| Duties to the court & the administration of justice |
|
Overriding duty to the court
|
Principle 1.1; SRA Principles Introduction
|
CD1; rC3; rC4
|
P.1; R.2.1; R.2.2
|
Rule 3.1
|
r25
|
Ch5 — General (relationship with the court), para (c)
|
Rule 2.5
|
Canon V; Canon IV(q)(ii)
|
P.1; R.3.1
|
r 5.1-1
|
r 5.1-1
|
r 2.1 / r 13
|
B1.13
|
r 4(a)
|
Principle 10.02 / r 2(f) Solicitors' Practice Rules
|
para 10.29
|
|
Not mislead the court
|
rC1.4; rC2.4
|
rC3.1; rC6; gC4
|
R.2.1(a); R.2.4
|
Rules 19.1; 19.2
|
rr26-27
|
Ch5 — General; Ch5 — The advocate / conducting litigation
|
Rule 5.16; Rule 5.3(e)
|
Canon V(o); Canon VI(cc); Canon IV(q)(ii)
|
R.3.1 a); R.3.4
|
r 5.1-2(e)
|
r 5.1-2(e)
|
r 13.1
|
B1.13
|
r 9 (Conduct of proceedings)
|
Principle 10.03
|
para 10.30
|
|
Disclose adverse law to the court
|
rC2.7
|
rC3.4; gC5
|
R.2.1(d)
|
Rules 19.6; 19.8
|
r31
|
Ch5 — The solicitor advocate, para 1
|
Rule 5.19
|
— |
R.3.1 d)
|
r 5.1-2(i)
|
r 5.1-2(i)
|
r 13.11
|
— |
r 9 (Conduct of proceedings)
|
Principle 10.03 Commentary 7
|
para 10.38
|
|
Full disclosure on ex parte applications
|
— |
— |
— |
Rule 19.4
|
rr29-30
|
Ch5 — Ex parte applications
|
— |
— |
— |
r 5.1-1 commentary [6]
|
r 5.1-1, commentary [6]
|
r 13.2.2
|
— |
r 9 (Conduct of proceedings)
|
Principle 10.04 Commentary 1
|
— |
|
No abuse of process or coercive powers
|
rC2.6; rC2.4; rC1.2
|
rC3.2; rC7
|
R.2.1(b); R.2.5
|
Rule 21.1
|
rr59-60
|
Ch5 — General (relationship with the court)
|
Rule 2.3(d); Rule 5.18
|
Canon III(i)
|
R.3.1 b); R.3.5
|
r 5.1-2(a)
|
r 5.1-2(a)
|
r 2.3
|
B1.12
|
r 9 (Conduct of proceedings)
|
Principle 5.02 Commentary 3
|
para 10.32
|
|
Avoid wasting the court's time
|
rC2.6
|
rC3.3
|
R.2.1(c)
|
Rule 17.2.2
|
r57
|
Ch5 — General (relationship with the court)
|
Rule 5.20
|
Canon V(q)
|
R.3.1 c)
|
r 5.1-1 commentary [8]
|
r 5.1-1, commentary [8]
|
r 3 / r 13.2
|
— |
r 9 (Conduct of proceedings)
|
Principle 10.18
|
para 10.36
|
|
Proper basis for allegations
|
rC2.4
|
rC7.3; rC9.2.c
|
R.2.5(c); R.3.2(b)(iii)
|
Rules 21.3; 21.4; 21.5
|
rr63-64,66
|
Ch5 — Solicitor instructed in professional negligence proceedings
|
Rule 5.8; Rule 5.5
|
— |
R.3.5 c); R.4.2 b)iii)
|
r 5.1-2(g)
|
r 5.1-2(g)
|
r 13.8.1
|
— |
r 9 (Conduct of proceedings)
|
Principle 10.07 Commentary 6
|
para 10.23(a)-(b)
|
|
No improper questioning of witnesses
|
— |
rC7.1; rC7.2
|
R.2.5(a); R.2.5(b)
|
Rule 21.8.1
|
r61
|
Ch5 — The solicitor advocate, para 4
|
Rule 5.18
|
— |
R.3.5 a)-b)
|
r 5.1-2(m)
|
r 5.1-2(m),(o)
|
r 13.10.3 / r 13.10.5
|
— |
r 12 (Communications and dealings with witnesses)
|
Principle 10.07 Commentary 3
|
para 10.43
|
|
No personal opinion or familiarity with court
|
— |
rC7.4
|
R.2.5(d)
|
Rules 17.3; 18.1
|
rr43-44
|
Ch5 — The solicitor advocate, para 5
|
Rule 5.17
|
Canon V(j)
|
R.3.5 d)
|
r 5.1-1 commentary [5]; r 5.1-2(c)
|
r 2.1-2(c)
|
r 13.5.4
|
— |
r 9 (Conduct of proceedings)
|
Principle 10.14 Commentary 1
|
para 10.33
|
|
No improper communication with the court
|
— |
— |
— |
Rules 22.5; 22.6
|
rr53-54
|
Ch5 — Communication with the court
|
Rule 5.28; Rule 5.29
|
Canon V(i)
|
— |
r 5.1-2(d)
|
r 2.1-2(d)
|
r 13.2.2
|
— |
r 30 (Communication with court)
|
Principle 10.02 Commentary 2-3
|
para 10.48
|
|
Cease acting on client perjury or disobedience
|
rC1.4; rC2.4
|
rC25.2; rC25.3; gC11
|
R.2.4(c); R.2.4(d)
|
Rules 20.1; 20.3
|
rr78-80
|
Ch5 — Perjury by a client
|
Rule 5.3(e)
|
Canon V(m); Canon V(n); Canon IV(q)(ii)-(iii)
|
R.3.4 d); G.3.3
|
r 5.1-2(e),(k); r 5.1-4 commentary [1]
|
r 5.1-2(e),(k)
|
r 13.10.1
|
B1.13
|
r 10 (Responsibility for client’s conduct)
|
Principle 10.03 Commentary 5
|
para 10.40
|
|
No tampering with or coaching witnesses
|
rC2.1; rC2.2
|
rC9.3; rC9.4; rC9.5
|
R.3.2(c); R.3.2(d); R.3.2(e)
|
Rules 24.1; 25.1; 26.1
|
rr68-70,72
|
Ch5 — Interviewing witnesses; Witness in the course of giving evidence
|
Rule 5.11; Rule 5.12
|
Canon V(m); Canon V(k)
|
R.4.2 c)-e)
|
r 5.1-2A; r 5.4-2(b)
|
r 5.1-2.1
|
r 13.10.8
|
— |
r 12 (Communications and dealings with witnesses)
|
Principle 10.12 Commentary 2 / Principle 10.28
|
para 10.25
|
|
No payments to witnesses on evidence
|
rC2.3
|
rC9.6
|
R.3.2(f)
|
— |
— |
Ch5 — Payment to witnesses
|
— |
Canon V(l)
|
R.4.2 f)
|
— |
— |
r 13.10.10
|
— |
r 12 (Communications and dealings with witnesses)
|
Principle 10.20
|
— |
|
Prosecutorial fairness and impartiality
|
— |
— |
— |
Rules 29.1; 29.2; 29.3
|
rr82-85
|
Ch5 — Criminal cases: The solicitor prosecutor
|
Rule 10.20
|
Canon III(h)
|
— |
r 5.1-3 commentary [1]
|
r 5.1-3, commentary [1]
|
r 13.12
|
— |
r 15 (Conducting the prosecution in criminal proceedings)
|
Principle 10.14
|
para 10.66
|
|
Prosecutorial duty of disclosure
|
— |
— |
— |
Rules 29.5; 29.7
|
rr86,88
|
Ch5 — Criminal cases: The solicitor prosecutor
|
Rule 10.23
|
Canon III(h)
|
— |
r 5.1-3 commentary [1]
|
r 2.1-1(b)
|
r 13.12(a)
|
— |
r 15 (Conducting the prosecution in criminal proceedings)
|
Principle 10.14 Commentary 2
|
para 10.68
|
|
No prejudicial publicity for pending cases
|
— |
gC22
|
— |
Rule 28.1
|
rr75-76
|
Ch5 — Publicity for pending litigation or proceedings
|
Rule 6.1
|
— |
— |
r 7.5-2
|
r 7.5-2
|
r 13.2
|
— |
r 9 (Conduct of proceedings)
|
Principle 10.23
|
para 10.74(b)
|
|
Comply with and respect court orders
|
rC2.5
|
CD1; rC3; rC64.2
|
— |
Rules 20.3.1; 20.3.2
|
rr12(b),80
|
Ch5 — Compliance with orders of the court
|
Rule 5.1
|
Canon V(a); Canon V(b)
|
R.3.1; GP.5
|
r 5.1-5
|
r 5.1-5
|
r 13.2 / r 2.2
|
B1.13
|
r 13 (Respect for court or tribunal and related responsibilities)
|
Principle 10.11
|
para 10.34
|
| Honesty, integrity & independence |
|
Honesty
|
Principle 1.4
|
CD3; rC9.1; rC8
|
P.3; R.3.1; R.3.2
|
Rule 4.1.2
|
rr12(a),5(c)
|
Ch1 — Core values: Honesty; Ch6 — Professional standard of conduct
|
Rule 2.3(b)
|
Canon V(o); Canon I(b); Canon IV
|
P.3; R.4.2 a)
|
r 2.1-1
|
r 2.2-1
|
r 10.9 / r 2.4
|
B1.2
|
r 5 (Honesty, competence and diligence)
|
Principle 13.01
|
para 4.1(b)(i)
|
|
Integrity
|
Principle 1.5
|
CD3; rC8
|
P.3; R.3.1
|
Rule 4.1.4
|
rr12(a),12(c)
|
Ch1 — Core values: Integrity
|
Rule 2.3(b)
|
Canon I; Canon I(c)
|
P.3; R.4.1
|
r 2.1-1
|
r 2.2-1
|
r 12
|
B1.2
|
r 4(c)
|
Principle 1.01 / r 2(a) & (d) Solicitors' Practice Rules
|
para 10.3(b)
|
|
Professional independence
|
Principle 1.3
|
CD4; rC3.5; rC8
|
P.5; R.2.1(e); R.3.1
|
Rules 4.1.4; 17.1
|
rr25,41,4(b)
|
Ch1 — Core values: Independence
|
Rule 2.8; Rule 2.1
|
Canon IV(c)
|
P.5; R.4.1; R.5.1 d)
|
r 7.3-2; r 7.3-1
|
r 7.3-1
|
r 5
|
B1.3
|
r 4(b)
|
Principle 3.01
|
para 10.3
|
|
No taking unfair advantage
|
rC1.2
|
gC25.7; gC26
|
R.11.2
|
Rule 30.1
|
rr28,46
|
Ch1 — Core values: Integrity; Ch6 — Professional standard of conduct
|
— |
— |
R.10.2
|
r 7.2-2
|
r 7.2-2
|
r 2.7 / r 5.1
|
B1.2
|
r 8 (Conduct in relation to other persons)
|
Principle 13.01 / Principle 5.15
|
footnote 2 (para 4.1)
|
|
Not mislead third parties or opponents
|
rC1.4
|
rC9.1
|
R.3.2(a)
|
Rules 22.1; 22.2
|
rr48-49
|
Ch1 — Core values: Integrity; Ch6 — Professional standard of conduct
|
Rule 5.3(a)
|
Canon VI(cc); Canon V(o)
|
R.4.2 a)
|
r 3.2-7(a); r 7.2-4
|
r 2.2-1
|
r 10.9
|
B1.2
|
r 8 (Conduct in relation to other persons)
|
Principle 13.01 / Principle 13.01 Commentary 4
|
para 10.47(a)-(b)
|
|
No direct dealing with represented party
|
— |
gC24
|
R.11.3
|
Rule 33.1
|
r51
|
Ch7 — Communicating with the client of another solicitor: General
|
Rule 5.13
|
Canon VI(f)
|
R.10.3
|
r 7.2-6
|
r 7.2-6
|
r 10.4
|
— |
r 31 (Communication with another legal practitioner)
|
Principle 11.02 / Principle 10.21
|
— |
|
Fair dealing with unrepresented parties
|
rC1.2
|
rC7.1; gC5
|
R.11.2
|
Rule 34.1
|
r52
|
Ch6 — Persons acting without legal representation
|
Rule 5.14
|
— |
R.10.2
|
r 7.2-9
|
r 7.2-9
|
r 12 / r 12.1
|
— |
r 8 (Conduct in relation to other persons)
|
Principle 13.01 Commentary 1 & 3
|
para 10.6
|
|
No bribery or improper gifts
|
rC2.3; Principle 1.2
|
gC18; gC19; gC30.2
|
R.7.9; R.10.1
|
— |
r45
|
Ch3 — Prohibition on payments to clients; Ch6 — Inducements
|
— |
Canon V(h)
|
R.6.9
|
r 5.1-2(d)
|
r 5.1-2(d)
|
r 5.9
|
— |
— |
— |
para 10.10
|
|
Personal probity and fitness to practise
|
Principle 1.2; CCS Introduction
|
CD5; gC25; gC27
|
P.2; R.3.1
|
Rule 5.1.1
|
rr12(a),13
|
Ch6 — Professional standard of conduct
|
Rule 2.3(c); Rule 2.12
|
Canon III(k); Canon I(b)
|
P.2; GP.6
|
r 2.1-1 commentary [3]
|
r 2.2-1, commentary [3]
|
r 1.4
|
B1.2
|
r 4(c)
|
Principle 1.03 Commentary
|
para 4.1(b)
|
|
Uphold public trust in the profession
|
Principle 1.2
|
CD5; rC8; gC16
|
P.2
|
Rule 5.1.2
|
r12(c)
|
Ch1 — Core values: General; Ch9 — Accounts regulations: General
|
Rule 2.3(c); Rule 2.2
|
Canon I(b); Canon VIII(b)
|
P.2
|
r 2.1-2; r 2.1-1 commentary [2]
|
r 2.2-2
|
r 10.2
|
B1.2
|
r 4(b)
|
Principle 1.01 / r 2(d) Solicitors' Practice Rules
|
para 4.1(b)(ii)
|
|
No unlawful discrimination or harassment
|
Principle 1.6; rC1.1; rC1.5
|
CD8; rC12
|
— |
Rule 42.1
|
— |
Ch6 — Discrimination
|
Rule 3.3; Rule 7.2; Rule 7.4
|
— |
— |
r 6.3.1-1; r 6.3-3
|
r 6.3-3 to 6.3-5
|
r 10.3
|
B1.15
|
— |
Principle 5.01 Commentary 1
|
para 10.1
|
| Duties owed to clients |
|
Act in the client's best interests
|
Principle 1.7
|
CD2; rC15.1; rC15.2; rC15.3
|
P.4; R.6.1(a)
|
Rule 4.1.1
|
r37
|
Ch5 — General (relationship with the court), para (a)
|
Rule 2.6; Rule 3.1
|
Canon IV; Canon IV(c)
|
P.4; R.5.1 a)-b)
|
r 5.1-1 commentary [1]; r 3.4-1 commentary [2]
|
r 2.1-3(e)
|
r 6
|
B1.4
|
r 4(b)
|
Principle 7.02 / r 2(c) Solicitors' Practice Rules
|
para 10.15
|
|
Act only on proper, lawful instructions
|
rC3.1
|
rC21.6; rC15.1
|
R.4.1(c)(i); R.4.1(c)(vi)
|
Rule 8.1
|
r39
|
Ch1 — The function of the solicitor in society; Ch2 — Instructions to be taken directly from the client
|
Rule 5.5; Rule 4.1
|
Canon III(f); Canon IV(q)(ii)
|
R.1.1 c)i), iii)
|
r 3.2-3 commentary [1]; r 3.7-7(b)
|
r 3.2-3, commentary [1]
|
r 13.3
|
B1.5
|
— |
Principle 5.02 / Principle 5.12 Commentary 2
|
para 6.2(c)
|
|
Disclose material information to client
|
rC6.4
|
gC51; rC17
|
R.5.2.1
|
Rule 7.1
|
rr38-39
|
Ch3 — General (conflict of interest)
|
Rule 3.26
|
Canon IV(r)
|
R.2.2
|
r 3.2-2 commentary [1.1]
|
r 3.2-2
|
r 7
|
B1.9
|
— |
Principle 8.03
|
— |
|
Advise objectively, not a mere conduit
|
Principle 1.3; Principle 1.7
|
rC20; CD4
|
R.6.1(b); P.5
|
Rule 17.1
|
r41
|
Ch1 — The function of the solicitor in society; Ch6 — Litigation: initiating letters and correspondence
|
Rule 5.15
|
Canon IV(c)
|
R.5.1 d); P.5
|
r 3.2-2 commentary [2]
|
r 2.1-3(a)
|
r 5.3
|
B1.3
|
— |
Principle 5.18 / Principle 5.19
|
para 10.17(a)
|
|
Client confidentiality
|
rC6.3
|
CD6; rC15.5; gC42
|
R.5.1; R.6.1(c)
|
Rules 9.1; 9.2
|
r108
|
Ch4 — Professional duty of confidentiality: General
|
Rule 2.7; Rule 3.7(a)
|
Canon IV(t)
|
R.2.1
|
r 3.3-1
|
r 3.3-1
|
r 8
|
B1.6
|
r 6 (Confidentiality)
|
Principle 8.01
|
para 10.18(b)
|
|
Protect legal professional privilege
|
rC6.4(d)
|
gC42; gC93
|
— |
Rules 19.5.1; 31.1
|
r30
|
Ch4 — Privilege; Receipt of information intended for the other party
|
Rule 3.7(b); Rule 3.8
|
Canon IV(t)
|
G.2.3; G.2.12
|
r 3.5-7 commentary [1]; r 3.3-1.1
|
r 3.3-2.1
|
r 13.9.2 / r 13.9.3
|
B1.6
|
r 6 (Confidentiality)
|
Principle 8.01 Commentary 8
|
para 10.16
|
|
Client-care and engagement terms
|
rC8.6; rC8.11
|
rC22
|
R.4.2
|
— |
r24B
|
Ch2 — Acceptance of instructions: Terms and conditions of business; Information in relation to legal costs
|
— |
— |
R.1.2
|
r 3.2-1A.1
|
r 3.2-1.1
|
r 3.4 / r 3.5
|
B1.9
|
— |
Principle 5.12 Commentary 7 / Principle 5.17 Commentary 1
|
para 5.18(c)(i)
|
|
Keep client informed and respond promptly
|
rC3.2; rC8.6
|
gC38; gC41
|
R.4.4
|
Rules 7.1; 4.1.3
|
r105
|
Ch2 — Proper standard of legal services: General; Failure to reply to letters
|
Rule 3.19; Rule 2.13
|
Canon IV(r)
|
R.1.5
|
r 3.2-1; r 3.2-1 commentary [6]
|
r 3.2-1
|
r 7.1 / r 7.2
|
B1.9
|
r 5 (Honesty, competence and diligence)
|
Principle 5.17 / Principle 5.12 Commentary 5
|
para 10.5
|
|
Complaints procedure and handling
|
rC8.2; rC8.3; rC8.5
|
rC99; rC104; rC105; rC108
|
R.4.5
|
— |
— |
Ch2 — Complaints
|
— |
— |
R.1.6
|
— |
— |
r 11.5 / r 3.4(d)
|
— |
— |
Principle 6.01 Commentary 9
|
— |
|
Proper termination and return of instructions
|
— |
rC25; rC26; rC27
|
R.4.7
|
Rules 13.1; 13.4
|
rr101-102
|
Ch2 — Termination of a retainer: General
|
Rule 3.22; Rule 3.25
|
Canon IV(o)
|
R.1.8
|
r 3.7-1
|
r 3.7-1
|
r 4.2
|
B1.12
|
r 26 (Completion of retainer and withdrawal from representation)
|
Principle 5.22
|
para 6.13
|
|
Continuity and handover of representation
|
— |
gC83; rC27.2; gC48
|
— |
Rules 13.1; 14.1
|
rr104,106
|
Ch7 — Copying the client's file; The file belongs to the client
|
Rule 3.19; Rule 3.23
|
Canon IV(o)(i)-(iii)
|
G.1.33
|
r 3.7-8; r 3.7-9
|
r 3.7-8
|
r 4.2.4 / r 4.4.4
|
B1.12
|
r 26 (Completion of retainer and withdrawal from representation)
|
Principle 5.23
|
para 6.14
|
|
Protect capacity and vulnerable clients
|
rC3.4; rC3.1
|
oC14; gC41; gC71
|
R.4.1(c)(iv); R.4.1(c)(v)
|
Rules 8.1; 34.2
|
r46
|
Ch2 — Client lacking mental capacity; Duress or undue influence
|
— |
— |
R.1.1 c)iv)-v)
|
r 3.2-9
|
r 3.2-9
|
r 8.4(c) / r 3.7(c)
|
— |
— |
Principle 5.04 / Principle 5.01 Commentary 4
|
— |
|
Non-discriminatory acceptance and cab-rank
|
rC1.1
|
rC28; rC29
|
R.4.1(a); R.4.1(b)
|
— |
rr21,5(f)
|
Ch2 — Acceptance of instructions: General; Legally aided clients in criminal matters
|
Rule 3.10; Rule 2.4
|
Canon III(a); Canon III(c)
|
R.1.1 a)-b); R.1.4
|
r 4.1-1 commentary [4]
|
r 2.1-1(c)
|
r 4 / r 4.1.1
|
B1.15
|
r 4(e)
|
Principle 5.01 / Commentary 1 & 2
|
para 6.1
|
|
Advise on alternatives, settlement and outcome
|
rC8.6
|
— |
— |
Rule 7.2
|
rr38-40
|
Ch2 — Litigation, arbitration and mediation; Ch5 — Duty of solicitors to encourage mediation and ADR; Ch10 — Explanations to client during settlement negotiations
|
Rule 3.26
|
Canon III(i)
|
G.1.25
|
r 3.2-4; r 3.2-4 commentary [1]
|
r 3.2-4
|
r 13.4
|
— |
r 8A (Conduct of alternative dispute resolution process)
|
Principle 10.17
|
para 10.27
|
|
Costs and fee transparency to client
|
rC8.7
|
rC22.1; rC19.2
|
R.4.3
|
— |
— |
Ch2 — Information in relation to legal costs
|
Rule 12.13
|
— |
R.1.3
|
r 3.6-1; r 3.6-1 commentary [3]
|
r 3.6-1, commentary [3]
|
r 3.4(a) / r 9.4
|
B1.11
|
r 17 (Professional fees and costs)
|
Principle 4.01
|
para 9.13(b)
|
|
Fair, reasonable and lawful fees
|
rC1.2; rC5.1(d)
|
rC9.7
|
R.3.2(g)
|
Rule 12.2
|
rr22,46
|
Ch10 — Excessive fees; Restriction on calculation of charges as a percentage of damages
|
Rule 12.7; Rule 12.4
|
Canon IV(e); Canon IV(f)
|
R.4.2 g)
|
r 3.6-1; r 3.6-2
|
r 3.6-1
|
r 9
|
B1.11
|
r 17 (Professional fees and costs); r 18 (Contingency fees prohibited)
|
Principle 4.13 / Principle 4.17
|
para 9.1(b)
|
|
Disclose referrals, commissions and benefits
|
rC5.1; rC4.1
|
rC81; rC82; gC124
|
R.4.3(f); R.9.1
|
Rules 12.4.3; 12.4.4
|
r45
|
Ch10 — Disclosure of commissions
|
— |
— |
R.1.3 g)
|
r 3.6-6.1(2); r 3.6-1 commentary [2]
|
r 3.6-6
|
r 5.9
|
B1.8
|
r 39 (Touting and referrals); r 40 (Agreement for referrals)
|
Principle 7.04 / Principle 7.03
|
para 10.10
|
|
No acting against a former client
|
rC6.5
|
rC21.3; rC21.4
|
R.7.7
|
Rules 10.1; 10.2
|
rr95(a),97
|
Ch3 — Non-conveyancing transactions (prior solicitor/client relationship)
|
Rule 3.11
|
— |
R.6.7
|
r 3.4-10
|
r 3.4-10
|
r 8.7.1
|
B1.7
|
r 21 (Conflict, or potential conflict, between interests of current client and former client)
|
Principle 9.03
|
para 6.2(h)
|
|
No own-interest conflict
|
rC6.1
|
rC21.2; rC21.10
|
R.7.6
|
Rules 12.1; 12.3
|
rr95(b),95(g)
|
Ch3 — Conflict of interest between solicitor and client
|
Rule 3.12; Rule 3.13
|
Canon IV(j)
|
R.6.6
|
r 3.4-1; r 3.4-1 commentary [1]
|
r 3.4-26.1
|
r 5.4
|
B1.7
|
r 22 (Conflict, or potential conflict, between interests of client and interests of legal practitioner or law practice, in general)
|
Principle 7.02
|
para 6.3
|
|
No conflict between current clients
|
rC6.2
|
rC21.3; gC69
|
R.7.1; R.7.2; R.7.3
|
Rules 11.1; 11.2; 11.3; 11.4
|
r113
|
Ch3 — General; Conflict of interest between two clients; Non-conveyancing transactions
|
Rule 3.16
|
Canon IV(k); Canon IV(l); Canon IV(m)
|
R.6.1; R.6.3
|
r 3.4-2; r 3.4-3
|
r 3.4-2
|
r 6.1
|
B1.7
|
r 20 (Conflict, or potential conflict, between interests of 2 or more clients)
|
Principle 9.01
|
para 10.14(a)
|
|
Manage conflict arising mid-matter
|
rC6.2
|
rC25; gC37
|
R.7.5
|
Rule 11.5
|
rr112-113
|
Ch3 — Conflict of interest between solicitor and client
|
Rule 3.11
|
Canon IV(k); Canon IV(m); Canon IV(o)(v)
|
R.6.5
|
r 3.4-8
|
r 3.4-1
|
r 6.1.2 / r 6.1.3
|
B1.7
|
r 20 (Conflict, or potential conflict, between interests of 2 or more clients)
|
Principle 9.04 / Commentary 4
|
para 6.10(c)
|
|
Handle inadvertently received material
|
rC6.4(d)
|
rC26.6; gC86
|
R.5.2.2(b)
|
Rules 31.1; 31.3
|
— |
Ch4 — Material disclosed by mistake; Receipt of information intended for the other party
|
Rule 7.6
|
— |
G.2.20-G.2.21
|
r 7.2-10
|
r 7.2-10
|
r 13.9.4
|
— |
— |
Principle 8.03 Commentary 6
|
para 10.45
|
|
No improper benefit, loan or bequest
|
rC1.2
|
gC18; gC19
|
R.7.9
|
Rules 12.2; 12.3
|
rr46-47
|
Ch3 — Bequests or gifts by client to solicitor, staff or family; Borrowing money from a client
|
— |
— |
R.6.9
|
r 3.4-39; r 3.4-28.1
|
r 3.4-38
|
r 5.8 / r 5.10
|
B1.8
|
r 24 (Purchases from client); r 25 (Gifts from client)
|
Principle 7.05
|
para 9.5
|
|
No standing bail or surety for client
|
— |
— |
R.7.10
|
Rule 17.4
|
— |
Ch5 — The solicitor standing bail
|
— |
— |
R.6.10
|
r 3.4-40
|
r 3.4-40
|
— |
— |
— |
Principle 10.19
|
— |
| Client money & accounts |
|
Segregate client money
|
SAR Rule 4.1; SAR Rule 3.2; SAR Rule 5.3
|
— |
P.7; R.9.2; R.9.3
|
— |
— |
Ch9 — Accounts regulations: General
|
— |
Canon VII(a)
|
P.7; R.7.4 c)-d)
|
r 3.5-4; r 3.2-7.3
|
r 2.1-3(h)
|
r 10.5.2
|
— |
r 16 (Client money)
|
Principle 2.03 Commentary 3
|
para 5.19(a)
|
|
No improper use of client money
|
SAR Rule 5.1; SAR Rule 3.3; SAR Rule 5.3
|
— |
P.7; R.9.2
|
— |
— |
Ch9 — Accounts regulations: General
|
— |
Canon VII(a)
|
P.7; R.7.4 a),c)
|
r 3.6-10; r 3.2-7.3
|
r 3.6-10
|
r 10.5.2 / r 9.3
|
— |
r 16 (Client money)
|
Principle 4.02 Commentary 4
|
para 5.19(a)
|
|
Prompt accounting and return of money
|
SAR Rule 2.3; SAR Rule 2.5; rC4.1
|
— |
R.9.1; R.9.2
|
— |
— |
Ch9 — Responsibility for clients' monies; Ch2 — Accounting for monies
|
— |
Canon VII(b)(ii)
|
G.1.33
|
r 3.5-6; r 3.5-3
|
r 3.5-6
|
r 9.6
|
— |
r 16 (Client money)
|
Principle 5.23
|
— |
|
Accounting records, reconciliation and reports
|
SAR Rule 8.1; SAR Rule 8.3; SAR Rule 12.1
|
rC88.1; rC87.2
|
R.8.4(c)
|
— |
— |
Ch9 — Accounts regulations: General
|
— |
Canon VII; Canon VII(b)(i)
|
R.7.4 c)-d)
|
r 3.5-5
|
r 3.5-5
|
— |
— |
— |
Principle 2.03 Commentary 3
|
para 9.13(a)
|
|
Account for interest on client money
|
SAR Rule 7.1
|
— |
— |
— |
— |
Ch10 — Interest on client monies
|
— |
— |
— |
— |
— |
— |
— |
— |
Principle 7.04 Commentary
|
— |
|
No personal handling of client money
|
rC4.3; SAR Rule 11.1
|
rC73; rC74
|
R.9.3
|
— |
r17(l)
|
— |
Rule 2.16
|
— |
— |
— |
— |
r 14.2(e) / r 14.10
|
— |
— |
— |
para 5.19(a)
|
|
Safeguard documents and limit liens
|
rC4.2
|
rC131
|
R.4.2(d); R.4.3(g); R.4.8
|
Rules 14.1; 14.2; 15.1
|
— |
Ch10 — The solicitor's lien on monies; Ch7 — The file belongs to the client
|
Rule 6.10; Rule 3.7(c)-(d)
|
Canon IV(o)(iii); Canon VII(c)
|
R.1.2 e); R.1.10; G.1.33
|
r 3.7-9(b); r 3.5-2 commentary [2]
|
r 3.7-9(b)
|
r 4.4.1 / r 4.4.2
|
— |
— |
Principle 5.23
|
para 7.13(c)(viii)
|
| Competence, diligence & practice management |
|
Competence
|
rC3.2
|
CD7; rC21.7; rC21.8
|
P.6; R.4.1(c)(ii)
|
Rule 4.1.3
|
rr21(a),5(c)
|
Ch2 — Refusal of instructions; Proper standard of legal services: General
|
Rule 2.3(f); Rule 3.21
|
Canon IV; Canon IV(s)
|
P.6; R.1.1 c)ii)
|
r 3.1-2; r 3.1-2 commentary [6]
|
r 3.1-2
|
r 3
|
B1.10
|
r 5 (Honesty, competence and diligence)
|
Principle 6.01 / Principle 5.03
|
para 10.5(a)
|
|
Diligence and timeliness
|
rC3.2; rC1.3
|
rC18; gC38.4
|
R.4.4
|
Rule 4.1.3
|
rr56,105
|
Ch2 — Proper standard of legal services: General; Failure to reply to letters
|
Rule 2.13; Rule 3.19
|
Canon IV(r); Canon IV(s)
|
R.1.5
|
r 3.2-1; r 3.1-1(e)
|
r 3.2-1, commentary [4]
|
r 3 / r 3.3
|
B1.10
|
r 5 (Honesty, competence and diligence)
|
Principle 6.01(b) / Principle 5.12
|
para 10.5
|
|
Maintain competence and CPD
|
rC3.3; rC7.1
|
gC39
|
R.8.6
|
— |
— |
Ch9 — Continuing professional development
|
Rule 9.2
|
— |
R.7.7
|
r 3.1-1(j); r 3.1-2 commentary [2]
|
r 3.1-2, commentary [2]
|
r 3.9
|
B1.10
|
r 4(h)
|
Principle 1.05
|
para 11.18(a)(i)
|
|
Supervise staff and delegated work
|
rC3.5; rC3.6; CCF rF4.4
|
rC89.6; gC66; rC20
|
R.1.1; R.8.5
|
Rule 37.1
|
r107(a)
|
Ch9 — Supervision of the solicitor's office: General; In-house duty of supervision
|
— |
— |
R.7.5; R.7.6
|
r 6.1-1
|
r 6.1-1
|
r 11.1
|
— |
r 32 (Responsibility for staff of law practice)
|
Principle 2.04 / Principle 2.03
|
para 3.5
|
|
Firm governance, systems and compliance
|
CCF rF2.1; CCF rF2.2; CCF rF2.5
|
CD10; rC87; rC89; rC94
|
P.8; P.10; R.8.1; R.8.2
|
Rules 4.1.5; 37.1
|
— |
Ch9 — Accounts regulations: General; The security and confidentiality of office systems
|
Rule 2.13
|
Canon VII
|
P.8; R.7.1; R.7.2
|
r 6.1-1(a); r 3.1-1(i)
|
r 7.1-1(f)
|
r 11
|
— |
r 35 (Responsibilities in relation to management and operation of law practice)
|
Principle 2.02
|
para 7.1
|
|
Professional indemnity insurance
|
rC5.6
|
rC76; rC77
|
R.8.3
|
— |
— |
Ch9 — Professional indemnity insurance
|
Rule 2.15
|
— |
R.7.3
|
r 7.8-2 commentary [1]
|
r 7.1-2
|
r 3.4(b)
|
— |
— |
Principle 2.01 Commentary 4
|
para 5.3
|
|
File and record retention
|
SAR Rule 13.1; CCF rF2.2
|
rC87; rC108; rC129
|
R.4.8; R.8.2(c)
|
Rule 14.2
|
— |
Ch9 — Retention or destruction of files
|
Rule 3.7(d)
|
— |
R.1.10
|
— |
— |
r 4.5(b)
|
— |
— |
Anti-Money Laundering appendix (Principle 8.01) para 3
|
para 7.10
|
|
Orderly wind-down and contingency cover
|
CCF rF2.4; CCF rF3.6
|
rC72
|
R.13.1(f)
|
— |
— |
Ch9 — Changes in the solicitor's practice; Succession planning for solicitor's unexpected absence from office
|
— |
— |
R.12.5
|
r 7.1-3(b)
|
r 3.7-1, commentary [4]
|
— |
— |
— |
Principle 2.05 / Principle 2.06
|
— |
|
Hold a current practising certificate
|
— |
rC89.9.b; rC94.7
|
— |
— |
— |
Ch7 — Payment for assistant solicitors' practising certificates
|
Rule 9.1
|
Canon II(i); Canon V(s)
|
R.11.1
|
r 7.6-1.2
|
— |
r 14.2 / r 1.2
|
— |
— |
Principle 2.01
|
para 5.1
|
| Duties to the profession, regulator, third parties & public |
|
Cooperate openly with regulators
|
rC7.3; rC7.4
|
CD9; rC64; rC70; rC71
|
P.9; R.13.1(a); R.13.2
|
Rule 43.1
|
— |
Ch6 — Legal Services Regulatory Authority; Law Society of Ireland
|
Rule 2.20; Rule 2.3(i)
|
— |
P.9; R.12.1 a)
|
r 7.1-1
|
r 7.1-1
|
r 10.14
|
B1.16
|
— |
Principle 6.04
|
para 4.7
|
|
Self-report to the regulator
|
rC7.6
|
rC65; rC64.1
|
R.13.1(b); R.13.1(c); R.13.1(d); R.13.1(f)
|
— |
— |
— |
Rule 2.12
|
— |
R.12.1 b),d),e),g)
|
r 7.1-4.4
|
r 7.1-3(c)
|
— |
— |
— |
Principle 11.03 Commentary 3
|
para 4.6
|
|
Report serious misconduct of others
|
rC7.7; rC7.8
|
rC66
|
R.13.1(g)
|
— |
— |
Ch7 — Serious misconduct by another solicitor
|
— |
Canon I(d)
|
R.12.1 h)
|
r 7.1-3
|
r 7.1-3(e)
|
r 2.8
|
— |
r 29 (Allegations against another legal practitioner)
|
Principle 11.03
|
— |
|
No obstruction or victimisation of reporters
|
rC7.5; rC7.9
|
rC69
|
R.13.4(a); R.13.4(c); R.13.4(d)
|
— |
— |
— |
— |
— |
R.12.4 a)-d)
|
— |
— |
r 2.10.1
|
— |
— |
Principle 5.09 / Commentary 1 / Principle 14.11
|
— |
|
No baseless or threatened misconduct report
|
— |
rC67
|
— |
Rule 32.1
|
— |
— |
— |
— |
— |
r 7.1-3 commentary [1]
|
r 7.1-3, commentary [2]
|
r 2.10
|
— |
r 29 (Allegations against another legal practitioner)
|
— |
para 10.50
|
|
AML and crime-prevention compliance
|
CCS Introduction; CCF Introduction
|
gC43
|
R.10.1
|
— |
— |
Ch9 — Retention or destruction of files; Ch1 — Legislation
|
— |
— |
G.1.4; G.2.15
|
r 3.2-7 commentary [2]
|
r 3.2-7
|
r 10.11 / r 2.4
|
— |
— |
Principle 5.01 Commentary 6 / Practice Direction P (Principle 8.01 appendix)
|
— |
|
Honour professional undertakings
|
rC1.3
|
rC11; gC33
|
R.11.4
|
Rule 6.1
|
— |
Ch6 — Undertakings: General; General guidance on undertakings
|
— |
Canon VI(c); Canon VI(d); Canon VI(e)
|
R.10.4
|
r 7.2-11; r 5.1-6
|
r 7.2-11
|
r 10.5
|
B1.14
|
r 7 (Responsibilities of legal practitioners to each other)
|
Principle 14.02 / Principle 14.01
|
para 10.4
|
|
Good faith and courtesy to colleagues
|
rC1.5
|
gC38.1; gC24
|
R.11.1
|
Rules 4.1.2; 34.1.3
|
rr5(d),12(a)
|
Ch7 — Professional standard of conduct: General
|
Rule 7.1; Rule 8.5
|
Canon VI; Canon VI(a); Canon VI(b)
|
R.10.1
|
r 7.2-1
|
r 7.2-1
|
r 10.1 / r 12
|
B1.14
|
r 4(f)
|
Principle 11.01
|
para 10.6
|
|
Pay instructed practitioners and agents
|
— |
rC155
|
R.11.5
|
Rule 35.1
|
— |
Ch8 — The solicitor's liability for professional fees; Ch11 — Instructing foreign lawyers
|
— |
Canon VI(j)
|
R.10.5
|
r 7.1-2
|
r 7.1-2, commentary [1]
|
r 12.2 / r 10.12
|
— |
r 7 (Responsibilities of legal practitioners to each other)
|
Principle 12.04 / Principle 4.14
|
para 6.27(a)
|
|
No improper fee-sharing or partnership
|
rC5.4
|
rC149; rC150
|
— |
Rule 40.1
|
r16
|
Ch10 — Fee sharing
|
Rule 7.11; Rule 8.4
|
Canon IV(a); Canon II(a)
|
R.9.1; R.11.2
|
r 3.6-7
|
r 3.6-7
|
r 9.13 / r 9.15
|
— |
r 19 (Unauthorised persons)
|
Principle 4.16
|
para 9.11
|
|
Truthful, non-misleading advertising
|
rC8.8
|
rC19; gC57
|
R.12.2; R.12.3
|
Rules 36.1; 36.2
|
— |
Ch9 — Advertising
|
Rule 6.13
|
Canon II(d); Canon II(g)
|
R.8.2; R.8.3
|
r 4.2-1
|
r 4.2-5
|
r 10.9
|
— |
r 44 (Misleading, deceptive, inaccurate or false, etc., publicity)
|
Principle 3.02 / Principle 4.01 Commentary 6
|
para 8.1(b)(i)
|
|
No improper solicitation or touting
|
rC8.9
|
rC14
|
R.12.4
|
Rule 34.2
|
— |
Ch9 — Touting
|
Rule 6.5(b)
|
Canon II(b); Canon II(c); Canon II(d)
|
R.8.4
|
r 4.1-2
|
r 4.2-5, commentary [1]
|
r 10.10
|
— |
r 39 (Touting and referrals)
|
Principle 3.03
|
para 8.1(b)(vi)-(viii)
|
|
Not misrepresent regulated status
|
rC8.10; rC5.4
|
rC83; rC84; rC19.4
|
— |
Rule 39.1
|
— |
Ch9 — The solicitor as agent for an institution
|
Rule 2.10
|
Canon II(a)
|
— |
r 4.2-1.1; r 6.1-1 commentary [5.1]
|
r 4.2-8
|
r 2.11 / r 14.13
|
— |
r 33 (Descriptions)
|
Principle 13.04
|
— |
|
Serve justice and improve the law
|
Principle 1.1
|
CD1; oC2; oC7; rC28
|
P.1
|
— |
rr2(b),5(f)
|
Ch1 — The function of the solicitor in society
|
Rule 6.4
|
Canon III; Canon III(j)
|
P.1; R.1.4
|
r 5.6-1; r 4.1-1
|
r 5.6-1
|
r 2
|
— |
r 4(e)
|
President's Foreword (non-binding) / Chief Justice's Foreword
|
para 1.1
|
|
Comply with rules of foreign jurisdictions
|
CCS Introduction
|
rC13; rC147; rC152
|
R.8.2(b)
|
— |
r9
|
Ch11 — EU Directive on Establishment
|
Rule 13.8; Rule 13.4
|
— |
G.14.2
|
— |
— |
— |
B1.1
|
r 4(g)
|
Principle 1.08
|
para 3.3
|