Compliance issues for solicitors to look out for in 2021

Compliance issues for solicitors to watch in 2021

We were thrilled to be asked to write a compliance blog by our friends at The Cashroom.

The six burning issues for 2021 are:

  1. Covid and financial stability – many firms are being pushed to the edge. How do you deal with the fallout?
  2. AML supervision – the SRA is being much more proactive. Be prepared for a ‘knock at the door’.
  3. Transparency Rules enforcement – it’s unpopular, but there’s no excuse to get this wrong.
  4. SRA reporting – COLPs are grappling with the enhanced reporting duties under the ‘new’ Codes of Conduct.
  5. Brexit, practising rights and data flows – for those practising across EU borders, it’s a big deal.
  6. Professional indemnity insurance – the market will continue to create uncertainty for the foreseeable. Make yourself attractive to insurers.

Jonathon also went through these issues in a recent webinar for Indemnity Legal, the specialist insurance law firm. The recorded webinar can be found here.

Read the Cashroom blog


When is tax advice not tax advice? The implications for solicitors are no joke

When is tax advice not tax advice Money Laundering Regulations

MLROs take note

Most solicitors specifically exclude tax advice in their retainers, unless they have a dedicated tax department. This does not mean they are shielded from the Money Laundering Regulations.

Yes, there are many areas of legal advice that skirt around tax (e.g. property, commercial, employment, pensions, family, wills and trusts). But the lawyer – unless they are a tax specialist – does not typically provide a full advice on the tax element.

Until recently, that was the accepted position.

The 5th Money Laundering Directive has turned that on its head. There is a real danger that firms could wrongly assume that certain areas of practice are not subject to the Money Laundering Regulations.

This could be an offence.

In this blog we look at what additional areas of practice might be caught by the Money Laundering Regulations, and what to do about it.

Read the blog

 


Guidance

SRA COLP guidance

SRA updates

Law Society practice notes and updates

Other updates


Webinar training

Jonathon Bray COLP and COFA webinar training

Thanks to everyone who attended our monthly webinar last week on Financial Stability – a very insightful session hosted by Paul McCluskey. The slides have been sent out so please feel free to share with colleagues who couldn’t make it.

Looking ahead, please save the date of our next webinar – Wednesday 17th Match at 12pm (available to clients only).

The topic is one that we are receiving a lot of questions about at the moment – the new Legal Sector Affinity Group (LSAG) guidance.

We will be breaking the 200-page guidance down into ‘user friendly’ language and telling you what you need to know.

Previous sessions also include:

  • Data protection
  • Anti-money laundering

If you registered for these events, you should have been sent links to the recordings. If not, please just ask.

Register for the LSAG webinar (clients only)


What’s on my whiteboard?

Guess the song

No, I can’t draw


Disciplinary decisions

Solicitors Disciplinary Tribunal

  • Bushra Anwar – restored to the roll after being struck off in 1999. “The tribunal was satisfied that restoration of this applicant to the roll would not undermine the profession in the eyes of public. What she had done when young and inexperienced should not blight her for the rest of her life.
  • Mohammed Imran Hussain – fined £10,000 for abusive telephone call to a complaining client.
  • Arthur Roger Brooks – fined £10,000 for failing to take jailed client’s instructions to sell property.
  • Nato Zondagh – struck off for misappropriating client money, failing to undertake post-completion on property transactions and various acts of dishonesty.
  • Ebru Atas – recently qualified solicitor struck off for faking divorce papers and taking client money into her own bank account.
  • Suhail Zina – Clifford Chance solicitor, along with Goldman Sachs analyst brother Mohammed Zina, charged with insider trading by the FCA.
  • Babita Attra – struck off for facilitating translation fraud against the Legal Aid Agency.
  • Gregory Stuart Saunders – former Clarke Willmott partner struck off for misleading his client into believing a damages were to be received imminently, when in fact no settlement had been reached.
  • Jonathan Thomas Gorman – department head struck off after being found to be accountable for £15m worth of property claims against EAD Solicitors. Poor service and failure to protect clients’ interests were aggravated by a cosy relationship with property developers.
  • Seatons Law Limited – fined £14,000 for failing to spot red flags in conveyancing transactions.