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STATUTORY INSTRUMENTS


2006 No. 3148

DANGEROUS DRUGS, ENGLAND, SCOTLAND

The Controlled Drugs (Supervision of Management and Use) Regulations 2006

  Made 21st November 2006 
  Laid before Parliament 30th November 2006 
  Coming into force
  as they apply to England 1st January 2007 
  as they apply to Scotland 1st March 2007 


CONTENTS


PART 1

Preliminary
1. Citation, commencement and application
2. Interpretation

PART 2

Accountable officers
3. Designated bodies
4. Appointment of accountable officers and national lists
5. Persons who may be appointed as accountable officers
6. Removal of accountable officers
7. Funds and other resources available to accountable officers
8. Accountable officers to have regard to best practice
9. Accountable officers to secure the safe management and use of controlled drugs
10. Accountable officers to ensure adequate destruction and disposal arrangements for controlled drugs
11. Accountable officers to ensure monitoring and auditing of the management and use of controlled drugs by designated bodies etc.
12. Powers to require declarations and self-assessments, as part of accountable officers' monitoring and auditing arrangements or otherwise
13. Accountable officers to ensure relevant individuals receive appropriate training etc.
14. Accountable officers to monitor and audit the management and use of controlled drugs by relevant individuals, and to monitor and assess their performance
15. Accountable officers to maintain a record of concerns regarding relevant individuals
16. Accountable officers to assess and investigate concerns
17. Accountable officers to take appropriate action if there are well-founded concerns
18. Accountable officers to establish arrangements for sharing information

PART 3

Entering premises, periodic inspections etc.
19. Accountable officers to carry out periodic inspections
20. Relevant premises
21. Inspections of private dwellings not requiring the presence of a constable

PART 4

Co-operation between health bodies and other organisations
22. Responsible bodies for the purposes of this Part
23. Relevant persons
24. General duty on responsible bodies to co-operate with each other as regards relevant persons
25. Duty to co-operate by disclosing information as regards relevant persons
26. Responsible bodies requesting additional information be disclosed about relevant persons
27. Restrictions relating to disclosures
28. Record keeping requirements relating to regulations 25 and 26
29. Occurrence reports
30. Accountable officers' duties to protect the safety of patients and the general public
31. Disclosure of information in good faith

The Secretary of State for Health makes these Regulations in exercise of powers conferred by sections 17, 18, 20(3) and (7) and 79(3) of the Health Act 2006[
1].

     The Scottish Ministers have been consulted in accordance with section 24(6) of that Act.



PART 1

Preliminary

Citation, commencement and application
     1. —(1) These Regulations may be cited as the Controlled Drugs (Supervision of Management and Use) Regulations 2006, and—

    (2) These Regulations apply in relation to England and Scotland only.

Interpretation
    
2. —(1) In these Regulations—

    (2) Where, by virtue of these Regulations, a person or body is required to ensure a matter, the requirement is to be construed as a requirement to take all reasonable steps to ensure that matter.

    (3) Where reference is made in these Regulations to arrangements to provide services, the reference is to be construed as a reference to arrangements to provide services that involve, or may involve, the management or use of controlled drugs.

    (4) For the purposes of these Regulations, "enactment" includes, an enactment comprised in, or an instrument made under, an Act of the Scottish Parliament.



PART 2

Accountable officers

Designated bodies
     3. The following are prescribed as designated bodies for the purposes of section 17 of the 2006 Act—

Appointment of accountable officers and national lists
    
4. —(1) A designated body must nominate or appoint (or under regulation 5(2), (4) or (6) jointly nominate or appoint with one or more other bodies) a fit, proper and suitably experienced person as its accountable officer.

    (2) A designated body in England must notify the Head of Operations of the Healthcare Commission in writing of—

    (3) The Healthcare Commission must publish, from time to time and in such manner as it sees fit, a list of accountable officers of designated bodies in England.

    (4) A designated body in Scotland must notify the Scottish Ministers in writing of—

    (5) The Scottish Ministers must publish, from time to time and in such manner as they see fit, a list of accountable officers of designated bodies in Scotland.

Persons who may be appointed as accountable officers
    
5. —(1) An English independent hospital may only nominate or appoint a person as its accountable officer if—

    (2) Two or more English independent hospitals may jointly nominate or appoint one registered manager to be the accountable officer for both or all of the hospitals if the registered manager—

    (3) A Scottish independent hospital may only nominate or appoint a person as its accountable officer if—

    (4) Two or more Scottish independent hospitals may jointly nominate or appoint one manager to be the accountable officer for both or all of the hospitals if the manager—

    (5) Subject to paragraph (6), a designated body which is neither an English nor a Scottish independent hospital may only nominate or appoint a person as its accountable officer if—

    (6) Two or more designated bodies which are neither English nor Scottish independent hospitals but which are of the same type may jointly nominate or appoint one person to be the accountable officer for both or all of the bodies, if—

    (7) In this regulation—

Removal of accountable officers
     6. —(1) A designated body must, having duly considered the matter, remove its accountable officer from office if—

    (2) A designated body (or, in the case of a joint appointment, the designated bodies that made the joint appointment, acting jointly) must adopt a procedure (which may be part of an internal disciplinary procedure) for consideration, where it is on notice that its accountable officer has breached his duties under these Regulations, of whether or not it needs to remove him under paragraph (1)(b).

    (3) A person shall be presumed (unless the contrary is proved) to be unfit to be an accountable officer if he wilfully, negligently or through lack of competence breaches his duties as an accountable officer under these Regulations.

    (4) This regulation is without prejudice to any other arrangements that a designated body (or, in the case of a joint appointment, the designated bodies that made the joint appointment, acting jointly) may have for removal of its accountable officer from office as part of the arrangements under which he is employed or engaged.

Funds and other resources available to accountable officers
    
7. —(1) A designated body must provide its accountable officer with the funds and other resources necessary to enable him to carry out his responsibilities as its accountable officer.

    (2) Those other resources may include access to and use of information systems, accommodation and staff.

Accountable officers to have regard to best practice
    
8. In discharging his responsibilities, an accountable officer must have regard to best practice in relation to the management and use of controlled drugs.

Accountable officers to secure the safe management and use of controlled drugs
    
9. —(1) An accountable officer must—

    (2) In particular, an accountable officer must, as part of these arrangements—

    (3) The standard operating procedures must, in particular, cover the following matters—

Accountable officers to ensure adequate destruction and disposal arrangements for controlled drugs
     10. An accountable officer must—

Accountable officers to ensure monitoring and auditing of the management and use of controlled drugs by designated bodies etc.
    
11. —(1) An accountable officer must—

    (2) Those arrangements must, in particular, provide for the following—

Powers to require declarations and self-assessments, as part of accountable officers' monitoring and auditing arrangements or otherwise
    
12. —(1) An accountable officer, who is an accountable officer nominated or appointed by a Primary Care Trust or a Health Board, may request a periodic declaration and a self-assessment from a general medical practitioner on (in England) its medical performers list or (in Scotland) its primary medical services performers list, which must state—

    (2) The Healthcare Commission may request an appropriate periodic declaration and an appropriate self-assessment from an NHS trust, an NHS foundation trust or a person registered with them that provides health care.

    (3) The Commission for Social Care Inspection may request an appropriate periodic declaration and an appropriate self-assessment from an English care home.

    (4) The Royal Pharmaceutical Society of Great Britain may request an appropriate periodic declaration and an appropriate self-assessment from a registered pharmacy.

    (5) In this regulation, "general medical practitioner" means a medical practitioner whose name is included in the register maintained by the General Medical Council under article 10 of the General and Specialist Medical Practice (Education, Training and Qualifications) Order 2003[
30] (the General Practitioner Register).

Accountable officers to ensure relevant individuals receive appropriate training etc.
     13. —(1) An accountable officer must—

the arrangements mentioned in paragraph (2).

    (2) Those arrangements are appropriate arrangements to ensure that persons who are—

receive, from time to time, appropriate training to carry out their responsibilities.

    (3) The accountable officer must liaise with his designated body to ensure that arrangements are in place for the relevant individuals referred to in paragraph (2)—

Accountable officers to monitor and audit the management and use of controlled drugs by relevant individuals, and to monitor and assess their performance
     14. —(1) An accountable officer must—

the arrangements mentioned in paragraph (2).

    (2) Those arrangements are appropriate arrangements—

    (3) The arrangements under paragraph (1) must, where appropriate, provide for the following—

Accountable officers to maintain a record of concerns regarding relevant individuals
    
15. —(1) An accountable officer must—

    (2) The accountable officer must ensure, as part of the arrangements under paragraph (1), that adequate records are compiled, which must include (but not be limited to), as appropriate—

    (3) Any record of a concern may be kept in paper or electronic format.

    (4) The arrangements under paragraph (1) must include arrangements that limit access to the records to—

Accountable officers to assess and investigate concerns
    
16. —(1) An accountable officer must establish and operate, or ensure that his designated body establishes and operates, appropriate arrangements for—

    (2) If, after an assessment of a concern expressed, the accountable officer decides that an investigation is needed, the accountable officer may—

    (3) The following are responsible bodies for the purposes of section 18 of the 2006 Act and this regulation—

    (4) An accountable officer may use his powers under paragraph (2)(c) to request an investigation (or a joint investigation with other responsible bodies) by—

into any possible fraud in relation to the health service.

    (5) In Scotland, if an accountable officer decides that an investigation into any possible fraud in relation to the health service is needed, he must exercise his powers under paragraph (2)(c) to request an investigation by NHSScotland Counter Fraud Services (which is part of the Common Services Agency) before exercising those powers in any other way.

    (6) The accountable officer must keep, or ensure that his designated body keeps, a record of—

Accountable officers to take appropriate action if there are well-founded concerns
    
17. —(1) An accountable officer must establish and operate, or ensure that his designated body establishes and operates, appropriate arrangements for ensuring that appropriate action is taken for the purposes of protecting patients or members of the public in cases where concerns in relation to the management or use of controlled drugs by a person who is, as regards the designated body, a relevant individual, appear to be well-founded.

    (2) If there are well-founded concerns in relation to the management or use of controlled drugs by relevant individuals, or wider concerns of possible fraud in relation to the health service, as part of the arrangements established under paragraph (1), but subject to paragraphs (4) and (5), the action that the accountable officer may take may include (although it need not be limited to) any of the following—

    (3) An incident panel convened under paragraph (2)(g) may recommend that the accountable officer or designated body take action that includes (although it need not be limited to) any of the following—

    (4) In Scotland, if the accountable officer of a Health Board is aware of well-founded concerns in relation to the management or use of controlled drugs by a person who—

then subject to paragraph (5), the accountable officer for the Health Board must, as part of the arrangements established under paragraph (1), ensure that his Health Board takes a decision in relation to the possible breach of terms of service under regulation 4(1) of the 2006 Regulations (provisions relating to the start of disciplinary proceedings).

    (5) In Scotland, if, arising out of arrangements under this regulation, an accountable officer becomes aware of well-founded concerns relating to a possible fraud in relation to the health service, the accounting officer must—

Accountable officers to establish arrangements for sharing information
     18. —(1) An accountable officer must establish and operate, or ensure that his designated body establishes and operates, appropriate arrangements for ensuring the proper sharing of information, in accordance with regulation 25 or 26, by his designated body with other responsible bodies regarding the management and use of controlled drugs.

    (2) If the accountable officer is an accountable officer nominated or appointed by a Primary Care Trust or Health Board, those arrangements must include establishing a network (a "local intelligence network") for sharing information regarding the management and use of controlled drugs.

    (3) The network shall include (although it need not be limited to) the following types of bodies, as appropriate—



PART 3

Entering premises, periodic inspections etc.

Accountable officers to carry out periodic inspections
    
19. —(1) An accountable officer, who is an accountable officer nominated or appointed by a Primary Care Trust or Health Board, must establish and operate appropriate arrangements or ensure that his designated body establishes and operates appropriate arrangements for making, in connection with the performance of functions under these Regulations, periodic inspections (in accordance with section 20 of the 2006 Act) of premises which are—

    (2) Where a designated body has authorised in writing under section 20(5)(c) of the 2006 Act a person to carry out inspections of relevant premises (or of specific relevant premises), the arrangements under paragraph (1) may (where appropriate) provide for that person to carry out periodic inspections under the arrangements.

    (3) The accountable officer, or the person referred to in paragraph (2), is not required to give notice of the inspection to the owner or occupier of the premises.

    (4) The accountable officer, or the person referred to in paragraph (2), must keep a record of all the inspections carried out by him as part of the arrangements made under paragraph (1).

    (5) That record of inspections may be kept in paper or electronic format.

Relevant premises
    
20. —(1) For the purposes of section 20 of the 2006 Act, the following are prescribed as relevant premises which may be inspected by an accountable officer who is an accountable officer nominated or appointed by a Primary Care Trust, Health Board or Special Health Board or (where appropriate) by a member of the staff of the Primary Care Trust, Health Board or Special Health Board—

    (2) For the purposes of section 20 of the 2006 Act, the following are prescribed as relevant premises which may be inspected by an accountable officer who is an accountable officer nominated or appointed by an NHS trust or an NHS foundation trust or (where appropriate) by a member of the staff of the trust—

    (3) For the purposes of section 20 of the 2006 Act, the following are prescribed as relevant premises which may be inspected by an accountable officer who is an accountable officer nominated or appointed by an English or Scottish independent hospital or (where appropriate) by a member of the staff of the independent hospital—

    (4) All the premises mentioned in paragraphs (1) to (3) are also prescribed as relevant premises in relation to constables and persons authorised by the relevant authority under section 20(5)(a) (and accordingly they may exercise the powers under section 20 of the 2006 Act as regards those premises).

    (5) An authorisation given under section 20(5)(a) or (c) of the 2006 Act must be in writing.

    (6) An accountable officer ("the first accountable officer") may request in writing that an accountable officer of another designated body of the same type (or in the case of a health service body in Scotland, of another health service body in Scotland) inspect—

subject to an appropriate authorisation being granted.

Inspections of private dwellings not requiring the presence of a constable
    
21. Section 20(3) of the 2006 Act does not apply as regards—



PART 4

Co-operation between health bodies and other organisations

Responsible bodies for the purposes of this Part
    
22. —(1) The following are responsible bodies for the purposes of section 18 of the 2006 Act and this Part—

Relevant persons
    
23. In accordance with section 19(1)(a) of the 2006 Act, the following are prescribed as relevant persons (and accordingly are "relevant persons" for the purposes of this Part in addition to those persons who are mentioned in section 19(1)(b) of the 2006 Act)—

General duty on responsible bodies to co-operate with each other as regards relevant persons
    
24. Responsible bodies must co-operate with each other in connection with—

Duty to co-operate by disclosing information as regards relevant persons
    
25. —(1) A responsible body may disclose to any other responsible body any information in its possession or control which it reasonably considers it should share with that body for the purposes of—

    (2) If the responsible body wishes to disclose information under this regulation which—

the responsible body must, so far as it is practical to do so, remove from the information the confidential information which relates to and can identify the patient.

    (3) If the responsible body—

the responsible body must, where practicable, obtain the consent of the patient to whom the information relates.

    (4) If the responsible body (or its accountable officer) has—

it must notify the persons and bodies listed in paragraph (5) of the commencement or completion of the assessment or investigation, as the case may be, and provide appropriate details regarding the nature of the assessment or investigation.

    (5) Those persons and bodies are—

    (6) A responsible body is not required to notify any person or body, or to provide any details, under paragraph (4) where to do so would prejudice or would be likely to prejudice—

    (7) In Scotland, if information that a responsible body wishes to share relates to a possible fraud in relation to the health service, the information may only be shared between members of a local intelligence network under this regulation where to do so is in accordance with the partnership agreement known as the NHSScotland Counter Fraud Services Partnership Agreement with Health Boards and Special Health Boards, established under section 10(6) of the 1978 Act[33] (Common Services Agency).

    (8) Nothing in this regulation requires or permits any disclosure of information which is prohibited by or under any other enactment.

    (9) In determining for the purposes of paragraph (8) whether disclosure is not prohibited by reason of being a disclosure of personal data which is exempt from the non-disclosure provisions of the Data Protection Act 1998[34] by virtue of section 35(1) of that Act (disclosure required by law or made in connection with legal proceedings etc.), it is to be assumed that the disclosure is required by this regulation.

Responsible bodies requesting additional information be disclosed about relevant persons
     26. —(1) If a responsible body has in its possession or control information relating to the management or use of controlled drugs by a relevant person that it considers to be of serious concern (which may be fitness to practise information that is unrelated to any specific instance of the management or use of a controlled drug), it may request in writing additional information in relation to the matter from any other responsible body which it considers may have relevant information.

    (2) If a responsible body has received a request under paragraph (1)—

    (3) If the responsible body wishes to disclose information under this regulation which contains confidential information which relates to and can identify a patient, the responsible body must, so far as it is practical to do so, remove from the information the confidential information which relates to and can identify the patient.

    (4) If the responsible body—

the responsible body must, where practicable, obtain the consent of the patient to whom the information relates.

    (5) A responsible body is not required to disclose information under this regulation if the disclosure—

    (6) In Scotland, if information that a responsible body wishes to share relates to a possible fraud in relation to the health service, the information may only be shared between members of a local intelligence network under this regulation where to do so is in accordance with the partnership agreement known as the NHSScotland Counter Fraud Services Partnership Agreement with Health Boards and Special Health Boards, established under section 10(6) of the 1978 Act (Common Services Agency).

    (7) Nothing in this regulation requires or permits any disclosure of information which is prohibited by or under any other enactment.

    (8) In determining for the purposes of paragraph (7) whether disclosure is not prohibited by reason of being a disclosure of personal data which is exempt from the non-disclosure provisions of the Data Protection Act 1998 by virtue of section 35(1) of that Act (disclosure required by law or made in connection with legal proceedings etc.), it is to be assumed that the disclosure is required by this regulation.

Restrictions relating to disclosures
    
27. —(1) If a responsible body that is disclosing or to which is being disclosed any information under regulation 25 or 26 has an accountable officer, the disclosure must be made by or to the accountable officer or his staff (and not by or to any other person who may act on behalf of the responsible body).

    (2) If a responsible body has received information under regulation 25 or 26, it must not process that information more than is necessary for the purposes of—

    (3) In particular, the responsible body must—

Record keeping requirements relating to regulations 25 and 26
    
28. —(1) A responsible body must keep a record of—

    (2) A responsible body must keep a record of—

    (3) The records may be kept in paper or electronic format.

Occurrence reports
    
29. —(1) An accountable officer (other than an accountable officer nominated or appointed as accountable officer for a Primary Care Trust or Health Board) must give, on a quarterly basis, an occurrence report to the accountable officer nominated or appointed as accountable officer for the Primary Care Trust or Health Board that is leading any local intelligence network of which he or his designated body is a member.

    (2) The occurrence report may contain the following information—

    (3) Nothing in this regulation requires or permits any disclosure of information which is prohibited by or under any other enactment.

    (4) In determining for the purposes of paragraph (3) whether disclosure is not prohibited by reason of being a disclosure of personal data which is exempt from the non-disclosure provisions of the Data Protection Act 1998 by virtue of section 35(1) of that Act (disclosure required by law or made in connection with legal proceedings etc.), it is to be assumed that the disclosure is required by this regulation.

Accountable officers' duties to protect the safety of patients and the general public
    
30. —(1) If the information shared by a responsible body under regulation 25 or 26 shows a concern about inappropriate or unsafe use of controlled drugs by a relevant person, the accountable officer of any designated body responsible for—

that has possession or control of that information may make recommendations to any responsible body (including, where appropriate, his own designated body) as to any action which the accountable officer considers that the responsible body should take to protect the safety of patients or the general public.

    (2) If the concern relates to a relevant person who is not providing services to, or under arrangements that another person or body has with, a designated body, the accountable officer leading the local intelligence network for any area in which the relevant person lives or provides services must—

Disclosure of information in good faith
    
31. Civil proceedings do not lie against a person in respect of loss, damage or injury of any kind suffered by another person as a result of the disclosure of information in good faith under regulation 25, 26, 29 or 30.



Signed by authority of the Secretary of State for Health


Andy Burnham
Minister of State, Department of Health

21st November 2006



EXPLANATORY NOTE

(This note is not part of the Order)


These Regulations contain measures relating to arrangements underpinning the safe management and use of controlled drugs in England and Scotland.

Part 1 outlines preliminary matters.

Part 2 relates to accountable officers. A number of health care bodies are prescribed as designated bodies (regulation 3), and these are required to appoint accountable officers (regulation 4). There are limitations on who may act as accountable officers (regulation 5) and a duty on designated bodies to establish arrangements for their removal from office in specified circumstances (regulation 6). Designated bodies are required to ensure that their accountable officers are sufficiently resourced (regulation 7).

Accountable officers are given a number of functions relating to the safe management and use of controlled drugs. Essentially, these require the establishment by the accountable officer of a number of sets of arrangements which relate to the safe management and use of controlled drugs. As well as the basic arrangements (regulation 9), these include safe disposal arrangements (regulation 10) and auditing arrangements (regulation 11). As well as being given functions in relation to their own designated bodies, accountable officers are given functions in relation to health care professionals and others whose work involves the management and use of controlled drugs, for which their designated body is responsible. These responsibilities include maintaining records of and investigating concerns (regulations 15 and 16), and taking appropriate action where there are well-founded concerns (regulation 17). Accountable officers for Primary Care Trusts and Health Boards also have particular responsibilities for setting up local intelligence networks, relating to the management and use of controlled drugs, for their area (regulation 18).

Part 3 contains arrangements in relation to periodic inspections of premises used for the management and use of controlled drugs, where these issues would not be dealt with as part of other health and social care inspections, and other measures in relation to powers of entry.

Part 4 deals with co-operation between a number of listed health care bodies and other organisations (regulation 22), and in particular contains detailed arrangements with regard to the disclosure of information between the bodies that are required, by the Regulations, to co-operate with each other in connection with the identification of cases where action may need to be taken against individuals (regulations 24 to 27). There are record keeping requirements (regulation 28), and duties with regard to occurrence reports, which are quarterly statements that accountable officers must make about details of concerns that their designated body has (regulation 29). Accountable officers have duties to take action with regard to concerns that they have (regulation 30), and persons acting in good faith under the arrangements for sharing information under this Part are protected from damages claims (regulation 31).

A regulatory impact assessment relating to the effect that this instrument will have is available from the Department of Health, Skipton House, 80 London Road, London SE1 6LH. Copies of the assessment have been placed in the libraries of both Houses of Parliament.


Notes:

[1] 2006 c.28.back

[2] 1977 c.49.back

[3] 1978 c.29.back

[4] 2000 c.14.back

[5] 2003 c.43.back

[6] S.S.I. 2006/330.back

[7] Section 10 has been amended by the Smoking, Health and Social Care (Scotland) Act 2005 (asp13), Schedule 2, paragraph 2(4).back

[8] Relevant amendments have been made to section 128(1) by: the Health Service Act 1980 (c.53), Schedule 1, paragraph 77(d); the National Health Service and Community Care Act 1990 (c.19), section 26(2)(c); the Health Act 1999 (c.8), Schedule 4, paragraph 38(2)(a); and the Health and Social Care (Community Health and Standards) Act 2003, Schedule 4, paragraph 42.back

[9] 1983 c.20.back

[10] Section 2(1) has been amended by: the Health and Social Services and Social Security Adjudications Act 1983 (c.41), Schedule 7, paragraph 1; the National Health Service and Community Care Act 1990, section 28(4); and the Smoking, Health and Social Care (Scotland) Act 2005, Schedule 2, paragraph 2(2).back

[11] 1946 c.81. This Act was repealed by the National Health Service Act 1977.back

[12] 1947 c.27. This Act was repealed by the National Health Service (Scotland) Act 1978.back

[13] 1970 c.42; amended by the Local Government Act 1972 (c.70), section 195(3), and the Local Government (Wales) Act 1994 (c.19), Schedule 10, paragraph 7.back

[14] 1994 c.39.back

[15] 1971 c.38.back

[16] S.S.I. 2002/305.back

[17] S.I. 2005/3361.back

[18] S.S.I 2002/534.back

[19] Section 5(1) was amended by the Health Act 1999, sections 13(1)(a) and(10) and 65(2) and Schedule 5.back

[20] Section 16A was inserted by the Health Act 1999, section 2(1), and amended by the National Health Service Reform and Health Care Professions Act 2002 (c.17), section 2(2) and (3).back

[21] 1984 c. 24.back

[22] 1968 c.67. There are amendments to section 132 which are not relevant to the definition of "retail pharmacy business".back

[23] S.I. 1999/686.back

[24] 2001 asp8.back

[25] Relevant amendments have been made to section 77 by the Mental Health (Care and Treatment) (Scotland) Act 2003 (asp13), section 331, and Schedule 4, paragraph 10, and Schedule 5, Part 1.back

[26] S.I. 1995/574.back

[27] Section 8 was substituted by the National Health Service Reform and Health Care Professions Act 2002, section 1(2).back

[28] S.S.I. 2002/114; there have been no relevant amending instruments.back

[29] 2001/3998; the relevant amending instrument is S.I.2003/1432.back

[30] S.I. 2003/1250.back

[31] The expression "relevant individual" is defined in section 17(8)(b) of the Health Act 2006.back

[32] See the definition of "practitioner" in regulation 2 of the 2006 Regulations.back

[33] Section 10 was amended by: the Health Services Act 1980 (c.53), Schedule 6, paragraph 2; the National Health Service and Community Care Act 1990 (c.19), Schedule 10; and the Health Act 1999 (c.8), Schedule 4, paragraph 4.back

[34] 1998 c.29.back



ISBN 0 11 075379 8


 © Crown copyright 2006

Prepared 30 November 2006


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