cancelled, and(b) if renewed, is taken to have been renewed on and from that 1 July.
200 Locally registered foreign lawyer is not officer of Supreme Court
A locally registered foreign lawyer is not an officer of the Supreme Court.
Division 4 Applications for grant or renewal of local registration
201 Application for grant or renewal of registration
An overseas-registered foreign lawyer may apply to a domestic registration authority for the grant or renewal of registration as a foreign lawyer under this Act.
(1) An application for the grant or renewal of registration as a foreign lawyer must be:(a) made in the approved form, and(b) accompanied by the fees determined by the domestic registration authority.(2) Different fees may be set according to different factors determined by the domestic registration authority.(3) The fees are not to be greater than the maximum fees for a local practising certificate.(4) The domestic registration authority may also require the applicant to pay any reasonable costs and expenses incurred by the authority in considering the application, including (for example) costs and expenses of making inquiries and obtaining information or documents about whether the applicant meets the criteria for registration.(5) The fees and costs must not include any component for compulsory membership of any professional association.(6) The approved form may require the applicant to disclose:(a) matters that may affect the domestic registration authority’s consideration of the application for the grant or renewal of registration, and(b) particulars of any offences for which the applicant has been convicted in Australia or a foreign country, whether before or after the commencement of this section.(7) The approved form may indicate that convictions of a particular kind need not be disclosed for the purposes of the current application.(8) The approved form may indicate that specified kinds of matters or particulars previously disclosed in a particular manner need not be disclosed for the purposes of the current application.
203 Requirements regarding applications for grant or renewal of registration
(1) An application for grant of registration must state the applicant’s educational and professional qualifications.(2) An application for grant or renewal of registration must:(a) state that the applicant is registered to engage in legal practice by one or more specified foreign registration authorities in one or more foreign countries, and(b) state that the applicant is not an Australian legal practitioner, and(c) state that the applicant is not the subject of disciplinary proceedings in Australia or a foreign country (including any preliminary investigations or action that might lead to disciplinary proceedings) in his or her capacity as:(i) an overseas-registered foreign lawyer, or(ii) an Australian-registered foreign lawyer, or(iii) an Australian lawyer, and(d) state whether the applicant has been convicted of an offence in Australia or a foreign country, and if so:(i) the nature of the offence, and(ii) how long ago the offence was committed, and(iii) the applicant’s age when the offence was committed, and(e) state that the applicant’s registration is not cancelled or currently suspended in any place as a result of any disciplinary action in Australia or a foreign country, and(f) state:(i) that the applicant is not otherwise personally prohibited from engaging in legal practice in any place or bound by any undertaking not to engage in legal practice in any place, and(ii) whether or not the applicant is subject to any special conditions in engaging in legal practice in any place,as a result of criminal, civil or disciplinary proceedings in Australia or a foreign country, and(g) specify any special conditions imposed in Australia or a foreign country as a restriction on legal practice engaged in by the applicant or any undertaking given by the applicant restricting legal practice by the applicant, and(h) give consent to the making of inquiries of, and the exchange of information with, any foreign registration authorities the domestic registration authority considers appropriate regarding the applicant’s activities in engaging in legal practice in the places concerned or otherwise regarding matters relevant to the application, and(h1) specify which of the paragraphs of section 196 (1) the applicant proposes to rely on and be accompanied by supporting proof of the relevant matters, and(i) provide the information or be accompanied by the other information or documents (or both) that is specified in the application form or in material accompanying the application form as provided by the domestic registration authority.(3) The application must (if the domestic registration authority so requires) be accompanied by an original instrument, or a copy of an original instrument, from each foreign registration authority specified in the application that:(a) verifies the applicant’s educational and professional qualifications, and(b) verifies the applicant’s registration by the authority to engage in legal practice in the foreign country concerned, and the date of registration, and(c) describes anything done by the applicant in engaging in legal practice in that foreign country of which the authority is aware and that, in the opinion of the authority, has had or is likely to have had an adverse effect on the applicant’s professional standing within the legal profession of that place.(4) The applicant must (if the domestic registration authority so requires) certify in the application that the accompanying instrument is the original or a complete and accurate copy of the original.(5) The domestic registration authority may require the applicant to verify the statements in the application by statutory declaration or by other proof acceptable to the authority.(6) If the accompanying instrument is not in English, it must be accompanied by a translation in English that is authenticated or certified to the satisfaction of the domestic registration authority.
Division 5 Grant or renewal of registration
204 Grant or renewal of registration
(1) The domestic registration authority must consider an application that has been made for the grant or renewal of registration as a foreign lawyer and may:(a) grant or refuse to grant the registration, or(b) renew or refuse to renew the registration,and in granting or renewing the registration may impose conditions as referred to in section 224 (Conditions imposed by domestic registration authority).(1A) The domestic registration authority may, when granting or renewing registration, impose conditions as referred to in section 224 (Conditions imposed by domestic registration authority).(2) If the domestic registration authority grants or renews registration, the authority must, as soon as practicable, give the applicant a registration certificate or a notice of renewal.(2A) If the domestic registration authority:(a) refuses to grant or renew registration, or(b) imposes a condition of the registration and the applicant does not agree to the condition,the authority must, as soon as practicable, give the applicant an information notice.(3) If the domestic registration authority refuses to grant or renew registration, the domestic registration authority must, as soon as practicable, give the applicant an information notice.(4) A notice of renewal may be in the form of a new registration certificate or any other form the authority considers appropriate.
205 Requirement to grant or renew registration if criteria satisfied
(1) The domestic registration authority must grant an application for registration as a foreign lawyer if the domestic registration authority:(a) is satisfied the applicant is registered to engage in legal practice in one or more foreign countries and is not an Australian legal practitioner, and(b) considers an effective system exists for regulating engaging in legal practice in one or more of the foreign countries, and(c) considers the applicant is not, as a result of criminal, civil or disciplinary proceedings in any of the foreign countries, subject to:(i) any special conditions in engaging in legal practice in any of the foreign countries, or(ii) any undertakings concerning engaging in legal practice in any of the foreign countries,that would make it inappropriate to register the person, and(d) is satisfied the applicant demonstrates an intention to commence practising foreign law in this jurisdiction within a reasonable period if registration were to be granted,unless the authority refuses the application under this Division.(2) The domestic registration authority must grant an application for renewal of a person’s registration, unless the authority refuses renewal under this Division.(3) Residence or domicile in this jurisdiction is not to be a prerequisite for or a factor in entitlement to the grant or renewal of registration.
206 Refusal to grant or renew registration
(1) The domestic registration authority may refuse to consider an application if it is not made in accordance with this Act or the regulations or the required fees and costs have not been paid.(2) The domestic registration authority may refuse to grant or renew registration if:(a) the application is not accompanied by, or does not contain, the information required by this Division or prescribed by the regulations, or(b) the applicant has contravened this Act or a corresponding law, or(c) the applicant has contravened an order of the Tribunal or a corresponding disciplinary body, including but not limited to an order to pay any fine or costs, or(d) the applicant has contravened an order of a regulatory authority of any jurisdiction to pay any fine or costs, or(e) the applicant has failed to comply with a requirement under this Act to pay a contribution to, or levy for, the Fidelity Fund, or(f) the applicant has contravened a requirement of or made under this Act about professional indemnity insurance, or(g) the applicant has failed to pay any expenses of receivership payable under this Act, or(h) the applicant’s foreign legal practice is in receivership (however described).(3) The domestic registration authority may refuse to grant or renew registration if an authority of another jurisdiction has under a corresponding law:(a) refused to grant or renew registration for the applicant, or(b) suspended or cancelled the applicant’s registration.(4) The domestic registration authority may refuse to grant registration if the authority is satisfied that the applicant is not a fit and proper person to be registered after considering:(a) the nature of any offence for which the applicant has been convicted in Australia or a foreign country, whether before or after the commencement of this section, and(b) how long ago the offence was committed, and(c) the person’s age when the offence was committed.(5) The domestic registration authority may refuse to renew registration if the authority is satisfied that the applicant is not a fit and proper person to continue to be registered after considering:(a) the nature of any offence for which the applicant has been convicted in Australia or a foreign country, whether before or after the commencement of this section, other than an offence disclosed in a previous application to the domestic registration authority, and(b) how long ago the offence was committed, and(c) the person’s age when the offence was committed.(6) The domestic registration authority may refuse to grant or renew registration on any ground on which registration could be suspended or cancelled.(7) If the domestic registration authority refuses to grant or renew registration, the authority must, as soon as practicable, give the applicant an information notice.(8) Nothing in this section affects the operation of Division 7 (Special powers in relation to local registration—show cause events).
Division 6 Amendment, suspension or cancellation of local registration
207 Application of this Division
This Division does not apply in relation to matters referred to in Division 7 (Special powers in relation to local registration—show cause events).
208 Grounds for amending, suspending or cancelling local registration
(1) Each of the following is a ground for amending, suspending or cancelling a person’s registration as a foreign lawyer:(a) the registration was obtained because of incorrect or misleading information,(b) the person fails to comply with a requirement of this Part,(c) the person fails to comply with a condition imposed on the person’s registration,(d) the person becomes the subject of disciplinary proceedings in Australia or a foreign country (including any preliminary investigations or action that might lead to disciplinary proceedings) in his or her capacity as:(i) an overseas-registered foreign lawyer, or(ii) an Australian-registered foreign lawyer, or(iii) an Australian lawyer,(e) the person has been convicted of an offence in Australia or a foreign country,(f) the person’s registration is cancelled or currently suspended in any place as a result of any disciplinary action in Australia or a foreign country,(g) the person does not meet the requirements of section 196 (Professional indemnity insurance),(h), (i) (Repealed)(j) another ground the domestic registration authority considers sufficient.(2) Subsection (1) does not limit the grounds on which conditions may be imposed on registration as a foreign lawyer under section 224.
209 Amending, suspending or cancelling registration
(1) If the domestic registration authority believes a ground exists to amend, suspend or cancel a person’s registration by it as a foreign lawyer (the proposed action), the authority must give the person a notice that:(a) states the proposed action and:(i) if the proposed action is to amend the registration in any way—states the proposed amendment, and(ii) if the proposed action is to suspend the registration—states the proposed suspension period, and(b) states the grounds for proposing to take the proposed action, and(c) outlines the facts and circumstances that form the basis for the authority’s belief, and(d) invites the person to make written representations to the authority, within a specified time not less than 7 days and not more than 28 days, as to why the proposed action should not be taken.(2) If, after considering all written representations made within the specified time, the domestic registration authority still believes grounds exist to take the action, the authority may:(a) if the notice under subsection (1) stated the proposed action was to amend the registration—amend the registration in the way specified or in another way the authority considers appropriate because of the representations, or(b) if the notice stated the action proposed was to suspend the registration for a specified period—suspend the registration for a period no longer than the specified period, or(c) if the notice stated the action proposed was to cancel the registration:(i) cancel the registration, or(ii) suspend the registration for a period, or(iii) amend the registration in a less onerous way the authority considers appropriate because of the representations.(3) The domestic registration authority may, at its discretion, consider representations made after the specified time.(4) The domestic registration authority must give the person notice of the authority’s decision.(5) If the domestic registration authority decides to amend, suspend or cancel the registration, the authority must give the person an information notice about the decision.(6) In this section, amend registration means amend the registration under section 224 during its currency, otherwise than at the request of the foreign lawyer concerned.
210 Operation of amendment, suspension or cancellation of registration
(1) Application of section
This section applies if a decision is made to amend, suspend or cancel a person’s registration under section 209 (Amending, suspending or cancelling registration).(2) Action to take effect on giving of notice or specified date
Subject to subsections (3) and (4), the amendment, suspension or cancellation of the registration takes effect on the later of the following:(a) the day notice of the decision is given to the person,(b) the day specified in the notice.(3) Grant of stay
If the registration is amended, suspended or cancelled because the person has been convicted of an offence:(a) the Supreme Court may, on the application of the person, order that the operation of the amendment, suspension or cancellation of the registration be stayed until:(i) the end of the time to appeal against the conviction, and(ii) if an appeal is made against the conviction—the appeal is finally decided, lapses or otherwise ends, and(b) the amendment, suspension or cancellation does not have effect during any period in respect of which the stay is in force.(4) Quashing of conviction
If the registration is amended, suspended or cancelled because the person has been convicted of an offence and the conviction is quashed:(a) the amendment or suspension ceases to have effect when the conviction is quashed, or(b) the cancellation ceases to have effect when the conviction is quashed and the registration is restored as if it had merely been suspended.
211 Other ways of amending or cancelling registration
(1) The appropriate domestic registration authority may amend or cancel the registration of a locally registered foreign lawyer if the foreign lawyer requests the authority to do so.(2) The appropriate domestic registration authority may amend the registration of a locally registered foreign lawyer:(a) for a formal or clerical reason, or(b) in another way that does not adversely affect the lawyer’s interests.(3) The amendment or cancellation of a registration under this section is effected by written notice given to the foreign lawyer.(4) Section 209 (Amending, suspending or cancelling registration) does not apply in a case to which this section applies.
212 Relationship of this Division with Chapter 4
Nothing in this Division prevents the domestic registration authority from making a complaint under Chapter 4 (Complaints and discipline) about a matter to which this Division relates.
Division 7 Special powers in relation to local registration—show cause events
213 Applicant for local registration—show cause event
(1) This section applies if:(a) a person is applying for registration as a foreign lawyer under this Act, and(b) a show cause event in relation to the person happened, whether before or after the commencement of this section, after the person first became an overseas-registered foreign lawyer.(2) As part of the application, the person must provide to the domestic registration authority a written statement, in accordance with the regulations:(a) about the show cause event, and(b) explaining why, despite the show cause event, the applicant considers himself or herself to be a fit and proper person to be a locally registered foreign lawyer.(3) However, the person need not provide a statement under subsection (2) if the person has previously provided to the domestic registration authority a statement under this section, or a notice and statement under section 214 (Locally registered foreign lawyer—show cause event), explaining why, despite the show cause event, the person considers himself or herself to be a fit and proper person to be a locally registered foreign lawyer.(4) A contravention of subsection (2) is professional misconduct.
214 Locally registered foreign lawyer—show cause event
(1) This section applies to a show cause event that happens in relation to a locally registered foreign lawyer.(2) The locally registered foreign lawyer must provide to the domestic registration authority both of the following:(a) within 7 days after the happening of the event—written notice, in the approved form, that the event happened,(b) within 28 days after the happening of the event—a written statement explaining why, despite the show cause event, the person considers himself or herself to be a fit and proper person to be a locally registered foreign lawyer.(3) A contravention of subsection (2) is professional misconduct.(4) If a written statement is provided after the 28 days mentioned in subsection (2) (b), the domestic registration authority may accept the statement and take it into consideration.
215 Refusal, amendment, suspension or cancellation of local registration—failure to show cause
(1) The domestic registration authority may refuse to grant or renew, or may amend, suspend or cancel, local registration if the applicant for registration or the locally registered foreign lawyer:(a) is required by section 213 (Applicant for local registration—show cause event) or 214 (Locally registered foreign lawyer—show cause event) to provide a written statement relating to a matter and has failed to provide a written statement in accordance with that requirement, or(b) has provided a written statement in accordance with section 213 or 214 but the authority does not consider that the applicant or foreign lawyer has shown in the statement that, despite the show cause event concerned, he or she is a fit and proper person to be a locally registered foreign lawyer.(2) For the purposes of this section only, a written statement accepted by the domestic registration authority under section 214 (4) is taken to have been provided in accordance with section 214.(3) The domestic registration authority must give the applicant or foreign lawyer an information notice about the decision to refuse to grant or renew, or to suspend or cancel, the registration.
216 Restriction on making further applications
(1) If the domestic registration authority determines under this Division to cancel a person’s registration, the authority may also determine that the person is not entitled to apply for registration under this Part for a specified period (being a period not exceeding 5 years).(2) A person in respect of whom a determination has been made under this section, or under a provision of a corresponding law that corresponds to this section, is not entitled to apply for registration under this Part during the period specified in the determination.(3) If the domestic registration authority makes a determination under this section, the authority must, as soon as practicable, give the applicant an information notice.
217 Relationship of this Division with Chapters 4 and 6
(1) The domestic registration authority has and may exercise powers under Part 4.4 (Investigation of complaints) of Chapter 4, and Chapter 6 (Provisions relating to investigations), in relation to a matter under this Division, as if the matter were the subject of a complaint under Chapter 4.(2) Accordingly, the provisions of Part 4.4 of Chapter 4, and Chapter 6, apply in relation to a matter under this Division, and so apply with any necessary modifications.(3) Nothing in this Division prevents a complaint from being made under Chapter 4 about a matter to which this Division relates.
Division 8 Further provisions relating to local registration
218 Immediate suspension of registration
(1) This section applies, despite Divisions 6 and 7, if the domestic registration authority considers it necessary in the public interest to immediately suspend a person’s registration as a foreign lawyer.(2) The domestic registration authority may, by written notice given to the person, immediately suspend the registration until the earlier of the following:(a) the time at which the authority informs the person of the authority’s decision by notice under section 209,(b) the end of the period of 56 days after the notice is given to the person under this section.(3) The notice under this section must:(a) include an information notice about the suspension, and(b) state that the person may make written representations to the domestic registration authority about the suspension, and(c) state that the person may appeal against the suspension under section 238.(4) The person may make written representations to the domestic registration authority about the suspension, and the authority must consider the representations.(5) The domestic registration authority may revoke the suspension at any time, whether or not in response to any written representations made to it by the person.
219 Surrender of local registration certificate and cancellation of registration
(1) A person registered as a foreign lawyer under this Part may surrender the local registration certificate to the domestic registration authority.(2) The domestic registration authority may cancel the surrendered registration certificate.
220 Automatic suspension or cancellation of registration on grant of practising certificate or other disciplinary action
(1) A person’s registration as a foreign lawyer under this Part is taken to be:(a) cancelled if the person becomes an Australian legal practitioner, or(b) suspended or cancelled if a foreign registration authority suspends or cancels, or a disciplinary body of another jurisdiction corresponding to the Tribunal orders the suspension or cancellation of, the person’s registration in a foreign country because of criminal, civil or disciplinary proceedings against the person, or(c) cancelled if the person’s registration in a foreign country lapses.(2) A suspension under this section has effect while the person’s registration in the foreign country is suspended.
221 Suspension or cancellation of registration not to affect disciplinary processes
The suspension or cancellation of a person’s registration as a foreign lawyer under this Part does not affect any disciplinary processes in respect of matters arising before the suspension or cancellation.
222 Return of local registration certificate on amendment, suspension or cancellation of registration
(1) This section applies if a person’s registration under this Part as a foreign lawyer is amended, suspended or cancelled.(2) The domestic registration authority may give the person a notice requiring the person to return the registration certificate to the authority in the way specified in the notice within a specified period of not less than 14 days.(3) The person must comply with the notice, unless the person has a reasonable excuse.Maximum penalty: 20 penalty units.
(4) If the registration is amended, the domestic registration authority must return the registration certificate to the person as soon as practicable after amending it.
Division 9 Conditions on registration
(1) Registration as a foreign lawyer under this Part is subject to:(a) any conditions imposed by the domestic registration authority, and(b) any statutory conditions imposed by this or any other Act, and(c) any conditions imposed by or under the legal profession rules, and(d) any conditions imposed under Chapter 4 (Complaints and discipline) or under provisions of a corresponding law that correspond to Chapter 4.(2) If a condition is imposed, varied or revoked under this Act (other than a statutory condition) during the currency of the registration concerned, the registration certificate is to be amended by the domestic registration authority, or a new certificate is to be issued by the authority, to reflect on its face the imposition, variation or revocation.
224 Conditions imposed by domestic registration authority
(1) The domestic registration authority may impose conditions on registration as a foreign lawyer:(a) when it is granted or renewed, or(b) during its currency.(2) A condition imposed under this section must be reasonable and relevant.(3) A condition imposed under this section may be about any of the following:(a) any matter in respect of which a condition could be imposed on a local practising certificate,(b) a matter agreed to by the foreign lawyer.(4) The domestic registration authority must not impose a condition under subsection (3) (a) that is more onerous than a condition that would be imposed on a local practising certificate of a local legal practitioner in the same or similar circumstances.(5) The domestic registration authority may vary or revoke conditions imposed by it under this section.(6) If the domestic registration authority imposes, varies or revokes a condition during the currency of the registration concerned, the imposition, variation or revocation takes effect when the holder has been notified of it or at a later time specified by the authority.(7) If the domestic registration authority imposes a condition on registration when it is granted or renewed and the foreign lawyer within one month after the grant or renewal notifies the authority in writing that he or she does not agree to the condition, the authority must, as soon as practicable, give the holder an information notice.(8) This section has effect subject to section 209 (Amending, suspending or cancelling registration) in relation to the imposition of a condition on registration during its currency.
225 Imposition or variation of conditions pending criminal proceedings
(1) If a person registered as a foreign lawyer under this Part has been charged with a relevant offence but the charge has not been determined, the appropriate domestic registration authority may apply to the Tribunal for an order under this section.(2) On an application under subsection (1), the Tribunal, if it considers it appropriate to do so having regard to the seriousness of the offence and to the public interest, may make either or both of the following orders:(a) an order varying the conditions on the practitioner’s registration, or(b) an order imposing further conditions on the practitioner’s registration.(3) An order under this section has effect until the sooner of:(a) the end of the period specified by the Tribunal, or(b) if the practitioner is convicted of the offence—28 days after the day of the conviction, or(c) if the charge is dismissed—the day of the dismissal.(4) The Tribunal, on application by any party, may vary or revoke an order under this section at any time.(5) In this section:relevant offence means a serious offence or an offence that would have to be disclosed under the admission rules in relation to an application for admission to the legal profession under this Act.
226 Statutory condition regarding notification of offence
(1) It is a statutory condition of registration as a foreign lawyer that the lawyer:(a) must notify the domestic registration authority that the lawyer has been:(i) convicted of an offence that would have to be disclosed in relation to an application for registration as a foreign lawyer under this Act, or(ii) charged with a serious offence, and(b) must do so within 7 days of the event and by a written notice.(2) The regulations, or the legal profession rules if the regulations do not do so, may specify the form of the notice to be used and the person to whom or the address to which it is to be sent or delivered.(3) The giving of a notice in accordance with Division 7 (Special powers in relation to local registration—show cause events) of a conviction for a serious offence satisfies the requirements of subsection (1) (a) (i) in relation to the conviction.
227 Conditions imposed by legal profession rules
The legal profession rules may:(a) impose conditions on the registration of foreign lawyers or any class of foreign lawyers, or(b) authorise conditions to be imposed on the registration of foreign lawyers or on the registration of any class of foreign lawyers.
228 Compliance with conditions
(1) A locally registered foreign lawyer must not contravene a condition to which the registration is subject.Maximum penalty: 100 penalty units.
(2) (Repealed)
Division 10 Interstate-registered foreign lawyers
229 Extent of entitlement of interstate-registered foreign lawyer to practise in this jurisdiction
(1) This Part does not authorise an interstate-registered foreign lawyer to practise foreign law in this jurisdiction to a greater extent than a locally registered foreign lawyer could be authorised under a local registration certificate.(2) Also, an interstate-registered foreign lawyer’s right to practise foreign law in this jurisdiction:(a) is subject to:(i) any conditions imposed by the domestic registration authority under section 230 (Additional conditions on practice of interstate-registered foreign lawyers), and(ii) any conditions imposed by or under the legal profession rules as referred to in that section, and(b) is, to the greatest practicable extent and with all necessary changes:(i) the same as the interstate-registered foreign lawyer’s right to practise foreign law in the lawyer’s home jurisdiction, and(ii) subject to any condition on the interstate-registered foreign lawyer’s right to practise foreign law in that jurisdiction.(3) If there is an inconsistency between conditions mentioned in subsection (2) (a) and conditions mentioned in subsection (2) (b), the conditions that are, in the opinion of the domestic registration authority, more onerous prevail to the extent of the inconsistency.(4) An interstate-registered foreign lawyer must not practise foreign law in this jurisdiction in a manner not authorised by this Act or in contravention of any condition referred to in this section.(5) (Repealed)
230 Additional conditions on practice of interstate-registered foreign lawyers
(1) The domestic registration authority may, by written notice to an interstate-registered foreign lawyer practising foreign law in this jurisdiction, impose any condition on the interstate-registered foreign lawyer’s practice that it may impose under this Act in relation to a locally registered foreign lawyer.(2) Also, an interstate-registered foreign lawyer’s right to practise foreign law in this jurisdiction is subject to any condition imposed by or under an applicable legal profession rule.(3) Conditions imposed under or referred to in this section must not be more onerous than conditions applying to locally registered foreign lawyers in the same or similar circumstances.(4) A notice under this section must include an information notice about the decision to impose a condition.
231 Consideration and investigation of applicants and locally registered foreign lawyers
(1) To help it consider whether or not to grant, renew, amend, suspend or cancel registration under this Part, the domestic registration authority may, by notice to the applicant or locally registered foreign lawyer, require the applicant or locally registered foreign lawyer:(a) to give it specified documents or information, or(b) to co-operate with any inquiries that it considers appropriate.(2) A failure to comply with a notice under subsection (1) by the date specified in the notice and in the way required by the notice is a ground for making an adverse decision in relation to the action being considered by the domestic registration authority.
232 Register of locally registered foreign lawyers
(1) The domestic registration authority must keep a register of the names of locally registered foreign lawyers.(2) The register must:(a) state the conditions (if any) imposed on a foreign lawyer’s registration, and(b) include other particulars prescribed by the regulations.(3) The register may be kept in the way the domestic registration authority decides.(4) The register must be available for inspection, without charge, at the domestic registration authority’s office during normal business hours.
233 Publication of information about locally registered foreign lawyers
The domestic registration authority may publish, in circumstances that it considers appropriate, the names of persons registered by it as foreign lawyers under this Part and any relevant particulars concerning those persons.
234 Supreme Court orders about conditions
(1) The domestic registration authority may apply to the Supreme Court for an order or injunction that an Australian-registered foreign lawyer not contravene a condition imposed under this Part.(2) No undertaking as to damages or costs is required.(3) The Supreme Court may grant an order or injunction in such terms as it considers appropriate, and make any order it considers appropriate, on the application.(4) This section does not affect the generality of section 720 (Injunctions).
235 Exemption by domestic registration authority
(1) The domestic registration authority may exempt an Australian-registered foreign lawyer or class of Australian-registered foreign lawyers from compliance with a specified provision of this Act or the regulations, or from compliance with a specified rule or part of a rule that would otherwise apply to the foreign lawyer or class of foreign lawyers.(2) An exemption may be granted unconditionally or subject to conditions specified in writing.(3) The domestic registration authority may revoke or vary any conditions imposed under this section or impose new conditions.
236 Membership of professional association
An Australian-registered foreign lawyer is not required to join (but may, if eligible, join) any professional association.
(1) The regulations may provide for the refund of a portion of a fee paid in respect of registration as a foreign lawyer if it is suspended or cancelled during its currency.(2) Without limiting subsection (1), the regulations may specify:(a) the circumstances in which a refund is to be made, and(b) the amount of the refund or the manner in which the amount of the refund is to be determined.
(1) If the domestic registration authority:(a) refuses to grant or renew the registration of a person as a foreign lawyer, or(b) amends, suspends or cancels a person’s registration as a foreign lawyer, or(c) takes any action under Divisions 3 and 4 of Part 3.1,the foreign lawyer may appeal to the Supreme Court against the refusal, amendment, suspension, cancellation or action.(2) The Supreme Court may make such an order in the matter as it thinks fit.
Practice as a locally registered foreign lawyer is subject to the legal profession rules that apply to locally registered foreign lawyers.
Part 2.8 Community legal centres
(1) An organisation, whether incorporated or not, is a complying community legal centre for the purposes of this Act if:(a) it is held out or holds itself out as being a community legal centre (or a centre or establishment of a similar description), and(b) it provides legal services:(i) that are directed generally to persons or organisations that lack the financial means to obtain privately funded legal services or whose cases are expected to raise issues of public interest or are of general concern to disadvantaged groups in the community, and(ii) that are made available to persons or organisations that have a special need arising from their location or the nature of the legal matter to be addressed or have a significant physical or social disability, and(iii) that are not intended, or likely, to be provided at a profit to the community legal centre and the income (if any) from which cannot or will not be distributed to any member or employee of the centre otherwise than by way of reasonable remuneration under a contract of service or for services, and(iv) that are funded or expected to be funded to a significant level by donations or by grants from government, charitable or other organisations, and(c) at least one of the persons who is employed or otherwise used by it to provide those legal services is an Australian legal practitioner and is generally responsible for the provision of those legal services (whether or not the person has an unrestricted practising certificate).(2) A complying community legal centre does not contravene this Act merely because:(a) it employs, or otherwise uses the services of, Australian legal practitioners to provide legal services to members of the public, or(b) it has a contractual relationship with a member of the public to whom those legal services are provided or receives any fee, gain or reward for providing those legal services, or(c) it shares with an Australian legal practitioner employed or otherwise used by it to provide those legal services receipts, revenue or other income arising from the business of the centre, being business of a kind usually conducted by an Australian legal practitioner, or(d) it adopts or uses the word “legal” or a name, description or title specified in regulations under section 16 (or some related term) in its name or any registered business name under which it provides legal services to members of the public.(3) This section has effect despite anything to the contrary in this Act.(4) The regulations may make provision for or with respect to:(a) the application (with or without specified modifications) of provisions of this Act to complying community legal centres, and(b) the legal services provided by complying community legal centres or officers or employees of, or persons whose services are used by, complying community legal centres.(5) A regulation may provide that a breach of the regulations is capable of being unsatisfactory professional conduct or professional misconduct by, in the case of a complying community legal centre, an Australian legal practitioner responsible for the breach.
241 Application of legal profession rules
Legal profession rules, so far as they apply to Australian legal practitioners, also apply to Australian legal practitioners who are officers or employees of, or whose services are used by, a complying community legal centre, unless the rules otherwise provide.
