Conveyancers Licensing Act 2003 No 3
22 Rules of conduct for licensee’s business
(1) The regulations may prescribe rules of conduct to be observed in
the course of the conduct of conveyancing businesses or the exercise of
functions under licences.
Note. Part 9 (Complaints and disciplinary action) provides that a
contravention of a provision of the regulations is grounds for taking
disciplinary action against a person.
(2) Without limiting subsection (1), the regulations may adopt, with
or without modification, the provisions of any rules made by the Law Society
with respect to the conduct of solicitors.
(3) Without limiting subsection (1), the regulations may make
provision for or with respect to matters to be disclosed to a person for whom
a licensee carries out, or is retained to carry out, conveyancing work,
including (but not limited to):
(a) any conflict of interest that might arise from the carrying out of
the work, and
(b) any beneficial interest in property that a licensee or employee of
a licensee may obtain or be concerned in obtaining in carrying out
conveyancing work in relation to the sale of the