Accountability and the Regulation of the Large Law Firm Lawyer

J. Loughrey
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引用次数: 9

Abstract

The regulation of solicitors in England and Wales has undergone great change in the wake of the Legal Services Act 2007. This article considers these regulatory developments through the lens of accountability, focussing on the regulation of transactional lawyers and the large commercial firms. It examines to what extent the Solicitors Regulation Authority's regulatory framework promotes accountability, examining entity regulation, outcomes‐focussed and principles‐based regulation, reporting and disclosure obligations, the Compliance Officer for Legal Practice and the sanctions system. It argues that although transactional lawyers cannot claim the benefit of the ethical principle of non‐accountability, as far as they and their firms are concerned, the regulatory framework is both unnecessary and insufficient. It duplicates the function of accountability to the client and fails to hold transactional lawyers to account for significant regulatory risks that they present, such as the practice of creative compliance.
大型律师事务所律师的责任与监管
在2007年法律服务法颁布之后,英格兰和威尔士的律师监管发生了巨大的变化。本文通过问责制的视角考虑这些监管发展,重点关注交易律师和大型商业公司的监管。它考察了律师监管局的监管框架在多大程度上促进了问责制、审查实体监管、以结果为中心和以原则为基础的监管、报告和披露义务、法律实践合规官和制裁制度。它认为,尽管交易律师不能主张非问责的道德原则的好处,但就他们和他们的公司而言,监管框架既不必要又不充分。它重复了对客户负责的功能,未能让交易律师对他们带来的重大监管风险负责,比如创造性合规的做法。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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