Statutory Instruments printed from this website are printed under the
superintendence and authority of the Controller of HMSO being the
Queen's Printer of Acts of Parliament.
The legislation contained on this web site is subject to Crown
Copyright protection. It may be reproduced free of charge provided that
it is reproduced accurately and that the source and copyright status of
the material is made evident to users.
It should be noted that the right to reproduce the text of
Statutory Instruments does not extend to the Queen's Printer imprints
which should be removed from any copies of the Statutory Instrument
which are issued or made available to the public. This includes
reproduction of the Statutory Instrument on the Internet and on
intranet sites. The Royal Arms may be reproduced only where they are an
integral part of the original document.
The text of this Internet version of the Statutory Instrument
which is published by the Queen's Printer of Acts of Parliament has
been prepared to reflect the text as it was Made. A print version is
also available and is published by The Stationery Office Limited as the
The Business Improvement Districts (England) Regulations 2004, ISBN 0110498410. The print version may be purchased by clicking here.
Braille copies of this Statutory Instrument can also be purchased at
the same price as the print edition by contacting TSO Customer Services
on 0870 600 5522 or e-mail: customer.services@tso.co.uk.
Further information about the publication of legislation on this website can be found by referring to the Frequently Asked Questions.
To ensure fast access over slow connections, large documents have been
segmented into "chunks". Where you see a "continue" button at the
bottom of the page of text, this indicates that there is another chunk
of text available.
STATUTORY INSTRUMENTS
2004 No. 2443
LOCAL GOVERNMENT, ENGLAND
The Business Improvement Districts (England) Regulations 2004
Made
16th September 2004
Coming into force
17th September 2004
The First Secretary of State, in exercise of the powers conferred
by section 150(1), (2) and (3) of the Local Government and Housing Act
1989[1]
and sections 47(4), 48(1) and (2), 49(2), 51(2) and (3), 52(2), 54(4)
and (5), 55(1) and (2), 56(1) and 123(2) of the Local Government Act
2003[2] and having consulted with
such representatives of local government as appear to him to be
appropriate, hereby makes the following Regulations, a draft of which
has been laid before, and approved by a resolution of, each House of
Parliament:
"the 1989 Regulations" means the Non-Domestic Rating (Collection and Enforcement)(Local Lists) Regulations 1989[4] as modified by paragraph 9 of Schedule 4 below;
"the Act" means the Local Government Act 2003;
"alteration ballot" has the meaning given in regulation 17;
"alteration proposals" means proposals in relation to the alteration of BID arrangements pursuant to regulation 17;
"the amount payable" for a chargeable period or part of a chargeable
period in relation to a particular person, a relevant billing authority
and a hereditament means -
(a) the amount that person is liable to pay to the authority as regards
the hereditament in respect of the period or part thereof under section
46 of the Act by virtue of that person falling within the description
of persons liable to the BID levy in the BID arrangements; or
(b) where an amount falls to be credited by the authority against that
person's liability in respect of the period or part thereof, the amount
(if any) by which the amount referred to in sub-paragraph (a) exceeds
the amount falling to be so credited;
"ballot holder" has the meaning given in regulation 6;
"barcode" means marks -
(a) appearing on the ballot paper and containing in an encoded form information relating to a voter and a ballot;
(b) capable of being scanned electronically in a manner that permits
the encoded information contained in the marks to be decoded; and
(c) in which the information encoded in the marks cannot be decoded when read only by the human eye;
"BID" means business improvement district;
"BID ballot" means a ballot under section 49(1) of the Act;
"BID body" means, where a local authority BID body is not responsible
for implementing the BID arrangements, the body (whether corporate or
not corporate) responsible for the implementation of the arrangements;
"BID proposer" means a person who draws up BID proposals;
"commencement date" subject to regulation 9(12), means the day,
pursuant to section 53 of the Act, the BID arrangements are to come
into force;
"data form" means information which is in a form which is capable of
being processed by means of equipment operating automatically in
response to instructions given for that purpose;
"the day of the ballot" means the day determined by the ballot holder,
in accordance with Schedule 2, as the day by which ballot papers must
be returned to him;
"demand notice" means the notice required to be served under paragraph 2(1) of Schedule 4;
"electronic communication" means a communication transmitted (whether
from one person to another, from one device to another or from a person
to a device or vice versa) -
(a) by means of a telecommunication system (within the meaning of the Telecommunications Act 1984[5]); or
(b) by other means but while in electronic form;
"hereditament" means anything which is or is treated as being a
hereditament by virtue of the provisions of or any provisions made
under section 64 of the 1988 Act including any hereditament to which
regulation 6 of the Non-Domestic Rating (Miscellaneous Provisions)
Regulations 1989[6] applies but otherwise excluding any hereditament to which regulations made under section 64(3)(b) of the 1988 Act apply;
"liability order" has the meaning given in regulation 10 of the 1989 Regulations;
"local authority BID body" means, where the relevant billing authority
or a company under the control of the authority (within the meaning
given in section 68 of the Local Government and Housing Act 1989[7]) is responsible for implementing the BID arrangements, that person;
"person entitled to vote" has the meaning given in regulation 8;
"re-ballot" means a BID ballot, renewal ballot, or alteration ballot,
as the case may be, which is required to be arranged pursuant to
regulation 9(10);
"relevant billing authority" means the billing authority for the geographical area of the BID;
"renewal ballot" means a ballot under section 54(2) of the Act;
"renewal proposals" means proposals in relation to the renewal of the BID arrangements under section 54(2) of the Act;
"veto" means a veto by the relevant billing authority pursuant to section 51(2) of the Act;
"veto notice" means a notice given by a billing authority pursuant to section 51(4) of the Act; and
"working day" means any day other than a Saturday, Sunday, Christmas
Day, Good Friday or any day which is a bank holiday in England and
Wales under the Banking and Financial Dealings Act 1971[8].
(b) any other holder of a licence under Part 2 of the Postal Services
Act 2000 whose licence permits it to convey such papers from one place
to another; or
(c) any other means of conveyance and delivery for which a licence is
not required, pursuant to section 7 of the Postal Services Act 2000.
(5) Postage shall be prepaid on envelopes in
which the ballot paper is issued and return postage shall be prepaid on
all return envelopes.
(6) No person other than the ballot holder and
his clerks may be present at the issue of ballot papers, unless
permitted by the ballot holder to attend.
Spoilt ballot papers
11.
- (1) If a voter has inadvertently dealt with his ballot
paper in such manner that it cannot be conveniently used as a ballot
paper (referred to as "a spoilt ballot paper") he may return (either by
hand or by post) to the ballot holder the spoilt ballot paper.
(2) On receipt of the spoilt ballot paper, the
ballot holder shall issue another ballot paper, except where those
documents are received later than 3 working days before the day of the
ballot.
(3) The spoilt ballot paper shall be immediately cancelled.
(4) Where a voter applies in person, the ballot
holder may hand a replacement ballot paper to him instead of delivering
it in accordance with paragraph 10.
Lost ballot papers
12.
- (1) Where a voter has not received his ballot paper by the
fourth working day before the day of the ballot, he may apply (whether
or not in person) to the ballot holder for a replacement ballot paper.
(2) Such an application shall include evidence of the voter's identity.
(3) Where the application is received by the
ballot holder later than 3 working days before the day of the ballot
and the ballot holder -
(a) is satisfied as to the voter's identity; and
(b) has no reason to doubt that the voter did not receive the original ballot paper;
he shall issue another ballot paper.
(4) Where a ballot voter applies in person, the
ballot holder may hand a replacement ballot paper to him instead of
delivering it in accordance with paragraph 10.
Receipt of return ballot papers
13.
- (1) A postal ballot paper shall not be taken to be duly
returned unless it is received by the ballot holder (either by hand or
by post) or at any place for delivery specified in the notice of ballot
as being a place of delivery before 5pm on the day of the ballot.
(2) On receipt of a returned ballot paper the
ballot holder shall arrange for it to be kept in a secure receptacle
until the votes are counted.
(3) No person other than the ballot holder and
his clerks may be present at the receipt of the ballot papers, unless
permitted by the ballot holder to attend.
The count
14.
- (1) As soon as practicable after the day of the ballot,
the ballot holder shall make arrangements for counting the votes cast
on such of the ballot papers as have been duly returned (in accordance
with paragraph 13(1)) and record the number counted.
(2) No person other than the ballot holder and
his clerks may be present at the counting of the votes, unless
permitted by the ballot holder to attend.
Rejected ballot papers
15.
- (1) Where a ballot paper is received which bears the same
number or barcode as a ballot paper already received, both that ballot
paper and the other ballot paper bearing the same number or barcode (as
the case may be) shall be void and not counted.
(2) Any ballot paper which is unsigned,
unmarked or void for uncertainty shall, subject to sub-paragraph (3),
be void and not counted.
(3) A ballot paper on which the vote is marked -
(a) elsewhere than in the proper place; or
(b) otherwise than by means of a cross; or
(c) by more than one mark,
shall not for such reason be deemed to be void if the voting intention appears clear.
Decisions on ballot papers
16.
The decision of the ballot holder on any question arising in respect of a ballot paper shall be final.
Declaration of result
17.
- (1) The ballot holder shall certify -
(a) the total number of votes cast in the ballot excluding any votes given on ballot papers rejected under paragraph 15;
(b) the aggregate rateable value of each hereditament in respect of which a person voted in the ballot;
(c) the total number of votes cast in favour of the question asked in the ballot; and
(d) the aggregate rateable value of each hereditament in respect of
which a person voting in the ballot has voted in favour of the question
asked.
(2) The ballot holder, having made the certification under sub-paragraph (1), shall -
(a) forthwith make a declaration of the matters so certified; and
(b) as soon as reasonably practicable give public notice of the matters so certified.
Validity
18.
- (1) No BID ballot, renewal ballot, alteration ballot or
re-ballot, as the case may be, shall be declared invalid by reason of
any act or omission of the ballot holder or any other person in breach
of the provisions of this Schedule, if it appears to a court
considering the question that -
(a) the BID ballot, renewal ballot, alteration ballot or re-ballot, as
the case may be, was so conducted as to be substantially in accordance
with the provisions of this Schedule; and
(b) the act or omission did not affect its result.
(2) A BID ballot, renewal ballot, alteration
ballot or re-ballot, as the case may be, unless proceedings are started
in relation to it before the commencement date of the BID arrangements,
renewed BID arrangements of altered BID arrangements (as the case may
be), shall be deemed to have been to all intents a good and valid
ballot.
Retention of ballot papers
19.
The ballot holder shall retain the ballot papers for six months after
the day of the ballot and then, unless otherwise directed by order of
the High Court, shall cause them to be destroyed.
(b) in any other case, to the day on which it is served.
(3) Where any notice which is required or
authorised by this Schedule to be given to or served on a person falls
to be given or served by or on behalf of the Common Council of the City
of London or by an officer of the Common Council of the City of London,
it may be given or served in any manner in which it might be given or
served under section 233 of the Local Government Act 1972 as if the
Common Council were a local authority within the meaning of that
section.
(4) Without prejudice to section 233 of the
Local Government Act 1972 and sub-paragraph (3) above, where any notice
which is required or authorised by this Schedule to be given to or
served on a person relates to a hereditament which is (or, where such a
notice relates to more than one hereditament, one or more of which is)
a place of business of that person, it may be given or served by
leaving it at, or by sending it by post to him at, the place of
business (or, as the case may be, one of those places of business).
(5) Without prejudice to section 233 of the
Local Government Act 1972 and sub-paragraphs (3) and (4) above and
subject to sub-paragraphs (6) to (9) below, any notice required or
authorised to be given to or served by a billing authority on any
person by this Schedule, or any information required by paragraph 3(2)
of this Schedule to be supplied to any person when a demand notice
(within the meaning of this Schedule) is served -
(a) may be so given, served or supplied by sending the notice or
information to that person by electronic communication to such address
as may be notified by that person for that purpose; or
(b) shall be treated as given, served or supplied to that person where -
(i) the billing authority and that person have agreed for that purpose
that any documents containing the notice or information may be accessed
by that person on a website;
(ii) the document is a document to which that agreement applies;
(iii) the billing authority has published the document on a website; and
(iv) that person is notified, in a manner for the time being agreed for
those purposes between him and the billing authority, of -
(aa) the publication of the document on a website;
(bb) the address of that website; and
(cc) the place on the website where the document may be accessed.
(6) For the purpose of any legal proceedings, a
notice given by a means described in paragraph (5) shall, unless the
contrary is proved, be treated as served on the second business day
after -
(a) it was sent in accordance with sub-paragraph (5)(a); or
(b) notification of its publication was given in accordance with sub-paragraph (5)(b)(iv).
(7) A person who has notified an address for
the purpose of sub-paragraph (5)(a) shall, by notice in writing to the
billing authority, advise the billing authority of any change in that
address; and the change shall take effect on the third business day
after the date on which the notice is received by the billing authority.
(8) A person who has notified an address for
the purpose of sub-paragraph (5)(a) may, by notice in writing to the
billing authority, withdraw that notification; and the withdrawal shall
take effect on the third business day after the date on which the
notice is received by the billing authority.
(9) A person who has entered into an agreement
with the billing authority under sub-paragraph (5)(b)(i) may, by notice
in writing to the billing authority, inform the authority that he no
longer wishes to be a party to the agreement; and where such notice is
given, the agreement shall be treated as revoked on the third business
day after the date on which the notice is received by the billing
authority.
The requirement for demand notices
2.
- (1) For each chargeable period a relevant billing
authority shall, in accordance with paragraphs 4 to 6, serve a notice
in writing on every person who is liable for the BID levy in relation
to the BID arrangements for the period.
(2) Different demand notices shall be served for different chargeable periods.
(3) A demand notice shall be served with
respect to the amount payable for every hereditament as regards which a
person is liable for the BID levy, though a single notice may relate to
the amount payable with respect to more than one such hereditament.
(4) If a single demand notice relates to the
amount payable with respect to more than one hereditament the amounts
due under it, and the times at which they fall due, shall be determined
as if separate notices were issued in respect of each hereditament.
Content of demand notices
3.
- (1) A demand notice shall contain the following matters -
(a) a statement of the address and description of each hereditament to which the notice relates;
(b) a statement explaining how the BID levy is calculated for each hereditament to which the notice relates; and
(c) a statement of the days (if any) on which, for the purposes of
calculating the payments required to be made under the notice, it was
understood that the person who is liable for the BID levy in respect of
the hereditament fell within the description in the BID arrangements of
persons who are to be liable for the BID levy for the chargeable period
in question.
(2) A billing authority must when it serves a
demand notice supply to the person to whom the notice is served the
following information -
(a) the revenue from the BID levy the billing authority was due to receive in the previous year;
(b) the amount spent on the BID arrangements in the previous year;
(c) a description of the matters on which it was spent; and
(d) a description of the matters on which it is intended to spend the revenue from the BID levy in the financial year.
Invalid notices
4.
- (1) Where -
(a) a demand notice is invalid because it does not comply with paragraph 3;
(b) the failure so to comply was due to a mistake; and
(c) the amounts required to be paid under the notice were demanded in accordance with paragraph 3(1),
the requirement to pay those amounts shall apply as if the notice were valid.
(2) Where a requirement to pay an amount under
an invalid notice subsists by virtue of sub-paragraph (1), the billing
authority shall as soon as practicable after the mistake is discovered
issue to the person who is liable for the BID levy concerned a
statement of the matters which were not contained in the notice and
which should have been so contained.
Service of demand notices
5.
- (1) Subject to sub-paragraph (2), a demand notice shall be served on or as soon as practicable after -
(a) except in a case falling within paragraph (b), the first day of the relevant period; or
(b) if the person falls within the description of person to be liable
to the BID levy specified in the BID arrangements as regards the
hereditament concerned later in the relevant period, the first day
after that day in respect of which he falls within that description.
(2) A demand notice may be served before the
beginning of the relevant period on a person who, on the day it is
issued, the relevant billing authority considers will fall within the
description of person to be liable to the BID levy specified in the BID
arrangements as regards the hereditament to which it relates; and if it
is so served, references in this Schedule to a person who is liable for
the BID levy shall, in relation to that notice and so far as the
context permits, be construed as references to that person.
Payments under demand notices
6.
- (1) If a demand notice is issued before or during the
relevant period and it appears to the relevant billing authority that
the person falls within the description of person to be liable to the
BID levy specified in the BID arrangements in respect of the day on
which the notice is issued as regards the hereditament to which it
relates, the notice shall require payment of an amount equal to the
relevant billing authority's estimate of the amount payable for the
period.
(2) In making an estimate under sub-paragraph
(1) the relevant billing authority shall assume, as respects a period
which falls after the issue of the notice, that the person will
continue to fall within the description referred to in sub-paragraph
(1).
(3) If a demand notice is issued during the
relevant period but sub-paragraph (1) does not apply, the notice shall
require payment of an amount equal to the amount payable for the period
in the period up to the day on which the person last fell within the
description of person to be liable to the BID levy specified in the BID
arrangements as regards the hereditament concerned.
(4) If, after a notice is served to which
sub-paragraph (3) applies, the person again falls within the
description of person to be liable to the BID levy specified in the BID
arrangements in the relevant period as regards the hereditament
concerned, a further notice shall be served on him requiring payments
with respect to the amount payable in relation to the hereditament for
the period in the relevant period beginning with the day in respect of
which the person so falls within the said description again.
(5) Where a further notice is issued under
sub-paragraph (4), paragraphs 5 to 8 shall apply to the further notice
with respect to the period referred to in sub-paragraph (4) as if it
were a demand notice and the person had not previously fallen within
the description of person to be liable to the BID levy specified in the
BID arrangements.
(6) If a demand notice is issued after the end
of the relevant period, it shall require payment of the amount payable
for the period.
Payments under demand notices: further provision
7.
- (1) Unless an agreement under sub-paragraph (3) in
relation to the relevant period has been reached before the demand
notice is issued, a notice to which paragraph 6(1) applies shall
require the estimate of the amount payable on expiry of such period
(being not less than 14 days) after the day of issue of the notice as
is specified in it.
(2) If an agreement under sub-paragraph (3) in
relation to the relevant period has been reached before the demand
notice is issued, a notice to which paragraph 6(1) applies shall
require the estimate of the amount payable to be paid in accordance
with that agreement.
(3) A relevant billing authority and a person
who is liable for the BID levy may agree that the estimate of the
amount payable which is required to be paid under a notice to which
paragraph 6(1) applies should be paid in such manner as is provided by
the agreement.
(4) Notwithstanding anything in the preceding
provisions of this paragraph, such an agreement may be entered into
either before or after the demand notice concerned is issued, and may
make provision for the cessation or adjustment of payments, and for the
making of fresh estimates, in the event of the estimate mentioned in
paragraph 6(1) turning out to be wrong; and if it is entered into after
the demand notice has been issued, it may make provision dealing with
the treatment for the purposes of the agreement of any sums paid before
it was entered into.
(5) A notice to which paragraph 6(3) or (5)
applies shall require payment of the amount payable on the expiry of
such period (being not less than 14 days) after the day of issue of the
notice as is specified in it.
(6) No payment in respect of the amount payable
by a person who is liable for the BID levy in relation to a
hereditament for any chargeable period need be made unless a notice
served under this Schedule requires it.
Demand notices: final adjustment
8.
- (1) This paragraph applies where -
(a) a notice has been issued by a relevant billing authority under this
Schedule requiring a payment or payments to be made by a person who is
liable for the BID levy in respect of the amount payable in relation to
a hereditament for a chargeable period or part of a chargeable period;
(b) the payment or payments required to be paid are found to be in
excess of or less than the amount payable in relation to the
hereditament for the period or the part; and
(c) provision for adjusting the amounts required under the notice and
(as appropriate) for the making of additional payments or the repaying
or crediting of any amount overpaid is not made by any other provision
of this Schedule or of any agreement entered into under paragraph 7(3).
(2) The relevant billing authority shall as
soon as practicable after the expiry of the period or the part of a
period serve a further notice on the person who is liable for the BID
levy stating the amount payable for the period or part in relation to
the hereditament, and adjusting (by reference to that amount) the
amounts required to be paid under the notice referred to in
sub-paragraph (1)(a).
(3) If the amount stated in the further notice
is greater than the amount required to be paid under the notice
referred to in sub-paragraph (1)(a), the amount of the difference for
which such other provision as is mentioned in sub-paragraph (1)(c) is
not made shall be due from the person who is liable for the BID levy to
the relevant billing authority on the expiry of such period (being not
less than 14 days) after the day of issue of the notice as is specified
in it.
(4) If there has been an overpayment in respect
of any liability of the person who is liable for the BID levy under
this Schedule, the amount overpaid for which such other provision as is
mentioned in sub-paragraph (1)(c) is not made -
(a) shall be repaid if the person who is liable for the BID levy so requires; or
(b) in any other case shall (as the relevant billing authority
determines) either be repaid or be credited against any subsequent
liability of the person who is liable for the BID levy to pay anything
to it by way of the BID levy or non-domestic rate.
Enforcement
9.
- (1) Part 3 of and Schedules 2 to 4 to the Non-Domestic
Rating (Collection and Enforcement)(Local Lists) Regulations 1989[12] shall apply to the enforcement of the BID levy with the following modifications -
(a) the reference in regulations 10 and 20 to a sum which has become
payable to a billing authority under Part 2 of those regulations shall
be read as including a reference to a sum which has become payable to a
billing authority under this Schedule;
(b) regulation 11(3) shall not apply;
(c) regulation 12(1) shall be read as if the words from "an amount
which has fallen due under regulation 8(2)" to "required under
regulation 11)" were excluded;
(d) the definition of "authorised person" in regulation 21(7) shall be
read as including a person authorised by a billing authority to
exercise any functions relating to the collection and enforcement of
the BID levy;
(e) the reference in regulation 22 to a sum which has become payable
under Part 2 of those regulations to a person other than a billing
authority shall be read as including a reference to a sum which has
become payable under this Schedule to a person other than a billing
authority;
(f) regulation 23(2) shall be read as if the words "or the contents of
any BID arrangements made under Part 4 of the Local Government Act
2003" were inserted after the words "such a list" and the words "or the
arrangements" were inserted after the words "list or extract";
(g) regulation 23(3) shall be read as if -
(i) for sub-paragraphs (a) and (b) there were substituted a reference
to notification which is given under paragraph 8(2) of this Schedule;
and
(ii) the words "or the multiplier in substitution is set under
paragraph 10 of Schedule 7 to the Act (as the case maybe)" were
excluded; and
(h) regulation 23(4) shall be read as if for the word "paragraph (3)(a)
in the case in question, or sets a multiplier in substitution so that
paragraph 10(4) of Schedule 7 to the Act applies in the case in
question" there were substituted a reference to paragraph 8(2) of this
Schedule.
Outstanding liabilities on death
10.
- (1) This paragraph applies where a person dies and at any
time before his death he was (or is alleged to have been) subject to a
BID levy.
(2) Where -
(a) before the deceased's death a sum has become payable by him under
this Schedule or by way of relevant costs in respect of a BID levy but
has not been paid; or
(b) after the deceased's death a sum would, but for his death (and
whether or not on the service of a notice) become payable by him under
this Schedule in respect of a BID levy,
his executor or administrator shall, subject to sub-paragraph (3) and
to the extent that it is not in excess of the deceased's liability
(including relevant costs payable by him) in respect of the BID levy,
be liable to pay the sum and may deduct out of the assets and effects
of the deceased any payments made (or to be made).
(3) Where sub-paragraph (2)(b) applies, the
liability of the executor or administrator does not arise until the
service on him of a notice requiring payment of the sum.
(4) Where before the deceased's death a sum in
excess of his liability (including relevant costs payable by him) in
respect of a BID levy has been paid (whether the excess arises because
of his death or otherwise) and has not been repaid or credited under
this Schedule, his executor or administrator shall be entitled to the
sum.
(5) Costs are relevant costs for the purposes of sub-paragraphs (2) and (4) if -
(a) an order or warrant (as the case may be) was made by the court in
respect of them under regulation 12(6)(b)or (7) or 16(4)(b) of the 1989
Regulations, or in proceedings under regulation 20 of the 1989
Regulations; or
(b) they are charges connected with distress which may be recovered pursuant to regulation 14(2)(b) of the 1989 Regulations.
(6) A sum payable under sub-paragraph (2) shall
be enforceable in the administration of the deceased's estate as a debt
of the deceased and accordingly -
(a) no liability order need be applied for in respect of it after the
deceased's death under regulation 12 of the 1989 Regulations, and
(b) the liability of the executor or administrator is a liability in his capacity as such.
(7) Regulation 23(1) and (2) of the 1989
Regulations applies to proceedings to enforce a liability arising under
this paragraph as it applies to other proceedings under this Schedule.
(8) Insofar as is relevant to his liability
under this paragraph in the administration of the deceased's estate,
the executor or administrator may institute, continue or withdraw
proceedings.
Application of BID administration provisions to the Crown
11.
- (1) No contravention by the Crown of any provision of this
Schedule shall make the Crown criminally liable; but the High Court
may, on the application of a billing authority, declare unlawful any
act or omission of the Crown which constitutes such a contravention.
(2) Notwithstanding anything in sub-paragraph
(1), the provisions of this Schedule shall apply to the Crown as it
applies to other persons.
(3) No power of entry conferred by this
Schedule shall be exercisable in relation to any hereditament occupied,
or, if unoccupied, owned by Her Majesty in her private capacity, and
this sub-paragraph shall be construed as if section 38(3) of the Crown
Proceedings Act 1947[13] were contained in this Schedule.
Joint occupiers and owners: billing
12.
- (1) This paragraph applies in any case where (apart from
this paragraph) there would at a particular time be more than one
person who is liable for the BID levy for a hereditament, or of part of
such a hereditament.
(2) Where this paragraph applies -
(a) as regards any time in a chargeable period when there is only one
such person who is liable for the BID levy, that person shall be liable
to pay the amount payable by way of the BID levy with respect to that
time; and
(b) as regards any time in a chargeable period when there is more than
one such person who is liable for the BID levy, those persons shall be
jointly and severally liable to pay the amount that would have been
payable by way of the BID levy with respect to that time if there were
only one such person.
(3) This Schedule shall have effect to accord
with sub-paragraph (2); and in particular a notice which falls to be
given under this Schedule which relates to a time when paragraph (2)(b)
applies may be given -
(a) severally to each or any of the persons who is liable for the BID levy concerned from whom payment is demanded; or
(b) where the persons concerned are jointly and severally liable as
partners or trustees, jointly to the partnership or trust (in which
case only a single notice need be given in respect of them and
references to "the person who is liable for the BID levy" in this
Schedule shall be construed as regards the notice as references to the
partners or trustees jointly).
(4) A notice given to a partnership or trust pursuant to paragraph (3)(b) may be served -
(a) in the case of a partnership, in the manner described in section
233(3)(b) of the Local Government Act 1972 ("the 1972 Act"); or
(b) in the case of a trust, by being served on one of the trustees;
and where such a notice falls to be served on a partnership, a person
having control or management of the partnership business or a trust
under this paragraph, the proper address of the partnership, person or
trust (as the case may be) shall include (as well as the address
mentioned in section 233(4) of the 1972 Act) any place of business
which is a hereditament to which the notice relates.
(5) Where a notice is given pursuant to
paragraph (3)(a) to more than one person in respect of the same amount,
the billing authority shall notify that fact to each person to whom
notice is so given.
(6) Where a notice given pursuant to paragraph
(3)(a) to a person who is liable for the BID levy relates to a time in
the relevant year when paragraph (2)(a) applies and a time when
paragraph (2)(b) applies, any payment made by the person under the
notice shall be treated as being made towards satisfaction of the
amount for which he is solely liable unless and until his liability in
respect of that amount is discharged.
(7) For the purposes of any time to which
paragraph (2)(b) applies, where the description of the person who is to
be liable for the BID levy in the BID arrangements under section 46 of
the Act requires that the ratepayer should be a charity or trustees for
a charity this shall be treated as met if one or more of the persons
jointly and severally liable is a charity or (as the case may be) some
or all of them are trustees for a charity.
(8) Where any sum paid in respect of an amount
calculated by reference to paragraph (2)(b) falls to be repaid, it may
be repaid to such of the persons concerned as the billing authority
considers appropriate.
(9) Subject to sub-paragraph (10), any payment
or repayment in respect of a liability under paragraph (2)(b) shall be
due between the persons who are liable for the BID levy as will secure
that in respect of a liability falling within paragraph (2)(b) the
burden or benefit of the payment or repayment accrues to them in equal
shares.
(10) Paragraphs (2)(b) and (8) are without
prejudice to any right or duty in law or equity of a person who is
liable for the BID levy who has made a payment, or receives a
repayment, in respect of a liability under paragraph (2)(b) to recover
all or part of the payment from, or to account for all or part of the
repayment to, the other persons who are liable for the BID levy or any
beneficiaries interested in the hereditament.
Joint owners and occupiers: enforcement
13.
- (1) Part 3 of and Schedules 2 to 4 to the 1989
Regulations, shall have effect, with the following modifications, for
the recovery of a sum for which persons are liable under section 46 of
the Act as applied by paragraph 12.
(2) A reminder notice shall be served in
accordance with regulation 11(1) and (2) of the 1989 Regulations on
every person against whom an application for a liability order is to be
made.
(3) Paragraph 12(3) to (6) applies to a reminder notice as it applies to a notice under this Schedule.
(4) A liability order may be applied for and
made against one or more of the persons who are liable for the BID levy
concerned in respect of an amount to which paragraph 12(2)(b) applies,
whether they have been served with a notice in respect of the amount
jointly or severally.
(5) Where a liability order has been made
against more than one person in respect of an amount, subject to
sub-paragraph (9) distress may be made against one or more of them.
(6) Where distress has been made against more
than one person in respect of an amount, a warrant of commitment may be
applied for at any time against one of them or different warrants may
be applied for against more than one of them.
(7) Where distress has been made against one
person only, a warrant of commitment may be applied for against that
person.
(8) Where a liability order has been made
against more than one person in respect of an amount, and a warrant of
commitment is issued against (or a term of imprisonment is fixed in the
case of) one of them under regulation 16(3) of the 1989 Regulations, no
steps, or no further steps, may be taken against any of them by way of
distress, bankruptcy or winding up in relation to the amount mentioned
in regulation 16(4) of the 1989 Regulations.
(9) Where a liability order has been made
against more than one person in respect of an amount -
(a) steps by way of distress, commitment, bankruptcy or winding up may
not be taken against a person in respect of the amount while steps by
way of another of those methods are being taken against him in respect
of it; and
(b) subject to sub-paragraph (10), steps by way of distress may not be
taken against a person in respect of an amount whilst steps by way of
distress are being taken against one of the others in respect of it.
(10) Where a liability order has been made
against more than one person in respect of an amount and in making
distress against one of them goods jointly owned by him and another of
them are found, paragraph (9)(b) does not preclude distress being
levied against those goods with respect to that amount; but in any
subsequent proceedings under regulation 16 of the 1989 Regulations,
charges arising under Schedule 3 to the 1989 Regulations from such a
distress shall be treated as charges relating to the person against
whose goods the levy was intended to be made when the jointly owned
goods were found, and not as charges relating to the other.
(11) Where -
(a) a liability order has been made against more than one person in respect of an amount; and
(b) a charge has arisen as regards one of them under head B of the
Table in paragraph 1 of Schedule 3 to the 1989 Regulations in respect
of that amount,
no further charge may be aggregated for the purposes of regulation
14(2) of the 1989 Regulations under that head or head A of that Table
in consequence of any subsequent levy or attempted levy against any of
them in respect of that amount; and a charge under head A(i) or charges
under that head and head A(ii) against one of them shall be treated for
those purposes as a charge or, as the case may be, charges under that
head with respect to the others as well as that one.
(12) Where a liability order is made against
one person in respect of an amount, and also against another person or
persons (whether at the same time as the order against the first
mentioned person or subsequently and whether in respect of all or part
of that amount) -
(a) the order made as respects all but the relevant person shall not
include under regulation 12(6)(b) or (7) of the 1989 Regulations any
additional sum in respect of the costs of obtaining the order against
the other or others;
(b) those persons (with the relevant person) shall be treated as
jointly and severally liable for the amount included in the order
against the relevant person in respect of costs;
(c) the order against them shall (as regards regulations 12(6)(b) or
(7) of the 1989 Regulations) be made in respect of the sum outstanding
in relation to it.
(13) For the purposes of sub-paragraph (12),
the relevant person is the person against whom the liability order was
first made in respect of the amount or, if there are more than one such
person, such one of them as the court considers appropriate.
(14) Sub-paragraph (12) is not to be construed
as permitting a billing authority to apply under regulation 12(2) of
the 1989 Regulations for a liability order against a person in respect
of costs alone after an order has been made for those costs against
another person.
Enforcement in relation to partnerships
14.
- (1) Where persons are liable to pay an amount to which
paragraph 12(2)(b) applies as partners in consequence of the service of
a notice pursuant to paragraph 12(3)(b), a liability order in relation
to it may be applied for and made against them in their firm name; and
such an order shall be as effective as if orders were made against each
partner concerned in respect of his liability for that amount.
(2) If a liability order is made against
partners in their firm name in respect of an amount and no order has
earlier been made against another person in respect of it, references
in paragraph 13(12) to the relevant person shall be construed as
references to the partnership.
(3) Without prejudice to regulation 13(2) of
the 1989 Regulations, a summons issued pursuant to an application for a
liability order against partners in their firm name may be served by
leaving it at, or by sending it by post to the partnership at, the
principal office of the partnership.
(4) Where a liability order has been made
against partners in their firm name in respect of an amount, paragraph
13(9)(b) does not preclude distress being levied against partnership
property with respect to that amount; and in any subsequent proceedings
under regulation 16 of the 1989 Regulations, the partners shall be
treated as jointly and severally liable for charges arising under
Schedule 3 to those regulations from such a distress.
(5) Where a liability order is made against
partners in their firm name, regulation 18(2) of the 1989 Regulations
shall have effect as if the reference to a company included a reference
to the partnership and the reference to section 221(5)(b) of the
Insolvency Act 1986[14] were -
(a) in a case where article 7 of the Insolvent Partnerships Order 1994[15] applies, a reference to section 221(5)(c) as applied by that article; or
(b) in a case where article 8 of that Order applies, a reference to
section 221(5) as substituted by paragraph (1)(c) of that article.
(6) Where a liability order is made against
partners in their firm name, paragraph 13(9)(a) does not preclude
insolvency proceedings being brought against the partnership as well as
against members of the partnership, and those proceedings being dealt
with in accordance with the Insolvent Partnerships Order 1994.