SRA Standards and Regulations

Showing 141 results

Found in

SRA SQE Assessment Regulations

Regulation 3

Eligibility and identification requirements

In order to enter an assessment, candidates will be required to comply with the SQE ID and Security Requirements which are available on the SQE website.
Found in

SRA SQE Assessment Regulations

Regulation 6

SQE2

SQE2 will test oral and written legal skills in accordance with the Assessment Specification for SQE2. In order to pass SQE2 candidates must obtain the overall pass mark for SQE2. The pass mark for SQE2 will be set in accordance with the SQE Marking and Standard Setting Policy.
Found in

SRA Code of Conduct for Firms

5

Client money and assets

You properly account to clients for any financial benefit you receive as a result of their instructions, except where they have agreed otherwise. You safeguard money and assets entrusted to you by clients and others.
Found in

SRA Code of Conduct for Firms

1

Maintaining trust and acting fairly

You do not unfairly discriminate by allowing your personal views to affect your professional relationships and the way in which you provide your services. You do not abuse your position by taking unfair advantage of clients or others. You perform all undertakings given by you and do so within an agreed timescale or if no timescale has been agreed then within a reasonable amount of time. You do...
Found in

SRA Code of Conduct for Firms

9

Compliance officers

If you are a COLP you must take all reasonable steps to: ensure compliance with the terms and conditions of your firm's authorisation; ensure compliance by your firm and its managers, employees or interest holders with the SRA's regulatory arrangements which apply to them; ensure that your firm's managers and interest holders and those they employ or contract with do not cause or substantially...
Found in

SRA Code of Conduct for Firms

2

Compliance and business systems

You have effective governance structures, arrangements, systems and controls in place that ensure: you comply with all the SRA's regulatory arrangements, as well as with other regulatory and legislative requirements, which apply to you; your managers and employees comply with the SRA's regulatory arrangements which apply to them; your managers and interest holders and those you employ...
Found in

SRA Code of Conduct for Firms

6.1-6.2

Conflict of interests

You do not act if there is an own interest conflict or a significant risk of such a conflict. You do not act in relation to a matter or a particular aspect of it if you have a conflict of interest or a significant risk of such a conflict in relation to that matter or aspect of it, unless: the clients have a substantially common interest in relation to the matter or the aspect of it, as...
Found in

SRA Code of Conduct for Firms

7

Applicable standards in the SRA Code of Conduct for Solicitors, RELs and RFLs

The following paragraphs in the SRA Code of Conduct for Solicitors, RELs and RFLs apply to you in their entirety as though references to "you" were references to you as a firm: dispute resolution and proceedings before courts, tribunals and inquiries (2.1 to 2.7); referrals, introductions and separate businesses (5.1 to 5.3); and standards which apply when providing services to the public...
Found in

SRA SQE Assessment Regulations

Regulation 7

Time Limits and Attempts

Subject to regulation 7.4, candidates have six years from the date they first sat an SQE assessment to sit the remaining SQE assessments. Candidates who still have further assessments to sit at the end of this six year period will need to reapply and previous passes will not be carried forward. Subject to Regulation 7.4, a candidate who fails FLK1 and/or FLK2 at the first attempt will have two...
Found in

SRA SQE Assessment Regulations

Regulation 9

Exemptions

Exemptions from any assessment are determined by the SRA. There are no exemptions from only part of either FLK1 or FLK2 or SQE2.