1995 c. 50
[8th November 1995]
An Act to make it unlawful to discriminate against disabled persons in connection with employment, the provision of goods, facilities and services or the disposal or management of premises; to make provision about the employment of disabled persons; and to establish a National Disability Council.
Subject to the provisions of Schedule 1, a person has a disability for the purposes of this Act and Part III of the 2005 Order if he has a physical or mental impairment which has a substantial and long-term adverse effect on his ability to carry out normal day-to-day activities.
In this Act and Part III of the 2005 Order“disabled person” means a person who has a disability.
The provisions of this Part and Parts II , III and VAand Part III of the 2005 Order apply in relation to a person who has had a disability as they apply in relation to a person who has that disability.
Those provisions are subject to the modifications made by Schedule 2.
Any regulations or order made under this Act or Part III of the 2005 Order may include provision with respect to persons who have had a disability.
In any proceedings under Part II , III or VA of this Act or Part III of the 2005 Order, the question whether a person had a disability at a particular time (“the relevant time”) shall be determined, for the purposes of this section, as if the provisions of, or made under, this Act or Part III of the 2005 Order in force when the act complained of was done had been in force at the relevant time.
The relevant time may be a time before the passing of this Act or (as the case may be) the making of the 2005 Order.
The Office may issue guidance about matters to be taken into account in determining whether a person is a disabled person.
Without prejudice to the generality of subsection (A1), the Office may, in particular, issue guidance about the matters to be taken into account in determining—
whether an impairment has a substantial adverse effect on a person’s ability to carry out normal day-to-day activities; or
whether such an impairment has a long-term effect.
Without prejudice to the generality of subsection (A1), guidance about the matters mentioned in subsection (1) may, among other things, give examples of—
effects which it would be reasonable, in relation to particular activities, to regard for purposes of this Act as substantial adverse effects;
effects which it would not be reasonable, in relation to particular activities, to regard for such purposes as substantial adverse effects;
substantial adverse effects which it would be reasonable to regard, for such purposes, as long-term;
substantial adverse effects which it would not be reasonable to regard, for such purposes, as long-term.
A tribunal or court determining, for any purpose of this Act or Part III of the 2005 Order , whether a person is a disabled person, shall take into account any guidance which appears to it to be relevant.
In preparing a draft of any guidance, the Department shall consult such persons as it considers appropriate.
Where the Department proposes to issue any guidance, the Department shall publish a draft of it, consider any representations that are made to the Department about the draft and, if the Department thinks it appropriate, modify its proposals in the light of any of those representations.
If the Department decides to proceed with any proposed guidance, the Department shall lay a draft of it before the Assembly.
If, within the statutory period, the Assembly resolves not to approve the draft, the Department shall take no further steps in relation to the proposed guidance.
If no such resolution is made within the statutory period, the Department shall issue the guidance in the form of its draft.
The guidance shall come into force on such date as the Department may by order appoint.
Subsection (7) does not prevent a new draft of the proposed guidance being laid before the Assembly.
The Department may—
from time to time revise the whole or any part of any guidance and re-issue it ;
by order revoke any guidance.
In this section—
For the purposes of this Part, a person discriminates against a disabled person if—
for a reason which relates to the disabled person’s disability, he treats him less favourably than he treats or would treat others to whom that reason does not or would not apply, and
he cannot show that the treatment in question is justified.
For the purposes of this Part, a person also discriminates against a disabled person if he fails to comply with a duty to make reasonable adjustments imposed on him in relation to the disabled person.
Treatment is justified for the purposes of subsection (1)(b) if, but only if, the reason for it is both material to the circumstances of the particular case and substantial.
But treatment of a disabled person cannot be justified under subsection (3) if it amounts to direct discrimination falling within subsection (5).
A person directly discriminates against a disabled person if, on the ground of the disabled person’s disability, he treats the disabled person less favourably than he treats or would treat a person not having that particular disability whose relevant circumstances, including his abilities, are the same as, or not materially different from, those of the disabled person.
If, in a case falling within subsection (1), a person is under a duty to make reasonable adjustments in relation to a disabled person but fails to comply with that duty, his treatment of that person cannot be justified under subsection (3) unless it would have been justified even if he had complied with that duty.
For the purposes of this Part, a person subjects a disabled person to harassment where, for a reason which relates to the disabled person’s disability, he engages in unwanted conduct which has the purpose or effect of—
violating the disabled person’s dignity, or
creating an intimidating, hostile, degrading, humiliating or offensive environment for him.
Conduct shall be regarded as having the effect referred to in paragraph (a) or (b) of subsection (1) only if, having regard to all the circumstances, including in particular the perception of the disabled person, it should reasonably be considered as having that effect.
It is unlawful for an employer to discriminate against a disabled person –
in the arrangements which he makes for the purpose of determining to whom he should offer employment;
in the terms on which he offers that person employment; or
by refusing to offer, or deliberately not offering, him employment.
It is unlawful for an employer to discriminate against a disabled person whom he employs –
in the terms of employment which he affords him;
in the opportunities which he affords him for promotion, a transfer, training or receiving any other benefit;
by refusing to afford him, or deliberately not affording him, any such opportunity; or
by dismissing him, or subjecting him to any other detriment.
It is also unlawful for an employer, in relation to employment by him, to subject to harassment –
a disabled person whom he employs; or
a disabled person who has applied to him for employment.
Subsection (2) does not apply to benefits of any description if the employer is concerned with the provision (whether or not for payment) of benefits of that description to the public, or to a section of the public which includes the employee in question, unless –
that provision differs in a material respect from the provision of the benefits by the employer to his employees;
the provision of the benefits to the employee in question is regulated by his contract of employment; or
the benefits relate to training.
The reference in subsection (2)(d) to the dismissal of a person includes a reference –
to the termination of that person’s employment by the expiration of any period (including a period expiring by reference to an event or circumstance), not being a termination immediately after which the employment is renewed on the same terms; and
to the termination of that person’s employment by any act of his (including the giving of notice) in circumstances such that he is entitled to terminate it without notice by reason of the conduct of the employer.
This section applies only in relation to employment at an establishment in Northern Ireland.
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A complaint by any person that another person— may be presented to an employment tribunal.
has discriminated against him in a way which is unlawful under this Part, or
is, by virtue of section 57 or 58, to be treated as having discriminated against him in such a way,
Where an employment tribunal finds that a complaint presented to it under this section is well-founded, it shall take such of the following steps as it considers just and equitable—
making a declaration as to the rights of the complainant and the respondent in relation to the matters to which the complaint relates;
ordering the respondent to pay compensation to the complainant;
recommending that the respondent take, within a specified period, action appearing to the tribunal to be reasonable, in all the circumstances of the case, for the purpose of obviating or reducing the adverse effect on the complainant of any matter to which the complaint relates.
Where a tribunal orders compensation under subsection (2)(b), the amount of the compensation shall be calculated by applying the principles applicable to the calculation of damages in claims in tort or (in Scotland) in reparation for breach of statutory duty.
For the avoidance of doubt it is hereby declared that compensation in respect of discrimination in a way which is unlawful under this Part may include compensation for injury to feelings whether or not it includes compensation under any other head.
If the respondent to a complaint fails, without reasonable justification, to comply with a recommendation made by an employment tribunal under subsection (2)(c) the tribunal may, if it thinks it just and equitable to do so—
increase the amount of compensation required to be paid to the complainant in respect of the complaint, where an order was made under subsection (2)(b); or
make an order under subsection (2)(b).
Regulations may make provision—
for enabling a tribunal, where an amount of compensation falls to be awarded under subsection (2)(b), to include in the award interest on that amount; and
specifying, for cases where a tribunal decides that an award is to include an amount in respect of interest, the manner in which and the periods and rate by reference to which the interest is to be determined.
Regulations may modify the operation of any order made under section 14 of the Employment Tribunals Act 1996 (power to make provision as to interest on sums payable in pursuance of employment tribunal decisions) to the extent that it relates to an award of compensation under subsection (2)(b).
Part I of Schedule 3 makes further provision about the enforcement of this Part and about procedure.
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A complaint by any person that another person— may be presented to an industrial tribunal.
has discriminated against him , or subjected him to harassment, in a way which is unlawful under this Part, or
is, by virtue of section 57 or 58, to be treated as having done so,
Subsection (1) does not apply to a complaint under section 14A(1) or (2) about an act in respect of which an appeal, or proceedings in the nature of an appeal, may be brought under any enactment.
Where, on the hearing of a complaint under subsection (1), the complainant proves facts from which the tribunal could, apart from this subsection, conclude in the absence of an adequate explanation that the respondent has acted in a way which is unlawful under this Part, the tribunal shall uphold the complaint unless the respondent proves that he did not so act.
Where an industrial tribunal finds that a complaint presented to it under this section is well-founded, it shall take such of the following steps as it considers just and equitable—
making a declaration as to the rights of the complainant and the respondent in relation to the matters to which the complaint relates;
ordering the respondent to pay compensation to the complainant;
recommending that the respondent take, within a specified period, action appearing to the tribunal to be reasonable, in all the circumstances of the case, for the purpose of obviating or reducing the adverse effect on the complainant of any matter to which the complaint relates.
Where a tribunal orders compensation under subsection (2)(b), the amount of the compensation shall be calculated by applying the principles applicable to the calculation of damages in claims in tort for breach of statutory duty.
For the avoidance of doubt it is hereby declared that compensation in respect of discrimination in a way which is unlawful under this Part may include compensation for injury to feelings whether or not it includes compensation under any other head.
If the respondent to a complaint fails, without reasonable justification, to comply with a recommendation made by an industrial tribunal under subsection (2)(c) the tribunal may, if it thinks it just and equitable to do so—
increase the amount of compensation required to be paid to the complainant in respect of the complaint, where an order was made under subsection (2)(b); or
make an order under subsection (2)(b).
Regulations may make provision—
for enabling a tribunal, where an amount of compensation falls to be awarded under subsection (2)(b), to include in the award interest on that amount; and
specifying, for cases where a tribunal decides that an award is to include an amount in respect of interest, the manner in which and the periods and rate by reference to which the interest is to be determined.
Regulations may modify the operation of any order made under Article 16 of the Industrial Tribunals (Northern Ireland) Order 1996 (power to make provision as to interest on sums payable in pursuance of industrial tribunal decisions) to the extent that it relates to an award of compensation under subsection (2)(b).
Part I of Schedule 3 makes further provision about the enforcement of this Part and about procedure.
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This section applies where—
a person to whom a duty to make reasonable adjustments applies(“the occupier”) occupies premises under a lease;
but for this section, the occupier would not be entitled to make a particular alteration to the premises; and
the alteration is one which the occupier proposes to make in order to comply with that duty.
Except to the extent to which it expressly so provides, the lease shall have effect by virtue of this subsection as if it provided—
for the occupier to be entitled to make the alteration with the written consent of the lessor;
for the occupier to have to make a written application to the lessor for consent if he wishes to make the alteration;
if such an application is made, for the lessor not to withhold his consent unreasonably; and
for the lessor to be entitled to make his consent subject to reasonable conditions.
Except to the extent to which it expressly so provides, any superior lease under which the premises are held shall have effect in relation to the lessor and lessee who are parties to that lease as if it provided—
for the lessee to have to make a written application to the lessor for consent to the alteration;
if such an application is made, for the lessor not to withhold his consent unreasonably; and
for the lessor to be entitled to make his consent subject to reasonable conditions.
In this section—
If the terms and conditions of a lease— the occupier is to be treated for the purposes of subsection (1) as not being entitled to make the alteration.
impose conditions which are to apply if the occupier alters the premises, or
entitle the lessor to impose conditions when consenting to the occupier’s altering the premises,
Part I of Schedule 4 supplements the provisions of this section.
In determining whether it is reasonable for a person to have to take a particular step in order to comply with a duty to make reasonable adjustments, regard shall be had, in particular, to—
the extent to which taking the step would prevent the effect in relation to which the duty is imposed;
the extent to which it is practicable for him to take the step;
the financial and other costs which would be incurred by him in taking the step and the extent to which taking it would disrupt any of his activities;
the extent of his financial and other resources;
the availability to him of financial or other assistance with respect to taking the step;
the nature of his activities and the size of his undertaking;
where the step would be taken in relation to a private household, the extent to which taking it would—
disrupt that household, or
disturb any person residing there.
The following are examples of steps which a person may need to take in relation to a disabled person in order to comply with a duty to make reasonable adjustments—
making adjustments to premises;
allocating some of the disabled person’s duties to another person;
transferring him to fill an existing vacancy;
altering his hours of working or training;
assigning him to a different place of work or training;
allowing him to be absent during working or training hours for rehabilitation, assessment or treatment;
giving, or arranging for, training or mentoring (whether for the disabled person or any other person);
acquiring or modifying equipment;
modifying instructions or reference manuals;
modifying procedures for testing or assessment;
providing a reader or interpreter;
providing supervision or other support.
For the purposes of a duty to make reasonable adjustments, where under any binding obligation a person is required to obtain the consent of another person to any alteration of the premises occupied by him—
it is always reasonable for him to have to take steps to obtain that consent; and
it is never reasonable for him to have to make that alteration before that consent is obtained.
The steps referred to in subsection (3)(a) shall not be taken to include an application to a court or tribunal.
In subsection (3), “binding obligation” means a legally binding obligation (not contained in a lease (within the meaning of section 18A(3)) in relation to the premises, whether arising from an agreement or otherwise.
A provision of this Part imposing a duty to make reasonable adjustments applies only for the purpose of determining whether a person has discriminated against a disabled person; and accordingly a breach of any such duty is not actionable as such.
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This Part does not apply in relation to the provision, otherwise than in the course of a Part 2 relationship, of premises by the regulated party to the other party.
For the purposes of subsection (1)—
“Part 2 relationship” means a relationship during the course of which an act of discrimination against, or harassment of, one party to the relationship by the other party to it is unlawful under sections 4 to 15C; and
in relation to a Part 2 relationship, “regulated party” means the party whose acts of discrimination, or harassment, are made unlawful by sections 4 to 15C.
It is unlawful for a provider of services to discriminate against a disabled person—
in refusing to provide, or deliberately not providing, to the disabled person any service which he provides, or is prepared to provide, to members of the public;
in failing to comply with any duty imposed on him by section 21 in circumstances in which the effect of that failure is to make it impossible or unreasonably difficult for the disabled person to make use of any such service;
in the standard of service which he provides to the disabled person or the manner in which he provides it to him; or
in the terms on which he provides a service to the disabled person.
For the purposes of this section and sections 20 to 21ZA—
the provision of services includes the provision of any goods or facilities;
a person is “a provider of services” if he is concerned with the provision, in the United Kingdom, of services to the public or to a section of the public; and
it is irrelevant whether a service is provided on payment or without payment.
The following are examples of services to which this section and sections 20 and 21 apply—
access to and use of any place which members of the public are permitted to enter;
access to and use of means of communication;
access to and use of information services;
accommodation in a hotel, boarding house or other similar establishment;
facilities by way of banking or insurance or for grants, loans, credit or finance;
facilities for entertainment, recreation or refreshment;
facilities provided by employment agencies or under sections 1 and 2 of the Employment and Training Act (Northern Ireland) 1950;
the services of any profession or trade, or any local or other public authority.
In the case of an act which constitutes discrimination by virtue of section 55, this section also applies to discrimination against a person who is not disabled.
Subsection (1) does not apply to anything that is governed by Regulation (EC) No. 1107/2006 of the European Parliament and of the Council of 5 July 2006 concerning the rights of disabled persons and persons with reduced mobility when travelling by air.
Regulations may provide for subsection (1) and section 21(1), (2) and (4) not to apply, or to apply only to a prescribed extent, in relation to a service of a prescribed description.
Nothing in this section or sections 20 to 21A applies to the provision of a service in relation to which discrimination is unlawful under Part III of the 2005 Order.
For the purposes of section 19, a provider of services discriminates against a disabled person if —
for a reason which relates to the disabled person's disability, he treats him less favourably than he treats or would treat others to whom that reason does not or would not apply; and
he cannot show that the treatment in question is justified.
For the purposes of section 19, a provider of services also discriminates against a disabled person if —
he fails to comply with a section 21 duty imposed on him in relation to the disabled person; and
he cannot show that his failure to comply with that duty is justified.
For the purposes of this section, treatment is justified only if—
in the opinion of the provider of services, one or more of the conditions mentioned in subsection (4) are satisfied; and
it is reasonable, in all the circumstances of the case, for him to hold that opinion.
The conditions are that—
in any case, the treatment is necessary in order not to endanger the health or safety of any person (which may include that of the disabled person);
in any case, the disabled person is incapable of entering into an enforceable agreement, or of giving an informed consent, and for that reason the treatment is reasonable in that case;
in a case falling within section 19(1)(a), the treatment is necessary because the provider of services would otherwise be unable to provide the service to members of the public;
in a case falling within section 19(1)(c) or (d), the treatment is necessary in order for the provider of services to be able to provide the service to the disabled person or to other members of the public;
in a case falling within section 19(1)(d), the difference in the terms on which the service is provided to the disabled person and those on which it is provided to other members of the public reflects the greater cost to the provider of services in providing the service to the disabled person.
Any increase in the cost of providing a service to a disabled person which results from compliance by a provider of services with a section 21 duty shall be disregarded for the purposes of subsection (4)(e).
Regulations may make provision, for purposes of this section, as to circumstances in which—
it is reasonable for a provider of services to hold the opinion mentioned in subsection (3)(a);
it is not reasonable for a provider of services to hold that opinion.
Regulations may make provision for subsection (4)(b) not to apply in prescribed circumstances where—
a person is acting for a disabled person under a power of attorney;
functions conferred by or under the Mental Capacity Act 2005 are exercisable in relation to a disabled person's property or affairs; or
powers are exercisable in relation to a disabled person’s property or affairs in consequence of the appointment, under the law of Scotland, of a guardian, tutor or judicial factor.
Regulations may make provision, for purposes of this section, as to circumstances (other than those mentioned in subsection (4)) in which treatment is to be taken to be justified.
In subsections (3), (4) and (8) “treatment” includes failure to comply with a section 21 duty.
Where a provider of services has a practice, policy or procedure which makes it impossible or unreasonably difficult for disabled persons to make use of a service which he provides, or is prepared to provide, to other members of the public, it is his duty to take such steps as it is reasonable, in all the circumstances of the case, for him to have to take in order to change that practice, policy or procedure so that it no longer has that effect.
Where a physical feature (for example, one arising from the design or construction of a building or the approach or access to premises) makes it impossible or unreasonably difficult for disabled persons to make use of such a service, it is the duty of the provider of that service to take such steps as it is reasonable, in all the circumstances of the case, for him to have to take in order to—
remove the feature;
alter it so that it no longer has that effect;
provide a reasonable means of avoiding the feature; or
provide a reasonable alternative method of making the service in question available to disabled persons.
Regulations may prescribe—
matters which are to be taken into account in determining whether any provision of a kind mentioned in subsection (2)(c) or (d) is reasonable; and
categories of providers of services to whom subsection (2) does not apply.
Where an auxiliary aid or service (for example, the provision of information on audio tape or of a sign language interpreter) would— it is the duty of the provider of that service to take such steps as it is reasonable, in all the circumstances of the case, for him to have to take in order to provide that auxiliary aid or service.
enable disabled persons to make use of a service which a provider of services provides, or is prepared to provide, to members of the public, or
facilitate the use by disabled persons of such a service,
Regulations may make provision, for the purposes of this section—
as to circumstances in which it is reasonable for a provider of services to have to take steps of a prescribed description;
as to circumstances in which it is not reasonable for a provider of services to have to take steps of a prescribed description;
as to what is to be included within the meaning of “practice, policy or procedure”;
as to what is not to be included within the meaning of that expression;
as to things which are to be treated as physical features;
as to things which are not to be treated as such features;
as to things which are to be treated as auxiliary aids or services;
as to things which are not to be treated as auxiliary aids or services.
Nothing in this section requires a provider of services to take any steps which would fundamentally alter the nature of the service in question or the nature of his trade, profession or business.
Nothing in this section requires a provider of services to take any steps which would cause him to incur expenditure exceeding the prescribed maximum.
Regulations under subsection (7) may provide for the prescribed maximum to be calculated by reference to—
aggregate amounts of expenditure incurred in relation to different cases;
prescribed periods;
services of a prescribed description;
premises of a prescribed description; or
such other criteria as may be prescribed.
Regulations may provide, for the purposes of subsection (7), for expenditure incurred by one provider of services to be treated as incurred by another.
This section imposes duties only for the purpose of determining whether a provider of services has discriminated against a disabled person; and accordingly a breach of any such duty is not actionable as such.
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In this Act , “employment services” means—
vocational guidance;
vocational training; or
services to assist a person to obtain or retain employment, or to establish himself as self-employed.
It is unlawful for a provider of employment services, in relation to such services, to subject to harassment a disabled person— and section 3B (meaning of “harassment”) applies for the purposes of this subsection as it applies for the purposes of Part II.
to whom he is providing such services, or
who has requested him to provide such services;
In their application to employment services, the preceding provisions of this Part have effect as follows.
Section 19 has effect as if—
after subsection (1)(a), there were inserted the following paragraph—
in subsection (1)(b), for “section 21” there were substituted “ subsection (2) or (4) of section 21 ”;
in subsection (2), for “sections 20 to 21ZA” there were substituted sections 20 to 21A.
Section 20 has effect as if—
after subsection (1), there were inserted the following subsection—
For the purposes of section 19, a provider of services also discriminates against a disabled person if he fails to comply with a duty imposed on him by subsection (1) of section 21 in relation to the disabled person.
in subsection (2)(a), for “a section 21 duty imposed” there were substituted “ a duty imposed by subsection (2) or (4) of section 21 ”;
after subsection (3), there were inserted the following subsection—
But treatment of a disabled person cannot be justified under subsection (3) if it amounts to direct discrimination falling within section 3A(5).
Section 21 has effect as if—
in subsection (1), for “makes it impossible or unreasonably difficult for disabled persons to make use of” there were substituted places disabled persons at a substantial disadvantage in comparison with persons who are not disabled in relation to the provision of;
after subsection (1), there were inserted the following subsection—
In subsection (1), “practice, policy or procedure” includes a provision or criterion.
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This section applies to any association of persons (however described, whether corporate or unincorporate, and whether or not its activities are carried on for profit) if—
it has twenty-five or more members;
admission to membership is regulated by its constitution and is so conducted that the members do not constitute a section of the public within the meaning of section 19(2); and
it is not an organisation to which section 13 applies.
It is unlawful for an association to which this section applies, in the case of a disabled person who is not a member of the association, to discriminate against him—
in the terms on which it is prepared to admit him to membership; or
by refusing or deliberately omitting to accept his application for membership.
It is unlawful for an association to which this section applies, in the case of a disabled person who is a member, or associate, of the association, to discriminate against him—
in the way it affords him access to a benefit, facility or service;
by refusing or deliberately omitting to afford him access to a benefit, facility or service;
in the case of a member—
by depriving him of membership, or
by varying the terms on which he is a member;
in the case of an associate—
by depriving him of his rights as an associate, or
by varying those rights; or
in either case, by subjecting him to any other detriment.
It is unlawful for an association to which this section applies to discriminate against a disabled person— in his capacity as a guest of the association.
in the way it affords him access to a benefit, facility or service,
by refusing or deliberately omitting to afford him access to a benefit, facility or service, or
by subjecting him to any other detriment,
It is unlawful for an association to which this section applies to discriminate against a disabled person—
in the terms on which it is prepared to invite him, or permit a member or associate to invite him, to be a guest of the association;
by refusing or deliberately omitting to invite him to be a guest of the association; or
by not permitting a member or associate to invite him to be a guest of the association.
It is unlawful for an association to which this section applies to discriminate against a disabled person in failing in prescribed circumstances to comply with a duty imposed on it under section 21H.
In the case of an act which constitutes discrimination by virtue of section 55, this section also applies to discrimination against a person who is not disabled.
For the purposes of section 21F, an association discriminates against a disabled person if—
for a reason which relates to the disabled person’s disability, the association treats him less favourably than it treats or would treat others to whom that reason does not or would not apply; and
it cannot show that the treatment in question is justified.
For the purposes of subsection (1), treatment is justified only if—
in the opinion of the association, one or more of the conditions mentioned in subsection (3) are satisfied; and
it is reasonable, in all the circumstances, for it to hold that opinion.
The conditions are that—
the treatment is necessary in order not to endanger the health or safety of any person (which may include that of the disabled person);
the disabled person is incapable of entering into an enforceable agreement, or giving an informed consent, and for that reason the treatment is reasonable in that case;
in a case falling within section 21F(2)(a), (3)(a), (c)(ii), (d)(ii) or (e), (4)(a) or (c) or (5)(a), the treatment is necessary in order for the association to be able to afford members, associates or guests of the association, or the disabled person, access to a benefit, facility or service;
in a case falling within section 21F(2)(b), (3)(b), (c)(i) or (d)(i), (4)(b) or (5)(b) or (c), the treatment is necessary because the association would otherwise be unable to afford members, associates or guests of the association access to a benefit, facility or service;
in a case falling within section 21F(2)(a), the difference between— reflects the greater cost to the association of affording the disabled person access to a benefit, facility or service;
the terms on which membership is offered to the disabled person, and
those on which it is offered to other persons,
in a case falling within section 21F(3)(a), (c)(ii) or (d)(ii) or (4)(a), the difference between— reflects the greater cost to the association of affording the disabled person access to a benefit, facility or service;
the association’s treatment of the disabled person, and
its treatment of other members or (as the case may be) other associates or other guests of the association,
in a case falling within section 21F(5)(a), the difference between— reflects the greater cost to the association of affording the disabled person access to a benefit, facility or service.
the terms on which the disabled person is invited, or permitted to be invited, to be a guest of the association, and
those on which other persons are invited, or permitted to be invited, to be guests of the association,
Any increase in the cost of affording a disabled person access to a benefit, facility or service which results from compliance with a duty under section 21H shall be disregarded for the purposes of subsection (3)(e), (f) and (g).
Regulations may—
make provision, for purposes of this section, as to circumstances in which it is, or as to circumstances in which it is not, reasonable for an association to hold the opinion mentioned in subsection (2)(a);
amend or omit a condition specified in subsection (3) or make provision for it not to apply in prescribed circumstances;
make provision as to circumstances (other than any for the time being mentioned in subsection (3)) in which treatment is to be taken to be justified for the purposes of subsection (1).
For the purposes of section 21F, an association also discriminates against a disabled person if—
it fails to comply with a duty under section 21H imposed on it in relation to the disabled person; and
it cannot show that its failure to comply with that duty is justified.
Regulations may make provision as to circumstances in which failure to comply with a duty under section 21H is to be taken to be justified for the purposes of subsection (6).
Regulations may make provision imposing on an association to which section 21F applies—
a duty to take steps for a purpose relating to a policy, practice or procedure of the association, or a physical feature, which adversely affects disabled persons who—
are, or might wish to become, members or associates of the association, or
are, or are likely to become, guests of the association;
a duty to take steps for the purpose of making an auxiliary aid or service available to any such disabled persons.
Regulations under subsection (1) may (in particular)—
make provision as to the cases in which a duty is imposed;
make provision as to the steps which a duty requires to be taken;
make provision as to the purpose for which a duty requires steps to be taken.
Any duty imposed under this section is imposed only for the purpose of determining whether an association has, for the purposes of section 21F, discriminated against a disabled person; and accordingly a breach of any such duty is not actionable as such.
For the purposes of sections 21F to 21H and this section—
a person is a member of an association to which section 21F applies if he belongs to it by virtue of his admission to any sort of membership provided for by its constitution (and is not merely a person with certain rights under its constitution by virtue of his membership of some other association), and references to membership of an association shall be construed accordingly;
a person is an associate of an association to which section 21F applies if, not being a member of it, he has under its constitution some or all of the rights enjoyed by members (or would have apart from any provision in its constitution authorising the refusal of those rights in particular cases).
References in sections 21F to 21H to a guest of an association include a person who is a guest of the association by virtue of an invitation issued by a member or associate of the association and permitted by the association.
Regulations may make provision, for purposes of sections 21F to 21H, as to circumstances in which a person is to be treated as being, or as to circumstances in which a person is to be treated as not being, a guest of an association.
It is unlawful for a person with power to dispose of any premises to discriminate against a disabled person—
in the terms on which he offers to dispose of those premises to the disabled person;
by refusing to dispose of those premises to the disabled person; or
in his treatment of the disabled person in relation to any list of persons in need of premises of that description.
Subsection (1) does not apply to a person who owns an estate or interest in the premises and wholly occupies them unless, for the purpose of disposing of the premises, he—
uses the services of an estate agent, or
publishes an advertisement or causes an advertisement to be published.
It is unlawful for a person managing any premises to discriminate against a disabled person occupying those premises—
in the way he permits the disabled person to make use of any benefits or facilities;
by refusing or deliberately omitting to permit the disabled person to make use of any benefits or facilities; or
by evicting the disabled person, or subjecting him to any other detriment.
Regulations may make provision, for purposes of subsection (3)—
as to who is to be treated as being, or as to who is to be treated as not being, a person who manages premises;
as to who is to be treated as being, or as to who is to be treated as not being, a person occupying premises.
It is unlawful for any person whose licence or consent is required for the disposal of any premises comprised in, or (in Scotland) the subject of, a tenancy to discriminate against a disabled person by withholding his licence or consent for the disposal of the premises to the disabled person.
Subsection (4) applies to tenancies created before as well as after the passing of this Act.
In this section—
In the case of an act which constitutes discrimination by virtue of section 55, this section also applies to discrimination against a person who is not disabled.
This section applies only in relation to premises in the United Kingdom.
(Repealed)
Where the conditions mentioned in subsection (2) are satisfied, subsection (1), (3) or (as the case may be) (4) of section 22 does not apply.
The conditions are that—
the relevant occupier resides, and intends to continue to reside, on the premises;
the relevant occupier shares accommodation on the premises with persons who reside on the premises and are not members of his household;
the shared accommodation is not storage accommodation or a means of access; and
the premises are small premises.
For the purposes of this section, premises are “small premises” if they fall within subsection (4) or (5).
Premises fall within this subsection if—
only the relevant occupier and members of his household reside in the accommodation occupied by him;
the premises comprise, in addition to the accommodation occupied by the relevant occupier, residential accommodation for at least one other household;
the residential accommodation for each other household is let, or available for letting, on a separate tenancy or similar agreement; and
there are not normally more than two such other households.
Premises fall within this subsection if there is not normally residential accommodation on the premises for more than six persons in addition to the relevant occupier and any members of his household.
For the purposes of this section “the relevant occupier” means—
in a case falling within section 22(1), the person with power to dispose of the premises, or a near relative of his;
in a case falling within section 22(3), the person managing the premises, or a near relative of his;
in a case falling within section 22(4), the person whose licence or consent is required for the disposal of the premises, or a near relative of his.
For the purposes of this section—
For the purposes of section 22 sections 22 and 22A, a person (“A”) discriminates against a disabled person if—
for a reason which relates to the disabled person’s disability, he treats him less favourably than he treats or would treat others to whom that reason does not or would not apply; and
he cannot show that the treatment in question is justified.
For the purposes of this section, treatment is justified only if—
in A’s opinion, one or more of the conditions mentioned in subsection (3) are satisfied; and
it is reasonable, in all the circumstances of the case, for him to hold that opinion.
The conditions are that—
in any case, the treatment is necessary in order not to endanger the health or safety of any person (which may include that of the disabled person);
in any case, the disabled person is incapable of entering into an enforceable agreement, or of giving an informed consent, and for that reason the treatment is reasonable in that case;
in a case falling within section 22(3)(a), the treatment is necessary in order for the disabled person or the occupiers of other premises forming part of the building to make use of the benefit or facility;
in a case falling within section 22(3)(b), the treatment is necessary in order for the occupiers of other premises forming part of the building to make use of the benefit or facility.
in a case to which subsection (3A) applies, the terms are less favourable in order to recover costs which—
as a result of the disabled person having a disability, are incurred in connection with the disposal of the premises, and
are not costs incurred in connection with taking steps to avoid liability under section 24G(1);
in a case to which subsection (3B) applies, the disabled person is subjected to the detriment in order to recover costs which—
as a result of the disabled person having a disability, are incurred in connection with the management of the premises, and
are not costs incurred in connection with taking steps to avoid liability under section 24A(1) or 24G(1).
This subsection applies to a case if—
the case falls within section 22(1)(a);
the premises are to let;
the person with power to dispose of the premises is a controller of them; and
the proposed disposal of the premises would involve the disabled person becoming a person to whom they are let.
This subsection applies to a case if—
the case falls within section 22(3)(c);
the detriment is not eviction;
the premises are let premises;
the person managing the premises is a controller of them; and
the disabled person is a person to whom the premises are let or, although not a person to whom they are let, is lawfully under the letting an occupier of them.
Section 24G(3) and (4) apply for the purposes of subsection (3A) as for those of section 24G; and section 24A(3) and (4) apply for the purposes of subsection (3B) as for those of section 24A.
Regulations may make provision, for purposes of this section, as to circumstances in which—
it is reasonable for a person to hold the opinion mentioned in subsection 2(a);
it is not reasonable for a person to hold that opinion.
Regulations may make provision for the condition specified in subsection (3)(b) not to apply in prescribed circumstances.
Regulations may make provision, for purposes of this section, as to circumstances (other than those mentioned in subsection (3)) in which treatment is to be taken to be justified.
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A claim by any person that another person— may be made the subject of civil proceedings in the same way as any other claim in tort . . . for breach of statutory duty.
has discriminated against him in a way which is unlawful under this Part; or
is by virtue of section 57 or 58 to be treated as having discriminated against him in such a way,
For the avoidance of doubt it is hereby declared that damages in respect of discrimination in a way which is unlawful under this Part may include compensation for injury to feelings whether or not they include compensation under any other head.
Proceedings in Northern Ireland shall be brought only in a county court.
(Repealed)
The remedies available in such proceedings are those which are available in the High Court . . . .
Part II of Schedule 3 makes further provision about the enforcement of this Part and about procedure.
Subsection (1) does not apply in relation to a claim by a person that another person—
has discriminated against him in relation to the provision under a group insurance arrangement of facilities by way of insurance; or
is by virtue of section 57 or 58 to be treated as having discriminated against him in relation to the provision under such an arrangement of such facilities.
Subsection (1) does not apply in relation to a claim by a person that another person—
has discriminated against him in relation to the provision of employment services; or
is by virtue of section 57 or 58 to be treated as having discriminated against him in relation to the provision of employment services.
A claim—
of the kind referred to in subsection (6A) or (7); or
by a person that another— may be presented as a complaint to an industrial tribunal.
has subjected him to harassment in a way which is unlawful under section 21A(2), or
is by virtue of section 57 or 58 to be treated as having subjected him to harassment in such a way,
Section 17A(1A) to (7) and paragraphs 3 and 4 of Schedule 3 apply in relation to a complaint under subsection (8) as if it were a complaint under section 17A(1) (and paragraphs 6 to 8 of Schedule 3 do not apply in relation to such a complaint).
Any term in a contract for the provision of goods, facilities or services or in any other agreement is void so far as it purports to—
require a person to do anything which would contravene any provision of, or made under, this Part,
exclude or limit the operation of any provision of this Part, or
prevent any person from making a claim under this Part.
Subsection (1) does not apply to—
any term in a contract for the provision of employment services;
any term in a contract which is a group insurance arrangement; or
a term which—
is in an agreement which is not a contract of either of those kinds, and
relates to the provision of employment services or the provision under a group insurance arrangement of facilities by way of insurance.
Paragraphs (b) and (c) of subsection (1) do not apply to an agreement settling a claim to which section 25 applies.
On the application of any person interested in an agreement to which subsection (1) applies, a county court or a sheriff court may make such order as it thinks just for modifying the agreement to take account of the effect of subsection (1).
No such order shall be made unless all persons affected have been—
given notice of the application; and
afforded an opportunity to make representations to the court.
Subsection (4) applies subject to any rules of court providing for that notice to be dispensed with.
An order under subsection (3) may include provision as respects any period before the making of the order.
This section applies where—
a provider of services , a public authority (within the meaning given by section 21B) or an association to which section 21F applies(“the occupier”) occupies premises under a lease;
but for this section, the occupier would not be entitled to make a particular alteration to the premises; and
the alteration is one which the occupier proposes to make in order to comply with a section 21 duty or a duty imposed under section 21E or 21H.
Except to the extent to which it expressly so provides, the lease shall have effect by virtue of this subsection as if it provided—
for the occupier to be entitled to make the alteration with the written consent of the lessor;
for the occupier to have to make a written application to the lessor for consent if he wishes to make the alteration;
if such an application is made, for the lessor not to withhold his consent unreasonably; and
for the lessor to be entitled to make his consent subject to reasonable conditions.
In this section—
If the terms and conditions of a lease— the occupier is to be treated for the purposes of subsection (1) as not being entitled to make the alteration.
impose conditions which are to apply if the occupier alters the premises, or
entitle the lessor to impose conditions when consenting to the occupier’s altering the premises,
Part II of Schedule 4 supplements the provisions of this section.
The Commission may make arrangements with any other person for the provision of conciliation services by, or by persons appointed by, that person in relation to disputes arising under this Part.
In deciding what arrangements (if any) to make, the Commission shall have regard to the desirability of securing, so far as reasonably practicable, that conciliation services are available for all disputes arising under this Part which the parties may wish to refer to conciliation.
No member or employee of the Commission may provide conciliation services in relation to disputes arising under this Part.
The Commission shall ensure that any arrangements under this section include appropriate safeguards to prevent the disclosure to members or employees of the Commission of information obtained by a person in connection with the provision of conciliation services in pursuance of the arrangements.
Subsection (4) does not apply to information relating to a dispute which is disclosed with the consent of the parties to that dispute.
Subsection (4) does not apply to information which—
is not identifiable with a particular dispute or a particular person; and
is reasonably required by the Commission for the purpose of monitoring the operation of the arrangements concerned.
Anything communicated to a person while providing conciliation services in pursuance of any arrangements under this section is not admissible in evidence in any proceedings except with the consent of the person who communicated it to that person.
In this section—
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The Department of the Environment may make regulations (“taxi accessibility regulations”) for the purpose of securing that it is possible—
for disabled persons—
to get into and out of taxis in safety;
to be carried in taxis in safety and in reasonable comfort; and
for disabled persons in wheelchairs—
to be conveyed in safety into and out of taxis while remaining in their wheelchairs; and
to be carried in taxis in safety and in reasonable comfort while remaining in their wheelchairs.
Taxi accessibility regulations may, in particular—
require any regulated taxi to conform with provisions of the regulations as to—
the size of any door opening which is for the use of passengers;
the floor area of the passenger compartment;
the amount of headroom in the passenger compartment;
the fitting of restraining devices designed to ensure the stability of a wheelchair while the taxi is moving;
require the driver of any regulated taxi which is plying for hire, or which has been hired, to comply with provisions of the regulations as to the carrying of ramps or other devices designed to facilitate the loading and unloading of wheelchairs;
require the driver of any regulated taxi in which a disabled person who is in a wheelchair is being carried (while remaining in his wheelchair) to comply with provisions of the regulations as to the position in which the wheelchair is to be secured.
The driver of a regulated taxi which is plying for hire, or which has been hired, is guilty of an offence if—
he fails to comply with any requirement imposed on him by the regulations; or
the taxi fails to conform with any provision of the regulations with which it is required to conform.
A person who is guilty of such an offence is liable, on summary conviction, to a fine not exceeding level 3 on the standard scale.
In this section—
In this section “a franchise agreement” means a contract entered into by the operator of a designated transport facility for the provision by the other party to the contract of hire car services—
for members of the public using any part of the transport facility; and
which involve vehicles entering any part of that facility.
The appropriate national authority may by regulations provide for the application of any taxi provision in relation to—
vehicles used for the provision of services under a franchise agreement; or
the drivers of such vehicles.
Any regulations under subsection (2) may apply any taxi provision with such modifications as the authority making the regulations considers appropriate.
In this section—
The Secretary of State may, for the purposes mentioned in section 2(2) of the European Communities Act 1972 (implementation of Community obligations etc. of the United Kingdom), exercise the powers conferred by this section on the Scottish Ministers.
The Department of the Environment shall not grant a public service vehicle licence under Article 61 of the Road Traffic (Northern Ireland) Order 1981 for a taxi unless the vehicle conforms with those provisions of the taxi accessibility regulations with which it will be required to conform if licensed
Subsection (1) does not apply if such a licence was in force with respect to the vehicle at any time during the period of 28 days immediately before the day on which the licence is granted.
The Department of the Environment may by order provide for subsection (2) to cease to have effect on such date as may be specified in the order
(Repealed)
This section imposes duties on the driver of a regulated taxi which has been hired—
by or for a disabled person who is in a wheelchair; or
by a person who wishes such a disabled person to accompany him in the vehicle.
This section also imposes duties on the driver of a designated vehicle other than a regulated taxi if—
the designated vehicle is being used to provide a local service (within the meaning of section 2 of the Transport Act 1985), and
a person falling within paragraph (a) or (b) of subsection (1) has indicated to the driver that he wishes to travel on the service.
In this section—
The duties are—
to carry the passenger while he remains in his wheelchair;
not to make any additional charge for doing so;
if the passenger chooses to sit in a passenger seat, to carry the wheelchair;
to take such steps as are necessary to ensure that the passenger is carried in safety and in reasonable comfort;
to give such assistance as may be reasonably required—
to enable the passenger to get into or out of the vehicle;
if the passenger wishes to remain in his wheelchair, to enable him to be conveyed into and out of the vehicle while in his wheelchair;
to load the passenger’s luggage into or out of the vehicle;
if the passenger does not wish to remain in his wheelchair, to load the wheelchair into or out of the vehicle.
Nothing in this section is to be taken to require the driver of any vehicle—
except in the case of a vehicle of a prescribed description, to carry more than one person in a wheelchair, or more than one wheelchair, on any one journey; or
to carry any person in circumstances in which it would otherwise be lawful for him to refuse to carry that person.
A driver of a regulated taxi or designated vehicle who fails to comply with any duty imposed on him by this section is guilty of an offence and liable, on summary conviction, to a fine not exceeding level 3 on the standard scale.
In any proceedings for an offence under this section, it is a defence for the accused to show that, even though at the time of the alleged offence the taxi conformed with those provisions of the taxi accessibility regulations with which it was required to conform, it would not have been possible for the wheelchair in question to be carried in safety in the vehicle.
in the case of a regulated taxi,
in the case of a designated vehicle, the vehicle conformed to the accessibility requirements which applied to it,
If the licensing authority is satisfied that it is appropriate to exempt a person from the duties imposed by this section— it shall issue him with a certificate of exemption.
on medical grounds, or
on the ground that his physical condition makes it impossible or unreasonably difficult for him to comply with the duties imposed on drivers by this section,
A certificate of exemption shall be issued for such period as may be specified in the certificate.
The driver of a regulated taxi is exempt from the duties imposed by this section if—
a certificate of exemption issued to him under this section is in force; and
the prescribed notice of his exemption is exhibited on the taxi in the prescribed manner.
The driver of a designated vehicle is exempt from the duties imposed by this section if—
a certificate of exemption issued to him under this section is in force; and
he is carrying the certificate on the vehicle.
The driver of a designated vehicle who is exempt under subsection (10) must show the certificate, on request, to a person falling within paragraph (a) or (b) of subsection (1).
In this section—
(Repealed)
This section imposes duties on the driver of a taxi which has been hired—
by or for a disabled person who is accompanied by his guide dog or hearing dog, or
by a person who wishes such a disabled person to accompany him in the taxi.
The disabled person is referred to in this section as “the passenger”.
The duties are—
to carry the passenger’s dog and allow it to remain with the passenger; and
not to make any additional charge for doing so.
A driver of a taxi who fails to comply with any duty imposed on him by this section is guilty of an offence and liable, on summary conviction, to a fine not exceeding level 3 on the standard scale.
If the licensing authority is satisfied that it is appropriate on medical grounds to exempt a person from the duties imposed by this section, it shall issue him with a certificate of exemption.
In determining whether to issue a certificate of exemption, the licensing authority shall, in particular, have regard to the physical characteristics of the taxi which the applicant drives or those of any kind of taxi in relation to which he requires the certificate.
A certificate of exemption shall be issued—
with respect to a specified taxi or a specified kind of taxi; and
for such period as may be specified in the certificate.
The driver of a taxi is exempt from the duties imposed by this section if—
a certificate of exemption issued to him under this section is in force with respect to the taxi; and
the prescribed notice of his exemption is exhibited on the taxi in the prescribed manner.
The Secretary of State may, for the purposes of this section, prescribe any other category of dog trained to assist a disabled person who has a disability of a prescribed kind.
This section applies in relation to any such prescribed category of dog as it applies in relation to guide dogs.
In this section—
It is an offence for the operator of a taxi to fail or refuse to accept a booking for a taxi—
if the booking is requested by or on behalf of a disabled person, or a person who wishes a disabled person to accompany him; and
the reason for the failure or refusal is that the disabled person will be accompanied by his assistance dog.
It is an offence for the operator of a taxi to make an additional charge for carrying an assistance dog which is accompanying a disabled person.
It is an offence for the driver of a taxi to fail or refuse to carry out a booking accepted by the operator of the vehicle—
if the booking was made by or on behalf of a disabled person, or a person who wishes a disabled person to accompany him; and
the reason for the failure or refusal is that the disabled person is accompanied by his assistance dog.
A person who is guilty of an offence under this section is liable on summary conviction to a fine not exceeding level 3 on the standard scale.
If the Department of the Environment is satisfied that it is appropriate on medical grounds to issue a certificate of exemption to a driver in respect of subsection (3) it must do so.
In determining whether to issue a certificate of exemption, the Department of the Environment shall, in particular, have regard to the physical characteristics of the taxi which the applicant drives or those of any kind of taxi in relation to which he requires the certificate.
A certificate of exemption shall be issued—
with respect to a specified taxi or a specified kind of taxi; and
for such period as may be specified in the certificate.
No offence is committed by a driver under subsection (3) if—
a certificate of exemption issued to him under this section is in force with respect to the taxi; and
the prescribed notice is exhibited on the taxi in the prescribed manner.
In this section—
Any person who is aggrieved by the refusal of the Department of the Environment to issue an exemption certificate under section 36, 37 or 37A may appeal to a magistrates' court , a court of summary jurisdictionor, in Scotland, the sheriff court before the end of the period of 28 days beginning with the date of the refusal.
On an appeal to it under subsection (1)this section, the court may direct the Department of the Environment to issue the appropriate certificate of exemption to have effect for such period as may be specified in the direction.
(Repealed)
Any person who is aggrieved by the decision of a licensing authority to include a vehicle on a list maintained under section 36A may appeal to a magistrates' court or, in Scotland, the sheriff court before the end of the period of 28 days beginning with the date of the inclusion.
In this section “licensing authority” has the meaning given by section 36A.
(Repealed)
The Secretary of State may make regulations (“PSV accessibility regulations”) for the purpose of securing that it is possible for disabled persons—
to get on to and off regulated public service vehicles in safety and without unreasonable difficulty (and, in the case of disabled persons in wheelchairs, to do so while remaining in their wheelchairs); and
to be carried in such vehicles in safety and in reasonable comfort.
PSV accessibility regulations may, in particular, make provision as to the construction, use and maintenance of regulated public service vehicles including provision as to—
the fitting of equipment to vehicles;
equipment to be carried by vehicles;
the design of equipment to be fitted to, or carried by, vehicles;
the fitting and use of restraining devices designed to ensure the stability of wheelchairs while vehicles are moving;
the position in which wheelchairs are to be secured while vehicles are moving.
Any person who— is guilty of an offence.
contravenes or fails to comply with any provision of the PSV accessibility regulations,
uses on a road a regulated public service vehicle which does not conform with any provision of the regulations with which it is required to conform, or
causes or permits to be used on a road such a regulated public service vehicle,
A person who is guilty of such an offence is liable, on summary conviction, to a fine not exceeding level 4 on the standard scale.
In this section—
Different provision may be made in regulations under this section—
as respects different classes or descriptions of vehicle;
as respects the same class or description of vehicle in different circumstances.
Before making any regulations under this section or section 41 or 42 the Secretary of State shall consult the Disabled Persons Transport Advisory Committee and such other representative organisations as he thinks fit.
A regulated public service vehicle shall not be used on a road unless—
a vehicle examiner has issued a certificate (an “accessibility certificate”) that such provisions of the PSV accessibility regulations as may be prescribed are satisfied in respect of the vehicle; or
an approval certificate has been issued under section 42 in respect of the vehicle.
The Secretary of State may make regulations—
with respect to applications for, and the issue of, accessibility certificates;
providing for the examination of vehicles in respect of which applications have been made;
with respect to the issue of copies of accessibility certificates in place of certificates which have been lost or destroyed.
If a regulated public service vehicle is used in contravention of this section, the operator of the vehicle is guilty of an offence and liable on summary conviction to a fine not exceeding level 4 on the standard scale.
In this section “operator” has the same meaning as in the Public Passenger Vehicles Act 1981.
Where the Secretary of State is satisfied that such provisions of the PSV accessibility regulations as may be prescribed for the purposes of section 41 are satisfied in respect of a particular vehicle he may approve the vehicle for the purposes of this section.
A vehicle which has been so approved is referred to in this section as a “type vehicle”.
Subsection (4) applies where a declaration in the prescribed form has been made by an authorised person that a particular vehicle conforms in design, construction and equipment with a type vehicle.
A vehicle examiner may, after examining (if he thinks fit) the vehicle to which the declaration applies, issue a certificate in the prescribed form (“an approval certificate”) that it conforms to the type vehicle.
The Secretary of State may make regulations—
with respect to applications for, and grants of, approval under subsection (1);
with respect to applications for, and the issue of, approval certificates;
providing for the examination of vehicles in respect of which applications have been made;
with respect to the issue of copies of approval certificates in place of certificates which have been lost or destroyed.
The Secretary of State may at any time withdraw his approval of a type vehicle.
Where an approval is withdrawn—
no further approval certificates shall be issued by reference to the type vehicle; but
any approval certificate issued by reference to the type vehicle before the withdrawal shall continue to have effect for the purposes of section 41.
In subsection (3) “authorised person” means a person authorised by the Secretary of State for the purposes of that subsection.
The Secretary of State may by order authorise the use on roads of— and nothing in section 40, 41 or 42 prevents the use of any vehicle in accordance with the order.
any regulated public service vehicle of a class or description specified by the order, or
any regulated public service vehicle which is so specified,
Any such authorisation may be given subject to such restrictions and conditions as may be specified by or under the order.
The Secretary of State may by order make provision for the purpose of securing that, subject to such restrictions and conditions as may be specified by or under the order, provisions of the PSV accessibility regulations apply to regulated public service vehicles of a description specified by the order subject to such modifications or exceptions as may be specified by the order.
Subsection (2) applies where—
the Secretary of State refuses an application for the approval of a vehicle under section 42(1); and
before the end of the prescribed period, the applicant asks the Secretary of State to review the decision and pays any fee fixed under section 45.
The Secretary of State shall—
review the decision; and
in doing so, consider any representations made to him in writing, before the end of the prescribed period, by the applicant.
A person applying for an accessibility certificate or an approval certificate may appeal to the Secretary of State against the refusal of a vehicle examiner to issue such a certificate.
An appeal must be made within the prescribed time and in the prescribed manner.
Regulations may make provision as to the procedure to be followed in connection with appeals.
On the determination of an appeal, the Secretary of State may—
confirm, vary or reverse the decision appealed against;
give such directions as he thinks fit to the vehicle examiner for giving effect to his decision.
Such fees, payable at such times, as may be prescribed may be charged by the Secretary of State in respect of—
applications for, and grants of, approval under section 42(1);
applications for, and the issue of, accessibility certificates and approval certificates;
copies of such certificates;
reviews and appeals under section 44.
Any such fees received by the Secretary of State shall be paid by him into the Consolidated Fund.
Regulations under subsection (1) may make provision for the repayment of fees, in whole or in part, in such circumstances as may be prescribed.
Before making any regulations under subsection (1) the Secretary of State shall consult such representative organisations as he thinks fit.
The Department of the Environment may make regulations (“rail vehicle accessibility regulations”) for the purpose of securing that it is possible—
for disabled persons—
to get on to and off regulated rail vehicles in safety and without unreasonable difficulty;
to be carried in such vehicles in safety and in reasonable comfort; and
for disabled persons in wheelchairs—
to get on to and off such vehicles in safety and without unreasonable difficulty while remaining in their wheelchairs, and
to be carried in such vehicles in safety and in reasonable comfort while remaining in their wheelchairs.
Rail vehicle accessibility regulations may, in particular, make provision as to the construction, use and maintenance of regulated rail vehicles including provision as to—
the fitting of equipment to vehicles;
equipment to be carried by vehicles;
the design of equipment to be fitted to, or carried by, vehicles;
the use of equipment fitted to, or carried by, vehicles;
the toilet facilities to be provided in vehicles;
the location and floor area of the wheelchair accommodation to be provided in vehicles;
assistance to be given to disabled persons.
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The Department for Regional Development shall exercise the power to make rail vehicle accessibility regulations so as to secure that on and after 1st January 2020 every rail vehicle is a regulated rail vehicle, but this does not affect the powers conferred by subsection (5) or section 47(1) or 67(2).
Different provision may be made in rail vehicle accessibility regulations—
as respects different classes or descriptions of rail vehicle;
as respects the same class or description of rail vehicle in different circumstances;
as respects different networks.
In this section—
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Before making any regulations under subsection (1) or section 47 the Department of the Environment shall consult such representative organisations as it thinks fit.
The Department for Regional Development may by order (an “exemption order”)—
authorise the use for carriage of a regulated rail vehicle even though the vehicle does not conform with the provisions of rail vehicle accessibility regulations with which it is required to conform;
authorise a regulated rail vehicle to be used for carriage otherwise than in conformity with the provisions of rail vehicle accessibility regulations with which use of the vehicle is required to conform.
Authority under subsection (1)(a) or (b) may be for—
any regulated rail vehicle that is specified or is of a specified description; or
use in specified circumstances of—
any regulated rail vehicle, or
any regulated rail vehicle that is specified or is of a specified description.
Regulations may make provision with respect to exemption orders including, in particular, provision as to—
the persons by whom applications for exemption orders may be made;
the form in which such applications are to be made;
information to be supplied in connection with such applications;
the period for which exemption orders are to continue in force;
the revocation of exemption orders.
After considering any application for an exemption order and consulting such persons as it considers appropriate, the Department of the Environment may—
make an exemption order in the terms of the application;
make an exemption order in such other terms as it considers appropriate;
refuse to make an exemption order.
An exemption order may be made subject to such restrictions and conditions as may be specified.
In this section “specified” means specified in an exemption order.
A regulated rail vehicle to which this subsection applies shall not be used for carriage unless a rail vehicle accessibility compliance certificate is in force for the vehicle.
Subsection (1) applies to a regulated rail vehicle if the vehicle—
is prescribed; or
is of a prescribed class or description.
A rail vehicle accessibility compliance certificate is a certificate that the Secretary of State is satisfied that the regulated rail vehicle conforms with those provisions of rail vehicle accessibility regulations with which the vehicle is required to conform.
A rail vehicle accessibility compliance certificate may provide that it is subject to conditions specified in the certificate.
Subsection (6) applies where—
the Secretary of State refuses an application for the issue of a rail vehicle accessibility compliance certificate for a regulated rail vehicle; and
before the end of the prescribed period, the applicant asks the Secretary of State to review the decision and pays any fee fixed under section 47C.
The Secretary of State shall—
review the decision; and
in doing so, consider any representations made to him in writing, before the end of the prescribed period, by the applicant.
Regulations may make provision with respect to rail vehicle accessibility compliance certificates.
The provision that may be made under subsection (1) includes (in particular)—
provision for certificates to be issued on application;
provision specifying conditions to which certificates are subject;
provision as to the period for which certificates are to continue in force or as to circumstances in which certificates are to cease to be in force;
provision (other than provision of a kind mentioned in paragraph (c)) dealing with failure to comply with a condition to which a certificate is subject;
provision for the withdrawal of certificates issued in error;
provision for the correction of errors in certificates;
provision with respect to the issue of copies of certificates in place of certificates which have been lost or destroyed;
provision for the examination of a rail vehicle before a certificate is issued in respect of it.
In making provision of the kind mentioned in subsection (2)(a), regulations under subsection (1) may (in particular)—
make provision as to the persons by whom applications may be made;
make provision as to the form in which applications are to be made;
make provision as to information to be supplied in connection with an application, including (in particular) provision requiring the supply of a report of a compliance assessment.
For the purposes of this section, a “compliance assessment” is an assessment of a rail vehicle against provisions of rail vehicle accessibility regulations with which the vehicle is required to conform.
In requiring a report of a compliance assessment to be supplied in connection with an application, regulations under subsection (1) may make provision as to the person who has to have carried out the assessment, and may (in particular) require that the assessment be one carried out by a person who has been appointed by the Secretary of State to carry out compliance assessments (an “appointed assessor”).
For the purposes of any provisions in regulations under subsection (1) with respect to the supply of reports of compliance assessments carried out by appointed assessors, regulations under that subsection—
may make provision about appointments of appointed assessors, including (in particular)—
provision for an appointment to be on application or otherwise than on application;
provision as to who may be appointed;
provision as to the form of applications for appointment;
provision as to information to be supplied with applications for appointment;
provision as to terms and conditions, or the period or termination, of an appointment; and
provision for terms and conditions of an appointment, including any as to its period or termination, to be as agreed by the Secretary of State when making the appointment;
may make provision authorising an appointed assessor to charge fees in connection with, or incidental to, its carrying-out of a compliance assessment, including (in particular)—
provision restricting the amount of a fee;
provision authorising fees that contain a profit element; and
provision for advance payment of fees;
may make provision requiring an appointed assessor to carry out a compliance assessment, and to do so in accordance with any procedures that may be prescribed, if prescribed conditions, which may include conditions as to the payment of fees to the assessor, are satisfied;
shall make provision for the referral to the Secretary of State of disputes between— relating to which provisions of rail vehicle accessibility regulations the vehicle is to be assessed against or to what amounts to conformity with any of those provisions.
an appointed assessor carrying out a compliance assessment, and
the person who requested the assessment,
In subsection (6)(b) to (d) “compliance assessment” includes pre-assessment activities (for example, a consideration of how the outcome of a compliance assessment would be affected by the carrying-out of particular proposed work).
Such fees, payable at such times, as may be prescribed may be charged by the Secretary of State in respect of—
applications for, and the issue of, rail vehicle accessibility compliance certificates;
copies of such certificates;
reviews under section 47A;
referrals of disputes under provision that, in accordance with section 47B(6)(d), is contained in regulations under section 47B(1).
Any such fees received by the Secretary of State shall be paid by him into the Consolidated Fund.
Regulations under subsection (1) may make provision for the repayment of fees, in whole or in part, in such circumstances as may be prescribed.
Before making any regulations under subsection (1) the Secretary of State shall consult such representative organisations as he thinks fit.
If a regulated rail vehicle to which section 47A(1) applies is used for carriage at a time when no rail vehicle accessibility compliance certificate is in force for the vehicle, the Secretary of State may require the operator of the vehicle to pay a penalty.
Where it appears to the Secretary of State that a regulated rail vehicle does not conform with a provision of rail vehicle accessibility regulations with which the vehicle is required to conform, the Secretary of State may give to the operator of the vehicle a notice—
identifying the vehicle, the provision and how the vehicle fails to conform with the provision; and
specifying the improvement deadline.
The improvement deadline specified in a notice under subsection (1) may not be earlier than the end of the prescribed period beginning with the day when the notice is given to the operator.
Subsection (4) applies where—
the Secretary of State has given a notice under subsection (1);
the improvement deadline specified in the notice has passed; and
it appears to the Secretary of State that the vehicle still does not conform with the provision identified in the notice.
The Secretary of State may give to the operator a further notice—
identifying the vehicle, the provision and how the vehicle fails to conform to the provision; and
specifying the final deadline.
The final deadline specified in a notice under subsection (4) may not be earlier than the end of the prescribed period beginning with the day when the notice is given to the operator.
If— the Secretary of State may require the operator to pay a penalty.
the Secretary of State has given a notice under subsection (4) to the operator of a regulated rail vehicle, and
the vehicle is used for carriage at a time after the final deadline when the vehicle does not conform with the provision identified in the notice,
Where it appears to the Secretary of State that a regulated rail vehicle has been used for carriage otherwise than in conformity with a provision of rail vehicle accessibility regulations with which use of the vehicle is required to conform, the Secretary of State may give to the operator of the vehicle a notice—
identifying the provision and how it was breached;
identifying which of the regulated rail vehicles operated by the operator is or are covered by the notice; and
specifying the improvement deadline.
The improvement deadline specified in a notice under subsection (1) may not be earlier than the end of the prescribed period beginning with the day when the notice is given to the operator.
Subsection (4) applies where—
the Secretary of State has given a notice under subsection (1);
the improvement deadline specified in the notice has passed; and
it appears to the Secretary of State that a vehicle covered by the notice has after that deadline been used for carriage otherwise than in conformity with the provision identified in the notice.
The Secretary of State may give to the operator a further notice—
identifying the provision and how it was breached;
identifying which of the regulated rail vehicles covered by the notice under subsection (1) is or are covered by the further notice; and
specifying the final deadline.
The final deadline specified in a notice under subsection (4) may not be earlier than the end of the prescribed period beginning with the day when the notice is given to the operator.
If— the Secretary of State may require the operator of the vehicle to pay a penalty.
the Secretary of State has given a notice under subsection (4), and
a vehicle covered by the notice is at a time after the final deadline used for carriage otherwise than in conformity with the provision identified in the notice,
For the purposes of subsection (1), a vehicle is operated by a person if that person is the operator of the vehicle.
Where the Secretary of State has reasonable grounds for suspecting that a regulated rail vehicle may not conform with provisions of rail vehicle accessibility regulations with which it is required to conform, a person authorised by the Secretary of State—
may inspect the vehicle for conformity with the provisions;
for the purpose of exercising his power under paragraph (a)—
may enter premises if he has reasonable grounds for suspecting the vehicle to be at those premises, and
may enter the vehicle; and
for the purpose of exercising his power under paragraph (a) or (b), may require any person to afford such facilities and assistance with respect to matters under that person’s control as are necessary to enable the power to be exercised.
Where the Secretary of State has given a notice under section 47E(1) or (4), a person authorised by the Secretary of State—
may inspect the vehicle concerned for conformity with the provision specified in the notice;
for the purpose of exercising his power under paragraph (a)—
may enter premises if he has reasonable grounds for suspecting the vehicle to be at those premises, and
may enter the vehicle; and
for the purpose of exercising his power under paragraph (a) or (b), may require any person to afford such facilities and assistance with respect to matters under that person’s control as are necessary to enable the power to be exercised.
A person exercising power under subsection (1) or (2) shall, if required to do so, produce evidence of his authority to exercise the power.
Where a person obstructs the exercise of power under subsection (1), the Secretary of State may, for purposes of section 47E(1) or 47F(1), draw such inferences from the obstruction as appear proper.
Where— the Secretary of State may treat section 47E(3)(c) as satisfied in the case concerned.
a person obstructs the exercise of power under subsection (2), and
the obstruction occurs before a notice under section 47E(4) is given in respect of the vehicle concerned,
Where a person obstructs the exercise of power under subsection (2) and the obstruction occurs— the Secretary of State may require the operator of the vehicle to pay a penalty.
after a notice under section 47E(4) has been given in respect of the vehicle concerned, and
as a result of the operator, or a person who acts on his behalf, behaving in a particular way with the intention of obstructing the exercise of the power,
In this section “inspect” includes test.
For the purposes of section 47E, the Secretary of State may give notice to a person requiring the person to supply the Secretary of State, by a time specified in the notice, with a vehicle number or other identifier for a rail vehicle—
of which that person is the operator; and
which is described in the notice.
The time specified in a notice given to a person under subsection (1) may not be earlier than the end of 14 days beginning with the day when the notice is given to the person.
If a person to whom a notice is given under subsection (1) does not comply with the notice by the time specified in the notice, the Secretary of State may require the person to pay a penalty.
Where the Secretary of State has given a notice to a person under section 47E(1) or (4) or 47F(1) or (4), the Secretary of State may request that person to supply the Secretary of State, by a time specified in the request, with a statement detailing the steps taken in response to the notice.
The time specified in a request under subsection (4) must—
if the request relates to a notice under section 47E(1) or 47F(1), be no earlier than the improvement deadline; and
if the request relates to a notice under section 47E(4) or 47F(4), be no earlier than the final deadline.
Where a request under subsection (4)— the Secretary of State may treat section 47E(3)(c) or (as the case may be) section 47F(3)(c) as being satisfied in the case concerned.
relates to a notice under section 47E(1) or 47F(1), and
is not complied with by the time specified in the request,
In this section “penalty” means a penalty under any of sections 47D to 47H.
The amount of a penalty—
must not exceed the maximum prescribed for the purposes of this subsection; and
must not exceed 10 per cent of the turnover of the person on whom it is imposed.
For the purposes of subsection (2)(b), a person’s turnover shall be determined in accordance with regulations.
A penalty must be paid to the Secretary of State before the end of the prescribed period.
Any sum payable to the Secretary of State as a penalty may be recovered by the Secretary of State as a debt due to him.
In proceedings under subsection (5) for enforcement of a penalty, no question may be raised as to—
liability to the imposition of the penalty; or
its amount.
Any sum paid to the Secretary of State as a penalty shall be paid by him into the Consolidated Fund.
The Secretary of State shall issue a code of practice specifying matters to be considered in determining the amount of a penalty.
The Secretary of State may from time to time revise the whole or any part of the code and issue the code as revised.
Before issuing the first or a revised version of the code, the Secretary of State shall lay a draft of that version before Parliament.
After laying the draft of a version of the code before Parliament, the Secretary of State may bring that version of the code into operation by order.
The Secretary of State shall have regard to the code (in addition to any other matters he thinks relevant)—
when imposing a penalty; and
when considering under section 47K(6) a notice of objection under section 47K(4).
In this section “penalty” means a penalty under any of sections 47D to 47H.
If the Secretary of State decides that a person is liable to a penalty, the Secretary of State must notify the person of the decision.
A notification under subsection (2) must—
state the Secretary of State’s reasons for deciding that the person is liable to the penalty;
state the amount of the penalty;
specify the date before which, and the manner in which, the penalty must be paid; and
include an explanation of the steps that the person may take if he objects to the penalty.
Where a person to whom a notification under subsection (2) is issued objects on the ground that— the person may give a notice of objection to the Secretary of State.
he is not liable to the imposition of a penalty, or
the amount of the penalty is too high,
A notice of objection must—
be in writing;
give the objector’s reasons; and
be given before the end of the prescribed period.
Where the Secretary of State receives a notice of objection to a penalty in accordance with this section, he shall consider it and—
cancel the penalty;
reduce the penalty; or
determine to do neither of those things.
Where the Secretary of State considers under subsection (6) a notice of objection under subsection (4), he shall—
inform the objector of his decision before the end of the prescribed period or such longer period as he may agree with the objector; and
if he reduces the penalty, notify the objector of the reduced amount.
A person may appeal to the court against a penalty imposed on him under any of sections 47D to 47H on the ground that—
he is not liable to the imposition of a penalty; or
the amount of the penalty is too high.
On an appeal under this section, the court may—
allow the appeal and cancel the penalty;
allow the appeal and reduce the penalty; or
dismiss the appeal.
An appeal under this section shall be a re-hearing of the Secretary of State’s decision to impose a penalty, and shall be determined having regard to—
any code of practice under section 47J which has effect at the time of the appeal; and
any other matters which the court thinks relevant (which may include matters of which the Secretary of State was unaware).
An appeal may be brought by a person under this section against a penalty whether or not—
he has given notice of objection under section 47K(4); or
the penalty has been reduced under section 47K(6).
A reference in this section to “the court” is a reference—
in England and Wales, to a county court; and
in Scotland, to the sheriff.
The sheriff may transfer proceedings under this section to the Court of Session.
Where the sheriff has made a determination under subsection (2), any party to the proceedings may appeal on a point of law, either to the Sheriff Principal or to the Court of Session, against that determination.
In sections 46 to 47H “operator”, in relation to any rail vehicle, means the person having the management of that vehicle.
For the purposes of those sections, a person uses a vehicle for carriage if he uses it for the carriage of passengers.
Where an exemption order under section 47 authorises use of a rail vehicle even though the vehicle does not conform with a provision of rail vehicle accessibility regulations, references in sections 47A to 47G to provisions of rail vehicle accessibility regulations with which the vehicle is required to conform do not, in the vehicle’s case, include that provision.
Where an offence under section 40 or 46 committed by a body corporate is committed with the consent or connivance of, or is attributable to any neglect on the part of, a director, manager, secretary or other similar officer of the body, or a person purporting to act in such a capacity, he as well as the body corporate is guilty of the offence.
In subsection (1) “director”, in relation to a body corporate whose affairs are managed by its members, means a member of the body corporate.
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In this section “relevant document” means—
a certificate of exemption issued under section section 36, 37 or 37A;
a notice of a kind mentioned in section 36(9)(b), 37(8)(b) or 37A(8)(b);
an accessibility certificate; or
an approval certificate.
A person is guilty of an offence if, with intent to deceive, he—
forges, alters or uses a relevant document;
lends a relevant document to any other person;
allows a relevant document to be used by any other person; or
makes or has in his possession any document which closely resembles a relevant document.
A person who is guilty of an offence under subsection (2) is liable—
on summary conviction, to a fine not exceeding the statutory maximum;
on conviction on indictment, to imprisonment for a term not exceeding two years or to a fine or to both.
A person who knowingly makes a false statement for the purpose of obtaining an accessibility certificate or an approval certificate is guilty of an offence and liable on summary conviction to a fine not exceeding level 4 on the standard scale.
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A failure on the part of any person to observe any provision of a code does not of itself make that person liable to any proceedings.
A code is admissible in evidence in any proceedings under this Act before an industrial tribunal, or a county court.
If any provision of a code appears to a tribunal or court to be relevant to any question arising in any proceedings under this Act, it shall be taken into account in determining that question.
In this section and section 52 “code” means a code issued by a Northern Ireland department under this section and includes a code which has been altered and re-issued.
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The Commission may prepare and issue codes of practice giving practical guidance on how to avoid acts which are unlawful under Part II or III of this Act or Part III of the 2005 Order, or on any other matter relating to the operation of any provision of Part II or III of this Act or Part III of the 2005 Order, to—
employers;
service providers;
public authorities within the meaning given by section 21B;
associations to which section 21F applies;
bodies which are responsible bodies for the purposes of Chapter I or II of Part III of the 2005 Order; or
other persons to whom the provisions of Part II or III of this Act or Part III of the 2005 Order apply.
The Commission may also prepare and issue codes of practice giving practical guidance to any persons on any other matter with a view to— in any field of activity regulated by any provision of Part II or III of this Act or Part III of the 2005 Order.
promoting the equalisation of opportunities for disabled persons and persons who have had a disability; or
encouraging good practice in the way such persons are treated,
Neither subsection (1) nor (1A) applies in relation to any duty imposed by or under Article 17 or 18 of the 2005 Order.
The Commission may prepare and issue codes of practice giving practical guidance to persons subject to duties under section 49A on how to perform those duties.
The Commission may prepare and issue codes of practice giving practical guidance to landlords and tenants as to—
circumstances in which a tenant requires the consent of his landlord for making a relevant improvement to a dwelling house;
circumstances in which it is unreasonable to withhold such consent;
the application of the improvement provisions in relation to relevant improvements to dwelling houses.
In subsection (1D) the improvement provisions are—
Article 42(e) of the Rent (Northern Ireland) Order 1978 (NI 20);
Article 34 of the Housing (Northern Ireland) Order 1983 (NI 15);
Article 49C.
The Commission shall, when requested to do so by the Office, prepare a code of practice dealing with the matters specified in the request.
In preparing a code of practice the Commission shall carry out such consultations as it considers appropriate (which shall include the publication for public consultation of proposals relating to the code).
The Commission may not issue a code of practice unless—
a draft of it has been submitted to and approved by the Office and laid by the Office before the Assembly; and
the statutory period has elapsed without the Assembly resolving not to approve the draft.
If the Office does not approve a draft code of practice submitted to it the Office shall give the Commission a written statement of its reasons.
A code of practice issued by the Commission—
shall come into effect on such day as the Office may by order appoint;
may be revised in whole or part, and re-issued, by the Commission; and
may be revoked by an order made by the Office at the request of the Commission.
Where the Commission proposes to revise a code of practice—
it shall comply with subsection (3) in relation to the revisions; and
the other provisions of this section apply to the revised code of practice as they apply to a new code of practice.
Failure to observe any provision of a code of practice does not of itself make a person liable to any proceedings, but any provision of a code which appears to a court or tribunal to be relevant to any question arising in any proceedings under Part II , III or VA , or any proceedings relating to a relevant improvement, or Part III of the 2005 Order shall be taken into account in determining that question.
In this section—
Subject to subsection (12), in relation to a code of practice giving practical guidance wholly or mainly as to— any reference in this section to the Office shall be read as a reference to the Department of Education.
any matter relating to the operation of any provision of Chapter I or III of Part III of the 2005 Order; or
any field of activity regulated by any such provision,
Subject to subsection (12), in relation to a code of practice giving practical guidance wholly or mainly as to— any reference in this section to the Office shall be read as a reference to the Department for the Economy.
any matter relating to the operation of any provision of Chapter II of Part III of the 2005 Order; or
any field of activity regulated by any such provision,
Practical guidance which but for this subsection would fall to be contained in separate codes of practice by virtue of subsections (10) and (11) may be contained in a single code of practice; and in relation to any such code of practice any reference in this section to the Office shall be read as a reference to the Department of Education and the Department for the Economy, acting jointly.
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A failure on the part of any person to observe any provision of a code does not of itself make that person liable to any proceedings.
A code is admissible in evidence in any proceedings under this Act before an industrial tribunal, or a county court.
If any provision of a code appears to a tribunal or court to be relevant to any question arising in any proceedings under this Act, it shall be taken into account in determining that question.
In this section and section 54 “code” means a code issued by the Department of Economic Development under this section and includes a code which has been revised and re-issued.
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or the purposes of Part II or Part III (other than sections 24A to 24L), a person (“A”) discriminates against another person (“B”) if—
he treats B less favourably than he treats or would treat other persons whose circumstances are the same as B’s; and
he does so for a reason mentioned in subsection (2).
The reasons are that—
B has—
brought proceedings against A or any other person under this Act or Part III of the 2005 Order ; or
given evidence or information in connection with such proceedings brought by any person; or
otherwise done anything under , or by reference to, this Act or Part III of the 2005 Order in relation to A or any other person; or
alleged that A or any other person has (whether or not the allegation so states) contravened this Act or Part III of the 2005 Order ; or
A believes or suspects that B has done or intends to do any of those things.
Where B is a disabled person, or a person who has had a disability, the disability in question shall be disregarded in comparing his circumstances with those of any other person for the purposes of subsection (1)(a).
For the purposes of Chapter I of Part III of the 2005 Order—
references in subsection (2) to B include references to—
a person who is, for the purposes of that Chapter, B's parent; and
a sibling of B; and
references in that subsection to this Act or Part III of the 2005 Order are, as respects a person mentioned in sub-paragraph (i) or (ii) of paragraph (a), to be read as references to that Chapter.
Subsection (1) does not apply to treatment of a person because of an allegation made by him if the allegation was false and not made in good faith.
In the case of an act which constitutes discrimination by virtue of this section, sections 4, 4B, 4D, 4G, 6A, 7A, 13, 14A, 14C , 15B and 16A also apply to discrimination against a person who is not disabled.
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For the purposes of this section—
a person who considers that he may have been— is referred to as “the person aggrieved”; and
discriminated against in contravention of Part II or III, or
subjected to harassment in contravention of Part II or section 21A(2),
a person against whom the person aggrieved may decide to institute, or has instituted, proceedings in respect of such discrimination or harassment is referred to as “the respondent”.
With a view to helping the person aggrieved decide whether to institute proceedings and, if he does so, to formulate and present his case in the most effective manner, the Office shall by order prescribe—
forms by which the person aggrieved may question the respondent on his reasons for doing any relevant act, or on any other matter which is or may be relevant; and
forms by which the respondent may if he so wishes reply to any questions.
Where the person aggrieved questions the respondent in accordance with forms prescribed by an order under subsection (2)—
the question, and any reply by the respondent (whether in accordance with such an order or not), shall be admissible as evidence in any proceedings under Part II or III;
if it appears to the court or tribunal in any such proceedings— it may draw any inference which it considers it just and equitable to draw, including an inference that the respondent committed an unlawful act.
that the respondent deliberately, and without reasonable excuse, omitted to reply within the period of eight weeks beginning with the day on which the question was served on him, or
that the respondent's reply is evasive or equivocal,
The Office may by order—
prescribe the period within which questions must be duly served in order to be admissible under subsection (3)(a); and
prescribe the manner in which a question, and any reply by the respondent, may be duly served.
County court rules may enable a court entertaining a claim under section 25 to determine, before the date fixed for the hearing of the claim, whether a question or reply is admissible under this section or not.
In proceedings in respect of a section 21B claim, subsection (3)(b) does not apply in relation to a failure to reply, or a particular reply, if the following conditions are met—
that at the time of doing any relevant act, the respondent was carrying out public investigator functions or was a public prosecutor; and
that the respondent reasonably believes that a reply or (as the case may be) a different reply would be likely to prejudice any criminal investigation, any decision to institute criminal proceedings or any criminal proceedings or would reveal the reasons behind a decision not to institute, or a decision not to continue, criminal proceedings.
The Office may by regulations provide for this section not to have effect, or to have effect with prescribed modifications, in relation to section 21B claims of a prescribed description.
This section is without prejudice to any other enactment or rule of law regulating interlocutory and preliminary matters in proceedings before a county court or industrial tribunal, and has effect subject to any enactment or rule of law regulating the admissibility of evidence in such proceedings.
In this section “section 21B claim” means a claim under section 25 by virtue of section 21B.
A person who knowingly aids another person to do an unlawful actact made unlawful by this Act is to be treated for the purposes of this Act as himself doing the same kind of unlawful act.
For the purposes of subsection (1), an employee or agent for whose act the employer or principal is liable under section 58 (or would be so liable but for section 58(5)) shall be taken to have aided the employer or principal to do the act.
For the purposes of this section, a person does not knowingly aid another to do an unlawful act if—
he acts in reliance on a statement made to him by that other person that, because of any provision of this Act, the act would not be unlawful; and
it is reasonable for him to rely on the statement.
A person who knowingly or recklessly makes such a statement which is false or misleading in a material respect is guilty of an offence.
Any person guilty of an offence under subsection (4) shall be liable on summary conviction to a fine not exceeding level 5 on the standard scale.
“Unlawful act” means an act made unlawful by any provision of this Act other than a provision contained in Chapter 1 of Part 4.
Anything done by a person in the course of his employment shall be treated for the purposes of this Act as also done by his employer, whether or not it was done with the employer’s knowledge or approval.
Anything done by a person as agent for another person with the authority of that other person shall be treated for the purposes of this Act as also done by that other person.
Subsection (2) applies whether the authority was—
express or implied; or
given before or after the act in question was done.
Subsections (1) and (2) do not apply in relation to an offence under section 57(4).
In proceedings under this Act against any person in respect of an act alleged to have been done by an employee of his, it shall be a defence for that person to prove that he took such steps as were reasonably practicable to prevent the employee from—
doing that act; or
doing, in the course of his employment, acts of that description.
Nothing in this Act makes unlawful any act done—
in pursuance of any enactment; or
in pursuance of any instrument made under any enactment by— or
a Minister of the Crown,
a member of the Scottish Executive, . . .
the National Assembly for Wales constituted by the Government of Wales Act 1998, or
the Welsh Ministers, the First Minister for Wales or the Counsel General to the Welsh Assembly Government.
to comply with any condition or requirement—
imposed by a Minister of the Crown (whether before or after the passing of this Act) by virtue of any enactment,
imposed by a member of the Scottish Executive (whether before or after the coming into force of this sub-paragraph) by virtue of any enactment, . . .
imposed by the National Assembly for Wales constituted by the Government of Wales Act 1998(whether before or after the coming into force of this sub-paragraph) by virtue of any enactment or
imposed by the Welsh Ministers, the First Minister for Wales or the Counsel General to the Welsh Assembly Government.
In subsection (1) “enactment” includes one passed or made after the date on which this Act is passed and “instrument” includes one made after that date.
Nothing in – makes unlawful any act done for the purpose of safeguarding national security if the doing of the act was justified by that purpose.
Part II, or
Part III to the extent that it relates to the provision of employment services,
Nothing in— makes unlawful any act done for the purpose of safeguarding national security if the doing of the act was justified by that purpose.
Part 2 of this Act, or
Part 3 of this Act to the extent that it relates to the provision of employment services,
Nothing in any other provision of this Act makes unlawful any act done for the purpose of safeguarding national security.
Rules of court may make provision for enabling a county court or sheriff court in which a claim is brought in respect of alleged discrimination contrary to this Act (including anything treated by virtue of this Act as amounting to discrimination contrary to this Act), where the court considers it expedient in the interests of national security—
to exclude from all or part of the proceedings—
the claimant;
the claimant's representatives;
any assessors;
to permit a claimant or representative who has been excluded to make a statement to the court before the commencement of the proceedings, or the part of the proceedings, from which he is excluded;
to take steps to keep secret all or part of the reasons for the court's decision in the proceedings.
The Attorney General or, in Scotland, the Advocate General for Scotland, may appoint a person to represent the interests of a claimant in, or in any part of, proceedings from which the claimant or his representatives are excluded by virtue of subsection (1).
A person may be appointed under subsection (2) only—
in relation to proceedings in England and Wales, if he has a general qualification (within the meaning of section 71 of the Courts and Legal Services Act 1990 (c. 41)), or
in relation to proceedings in Scotland, if he is—
an advocate, or
qualified to practice as a solicitor in Scotland.
A person appointed under subsection (2) shall not be responsible to the person whose interests he is appointed to represent.
The Secretary of State may appoint such persons as he thinks fit to advise or assist him in connection with matters relating to the employment of disabled persons and persons who have had a disability.
Persons may be appointed by the Secretary of State to act generally or in relation to a particular area or locality.
The Secretary of State may pay to any person appointed under this section such allowances and compensation for loss of earnings as he considers appropriate.
The approval of the Treasury is required for any payment under this section.
In subsection (1) “employment” includes self-employment.
The Secretary of State may by order—
provide for section 17 of, and Schedule 2 to, the Disabled Persons (Employment) Act 1944 (national advisory council and district advisory committees) to cease to have effect—
so far as concerns the national advisory council; or
so far as concerns district advisory committees; or
repeal that section and Schedule.
At any time before the coming into force of an order under paragraph (b) of subsection (6), section 17 of the Act of 1944 shall have effect as if in subsection (1), after “disabled persons” in each case there were inserted “, and persons who have had a disability,” and as if at the end of the section there were added—
For the purposes of this section—
a person is a disabled person if he is a disabled person for the purposes of the Disability Discrimination Act 1995; and
“disability” has the same meaning as in that Act.
At any time before the coming into force of an order under paragraph (a)(i) or (b) of subsection (6), section 16 of the Chronically Sick and Disabled Persons Act 1970 (which extends the functions of the national advisory council) shall have effect as if after “disabled persons” in each case there were inserted “ , and persons who have had a disability, ” and as if at the end of the section there were added—
For the purposes of this section—
a person is a disabled person if he is a disabled person for the purposes of the Disability Discrimination Act 1995; and
“disability” has the same meaning as in that Act.
Section 15 of the Disabled Persons (Employment) Act 1944 (which gives the Secretary of State power to make arrangements for the provision of supported employment) is amended as set out in subsections (2) to (5).
In subsection (1)—
for “persons registered as handicapped by disablement” substitute “ disabled persons ”;
for “their disablement” substitute “ their disability ”; and
for “are not subject to disablement” substitute “ do not have a disability ”.
In subsection (2), for the words from “any of one or more companies” to “so required and prohibited” substitute “ any company, association or body ”.
After subsection (2) insert—
The only kind of company which the Minister himself may form in exercising his powers under this section is a company which is—
required by its constitution to apply its profits, if any, or other income in promoting its objects; and
prohibited by its constitution from paying any dividend to its members.
After subsection (5) insert—
For the purposes of this section—
a person is a disabled person if he is a disabled person for the purposes of the Disability Discrimination Act 1995; and
“disability” has the same meaning as in that Act.
The provisions of section 16 (preference to be given under section 15 of that Act to ex-service men and women) shall become subsection (1) of that section and at the end insert—
For the purposes of subsection (1) of this section, a disabled person’s disability shall be treated as due to service of a particular kind only in such circumstances as may be prescribed.
The following provisions of the Act of 1944 shall cease to have effect—
section 1 (definition of “disabled person”);
sections 6 to 8 (the register of disabled persons);
sections 9 to 11 (obligations on employers with substantial staffs to employ a quota of registered persons);
section 12 (the designated employment scheme for persons registered as handicapped by disablement);
section 13 (interpretation of provisions repealed by this Act);
section 14 (records to be kept by employers);
section 19 (proceedings in relation to offences); and
section 21 (application as respects place of employment, and nationality).
Any provision of subordinate legislation in which “disabled person” is defined by reference to the Act of 1944 shall be construed as if that expression had the same meaning as in this Act.
Subsection (8) does not prevent the further amendment of any such provision by subordinate legislation.
(Repealed)
The following provisions bind the Crown— and sections 57 and 58 shall apply for purposes of provisions mentioned in paragraph (a) as if service as a Crown servant were employment by the Crown.
sections 21B to 21E and Part 5A, and
the other provisions of this Act so far as applying for the purposes of provisions mentioned in paragraph (a);
This Act , other than the provisions mentioned in paragraphs (a) and (b) of subsection (A1), applies— as it applies to an act done by a private person.
to an act done by or for purposes of a Minister of the Crown or government department, or
to an act done on behalf of the Crown by a statutory body, or a person holding a statutory office,
. . . Part II applies to service— as it applies to employment by a private person.
for purposes of a Minister of the Crown or government department, other than service of a person holding a statutory office, or
on behalf of the Crown for purposes of a person holding a statutory office or purposes of a statutory body,
Subsections (A1) to(2) have effect subject to section 64A and section 64B.
Subsections (A1) to(2) have effect subject to section 64A.
The provisions of Parts II to IV of the 1947 Act apply to proceedings against the Crown under this Act as they apply to Crown proceedings in England and Wales . . . .
The provisions of Part V of the 1947 Act apply to proceedings against the Crown under this Act as they apply to proceedings in Scotland which by virtue of that Part are treated as civil proceedings by or against the Crown; but the proviso to section 44 of that Act (removal of proceedings from the sheriff court to the Court of Session) does not apply.
(Repealed)
(Repealed)
. . . Part II does not apply to service in any of the naval, military or air forces of the Crown.
In this section— (Repealed)
(Repealed)
For the purposes of Part II, the holding of the office of constable otherwise than as a police officer shall be treated as employment –
by the chief officer of police as respects any act done by him in relation to that office or a holder of it;
by the police authority as respects any act done by it in relation to that office or the holder of it;
For the purposes of section 58 –
the holding of the office of constable otherwise than as a police officer shall be treated as employment by the chief officer of police (and as not being employment by any other person); and
anything done by a person holding such an office in the performance, or purported performance, of his functions shall be treated as done in the course of that employment.
There shall be paid out of the police fund –
any compensation, damages or costs awarded against a chief officer of police in any proceedings brought against him under Part II or III, and any costs incurred by him in any such proceedings so far as not recovered by him in the proceedings; and
any sum required by a chief officer of police for the settlement of any claim made against him under Part II if the settlement is approved by the police authority.
A police authority may, in such cases and to such extent as appear to it to be appropriate, pay out of the police fund –
any compensation, damages or costs awarded in proceedings under Part II or III against a person under the direction and control of the chief officer of police;
any costs incurred and not recovered by such a person in such proceedings; and
any sum required in connection with the settlement of a claim that has or might have given rise to such proceedings.
A police authority may make arrangements for the legal representation of any person under the direction and control of the chief officer of police in any proceedings mentioned in subsection (4).
Subject to subsection (8), in this section in relation to any body of constables—
“chief officer of police” means the person who has the direction and control of the body;
“police authority” means the authority by which the members of the body are paid; and
“police fund” means money provided by that authority.
Nothing in subsections (3) to (6) applies in relation to the police.
In relation to a constable of a force who is not under the direction and control of the chief officer of police for that force, references in this section to the chief officer of police are references to the chief officer of the force under whose direction and control he is, and references in this section to the police authority are references to the relevant police authority for that force.
(Repealed)
(Repealed)
Any power under this Act to make regulations or orders shall be exercisable by statutory rule for the purposes of the Statutory Rules (Northern Ireland) Order 1979.
Any such power may be exercised to make different provision for different cases, including different provision for different areas or localities.
Any such power, includes power—
to make such incidental, supplementary, consequential or transitional provision as appears to the Northern Ireland department exercising the power to be expedient; and
to provide for a person to exercise a discretion in dealing with any matter.
Where regulations under section 21D(7)(b) provide for the omission of section 21D(5), the provision that may be made by the regulations in exercise of the power conferred by subsection (3)(a) includes provision amending section 21D for the purpose of omitting references to section 21D(5).
The provision that may be made by regulations under section 21G(5)(b) in exercise of the power conferred by subsection (3)(a) includes provision amending or repealing section 21G(4).
Subsection (4A) applies to—
the first regulations to be made under section 21H(1);
regulations under section 47J(3);
regulations under section 67A(3);
regulations under paragraph 6A(2) of Schedule 1.
No regulations to which this subsection applies shall be made unless a draft of the regulations has been laid before, and approved by a resolution of, the Assembly.
An order under section 47(1), if made without a draft having been laid before and approved by a resolution of, the Assembly shall be subject to annulment in pursuance of a resolution of the Assembly; but the exercise of the discretion conferred by this subsection is subject to section 67A.
Any other order made under this Act, other than an order under section 3(9), 54A(6)(a) or 70(3), and any regulations made under this Act shall be subject to negative resolution within the meaning of section 41(6) of the Interpretation Act (Northern Ireland) 1954 as if they were statutory instruments within the meaning of that Act.
Section 41(3) of the Interpretation Act (Northern Ireland) 1954 shall apply in relation to any instrument or document which by virtue of this Act is required to be laid before the Assembly as if it were a statutory instrument or statutory document within the meaning of that Act.
Subsection (1) does not require an order under section 43 which applies only to a specified vehicle, or to vehicles of a specified person, to be made by statutory rule.
Nothing in section 40(6) or 46(5) affects the powers conferred by subsections (2) and (3).
(Repealed)
(Repealed)
In this Act—
In this Act “criminal investigation” means—
any investigation which a person in carrying out functions to which section 21B(1) applies has a duty to conduct with a view to it being ascertained whether a person should be charged with an offence, or whether a person charged with or prosecuted for an offence is guilty of it; or
any investigation which is conducted by a person in carrying out functions to which section 21B(1) applies and which in the circumstances may lead to a decision by that person to institute criminal proceedings which the person has power to conduct.
In this Act “public investigator functions” means functions of conducting criminal investigations or charging offenders.
In subsections (1A) and (1B)—
Employment (including employment on board a ship to which subsection (2B) applies or on an aircraft or hovercraft to which subsection (2C) applies) is to be regarded as being employment at an establishment in Northern Ireland if the employee –
does his work wholly or partly in Northern Ireland; or,
does his work wholly outside Northern Ireland and subsection (2A) applies.
This subsection applies if –
the employer has a place of business at an establishment in Northern Ireland;
the work is for the purposes of the business carried on at the establishment; and
the employee is ordinarily resident in Northern Ireland –
at the time when he applies for or is offered the employment, or
at any time during the course of the employment.
This subsection applies to a ship if –
it is registered at a port of registry in Northern Ireland; or
it belongs to or is possessed by Her Majesty in right of the Government of the United Kingdom.
This subsection applies to an aircraft or hovercraft if –
it is –
registered in the United Kingdom, and
operated by a person who has his principal place of business, or is ordinarily resident, in Northern Ireland; or
it belongs to or is possessed by Her Majesty in right of the Government of the United Kingdom.
The following are not to be regarded as being employment at an establishment in Northern Ireland –
employment on board a ship to which subsection (2B) does not apply;
employment on an aircraft or hovercraft to which subsection (2C) does not apply.
Employment of a prescribed kind, or in prescribed circumstances, is to be regarded as not being employment at an establishment in Northern Ireland.
(Repealed)
There shall be paid out of money provided by Parliament—
any expenditure incurred by a Minister of the Crown under this Act;
any increase attributable to this Act in the sums payable out of money so provided under or by virtue of any other enactment.
This Act may be cited as the Disability Discrimination Act 1995.
This section (apart from subsections (4), (5) and (7)) comes into force on the passing of this Act.
The following provisions of this Act— come into force 2 months after the passing of the Local Transport Act 2008.
section 36 so far as it applies to designated vehicles,
section 36A, and
section 38 (which has already been brought in force in England and Wales by an order under subsection (3)) so far as it extends to Scotland,
The other provisions of this Act come into force on such day as the Secretary of State may by order appoint and different days may be appointed for different purposes.
Schedule 6 makes consequential amendments.
The repeals set out in Schedule 7 shall have effect.
Sections 7A 7B and 49G extend to England and Wales only.
Sections 7C and 7D extend to Scotland only.
Subject to subsections (5A) and (5B), this Act extends to England and Wales, Scotland and Northern Ireland; but in their application to Northern Ireland the provisions of this Act mentioned in Schedule 8 shall have effect subject to the modifications set out in that Schedule.
In Part II of Schedule 1 to the House of Commons Disqualification Act 1975 and in Part II of Schedule 1 to the Northern Ireland Assembly Disqualification Act 1975 (bodies whose members are disqualified) in each case insert at the appropriate places—
Consultations which are required by any provision of this Act to be held by the Secretary of State may be held by him before the coming into force of that provision.
Section 1(1).
(Repealed)
Regulations may make provision, for the purposes of this Act—
for conditions of a prescribed description to be treated as amounting to impairments;
for conditions of a prescribed description to be treated as not amounting to impairments.
Regulations made under sub-paragraph (2) may make provision as to the meaning of “condition” for the purposes of those regulations.
The effect of an impairment is a long-term effect if—
it has lasted at least 12 months;
the period for which it lasts is likely to be at least 12 months; or
it is likely to last for the rest of the life of the person affected.
Where an impairment ceases to have a substantial adverse effect on a person’s ability to carry out normal day-to-day activities, it is to be treated as continuing to have that effect if that effect is likely to recur.
For the purposes of sub-paragraph (2), the likelihood of an effect recurring shall be disregarded in prescribed circumstances.
Regulations may prescribe circumstances in which, for the purposes of this Act—
an effect which would not otherwise be a long-term effect is to be treated as such an effect; or
an effect which would otherwise be a long-term effect is to be treated as not being such an effect.
An impairment which consists of a severe disfigurement is to be treated as having a substantial adverse effect on the ability of the person concerned to carry out normal day-to-day activities.
Regulations may provide that in prescribed circumstances a severe disfigurement is not to be treated as having that effect.
Regulations under sub-paragraph (2) may, in particular, make provision with respect to deliberately acquired disfigurements.
An impairment is to be taken to affect the ability of the person concerned to carry out normal day-to-day activities only if it affects one of the following—
mobility;
manual dexterity;
physical co-ordination;
continence;
ability to lift, carry or otherwise move everyday objects;
speech, hearing or eyesight;
memory or ability to concentrate, learn or understand; or
perception of the risk of physical danger.
taking part in normal social interaction; or
forming social relationships
Regulations may prescribe—
circumstances in which an impairment which does not have an effect falling within sub-paragraph (1) is to be taken to affect the ability of the person concerned to carry out normal day-to-day activities;
circumstances in which an impairment which has an effect falling within sub-paragraph (1) is to be taken not to affect the ability of the person concerned to carry out normal day-to-day activities.
Regulations may make provision for the purposes of this Act—
for an effect of a prescribed kind on the ability of a person to carry out normal day-to-day activities to be treated as a substantial adverse effect;
for an effect of a prescribed kind on the ability of a person to carry out normal day-to-day activities to be treated as not being a substantial adverse effect.
An impairment which would be likely to have a substantial adverse effect on the ability of the person concerned to carry out normal day-to-day activities, but for the fact that measures are being taken to treat or correct it, is to be treated as having that effect.
In sub-paragraph (1) “measures” includes, in particular, medical treatment and the use of a prosthesis or other aid.
Sub-paragraph (1) does not apply—
in relation to the impairment of a person’s sight, to the extent that the impairment is, in his case, correctable by spectacles or contact lenses or in such other ways as may be prescribed; or
in relation to such other impairments as may be prescribed, in such circumstances as may be prescribed.
Subject to sub-paragraph (2), a person who has cancer, HIV infection or multiple sclerosis is to be deemed to have a disability, and hence to be a disabled person.
Regulations may provide for sub-paragraph (1) not to apply in the case of a person who has cancer if he has cancer of a prescribed description.
A description of cancer prescribed under sub-paragraph (2) may (in particular) be framed by reference to consequences for a person of his having it.
Sub-paragraph (2) applies to any person whose name is, both on 12th January 1995 and on the date when this paragraph comes into force, in the register of disabled persons maintained under section 6 of the Disabled Persons (Employment) Act 1944.
That person is to be deemed—
during the initial period, to have a disability, and hence to be a disabled person; and
afterwards, to have had a disability and hence to have been a disabled person during that period.
A certificate of registration shall be conclusive evidence, in relation to the person with respect to whom it was issued, of the matters certified.
Unless the contrary is shown, any document purporting to be a certificate of registration shall be taken to be such a certificate and to have been validly issued.
Regulations may provide for prescribed descriptions of person to be deemed to have disabilities, and hence to be disabled persons, for the purposes of this Act.
The generality of sub-paragraph (5) shall not be taken to be prejudiced by the other provisions of this Schedule.
Regulations may prescribe circumstances in which a person who has been deemed to be a disabled person by the provisions of sub-paragraph (1) or regulations made under sub-paragraph (5) is to be treated as no longer being deemed to be such a person.
In this paragraph—
Where— he shall be taken to have an impairment which has such a substantial adverse effect if the condition is likely to result in his having such an impairment.
a person has a progressive condition (such as cancer, multiple sclerosis or muscular dystrophy or HIV infection),
as a result of that condition, he has an impairment which has (or had) an effect on his ability to carry out normal day-to-day activities, but
that effect is not (or was not) a substantial adverse effect,
Regulations may make provision, for the purposes of this paragraph—
for conditions of a prescribed description to be treated as being progressive;
for conditions of a prescribed description to be treated as not being progressive.
In this Schedule, “HIV infection” means infection by a virus capable of causing the Acquired Immune Deficiency Syndrome.
Section 2(2).
The modifications referred to in section 2 are as follows.
References in Parts II , III and VAand Part III of the 2005 Order to a disabled person are to be read as references to a person who has had a disability.
(Repealed)
(Repealed)
(Repealed)
In sections 4A(1), 4B(4), 4E(1), 4H(1), 6B(1), 7B(1), 14(1), 14B(1), 14D(1) , 15C(1) and 16A(4), section 21A(4)(a) (in the words to be read as section 19(1)(aa)) and section 21A(6)(a) (in the words to be substituted in section 21(1)), after “not disabled” (in each place it occurs) insert “ and who have not had a disability ”.
In sections 4A(3)(b), 4E(3)(b), 4H(3)(b), 6B(3)(b), 7B(3)(b), 14(3)(b), 14B(3)(b), 14D(3)(b) , 15C(3)(a) and 16A(6), for “has” (in each place it occurs) substitute “ has had ”.
(Repealed)
(Repealed)
(Repealed)
(Repealed)
(Repealed)
(Repealed)
(Repealed)
For paragraph 2(1) to (3) of Schedule 1, substitute—
The effect of an impairment is a long-term effect if it has lasted for at least 12 months.
Where an impairment ceases to have a substantial adverse effect on a person’s ability to carry out normal day-to-day activities, it is to be treated as continuing to have that effect if that effect recurs.
For the purposes of sub-paragraph (2), the recurrence of an effect shall be disregarded in prescribed circumstances.
References in Chapter I of Part III of the 2005 Order to a disabled pupil are to be read as references to a pupil who has had a disability.
References in Chapter II of Part III of the 2005 Order to a disabled student are to be read as references to a student who has had a disability.
In Article 15(3)(a) and (4) of the 2005 Order, after “disabled” insert “ or that he had had a disability ”.
In Article 16(1) of the 2005 Order, in sub-paragraphs (a) and (b), after “not disabled” insert “ and who have not had a disability ”.
In Article 29 of the 2005 Order in paragraph (3)(a), after “disabled” insert “ or that he had had a disability ”;
in paragraph (6)(a) of that Article, after “who do not have” insert “ and have not had ”; and
in paragraph (10) of that Article, for “that particular disability” substitute “ and who has not had that particular disability and ”.
In Articles 30(1)(c), (1A)(d), (1B)(c), (1C) and (1D) and 37(1)(d), 2(c) and (3) of the 2005 Order, after “not disabled” insert “ and who have not had a disability ”.
In Article 35(8) of the 2005 Order after “not having that particular disability” insert “ and who has not had that particular disability ”.
In Article 37(4)(b) of the 2005 Order for “has” substitute “ has had ”.
(Repealed)
Except as provided by Part 2, no civil or criminal proceedings may be brought against any person in respect of an act merely because the act is unlawful under that Part.
Sub-paragraph (1) does not prevent the making of an application for judicial review or the investigation or determination of any matter in accordance with Part 10 (investigations) of the Pension Schemes Act 1993 by the Pensions Ombudsman” or the investigation or determination of any matter in accordance with the Part X (investigations: the Pensions Ombudsman) of the Pension Schemes (Northern Ireland) Act 1993 by the Pensions Ombudsman.
Sub-paragraph (1) does not prevent the bringing of proceedings in respect of an offence under section 16B(2B).
An employment tribunal shall not consider a complaint under section 17A or 25(8) unless it is presented before the end of the period of three months beginning when the act complained of was done.
Article 249B of the Employment Rights (Northern Ireland) Order 1996 (extension of time limits to facilitate conciliation before institution of proceedings) applies for the purposes of sub-paragraph (1)(a).
Sub-paragraphs (1) and (1A) shall be treated as provisions of the Employment Rights (Northern Ireland) Order 1996 for the purposes of Article 249B of that Order.
A tribunal may consider any such complaint which is out of time if, in all the circumstances of the case, it considers that it is just and equitable to do so.
For the purposes of sub-paragraph (1)—
where an unlawful act . . . is attributable to a term in a contract, that act is to be treated as extending throughout the duration of the contract;
any act extending over a period shall be treated as done at the end of that period; and
a deliberate omission shall be treated as done when the person in question decided upon it.
In the absence of evidence establishing the contrary, a person shall be taken for the purposes of this paragraph to decide upon an omission—
when he does an act inconsistent with doing the omitted act; or
if he has done no such inconsistent act, when the period expires within which he might reasonably have been expected to do the omitted act if it was to be done.
In any proceedings under section 17A or 25(8), a certificate signed by or on behalf of a Minister of the Crown and certifying— shall be conclusive evidence of the matters certified.
that any conditions or requirements specified in the certificate were imposed by a Minister of the Crown and were in operation at a time or throughout a time so specified, . . .
(Repealed)
In any proceedings under section 17A or 25(8), a certificate signed by or on behalf of the Scottish Ministers and certifying that any conditions or requirements specified in the certificate— shall be conclusive evidence of the matters certified.
were imposed by a member of the Scottish Executive, and
were in operation at a time or throughout a time so specified,
In any proceedings under section 17A or 25(8), a certificate signed by or on behalf of the Welsh Ministers and certifying that any conditions or requirements specified in the certificate— shall be conclusive evidence of the matters certified.
were imposed by the National Assembly for Wales constituted by the Government of Wales Act 1998, the Welsh Ministers, the First Minister for Wales or the Counsel General to the Welsh Assembly Government, and
were in operation at a time or throughout a time so specified,
A document purporting to be such a certificate as is mentioned in sub-paragraph (1), (1A) or (1B) shall be received in evidence and, unless the contrary is proved, be deemed to be such a certificate.
Except as provided by section 25 no civil or criminal proceedings may be brought against any person in respect of an act merely because the act is unlawful under Part III.
Sub-paragraph (1) does not prevent the making of an application for judicial review.
A county court or a sheriff court shall not consider a claim under section 25 unless proceedings in respect of the claim are instituted before the end of the period of six months beginning when the act complained of was done.
Where, in relation to proceedings or prospective proceedings under section 25, the dispute concerned is referred for conciliation in pursuance of arrangements under section 27 of the Equality Act 2006 before the end of the period of six months mentioned in sub-paragraph (1), the period allowed by that sub-paragraph shall be extended by three months.
A court may consider any claim under section 25 which is out of time if, in all the circumstances of the case, it considers that it is just and equitable to do so.
For the purposes of sub-paragraph (1)—
where an unlawful act of discrimination is attributable to a term in a contract, that act is to be treated as extending throughout the duration of the contract;
any act extending over a period shall be treated as done at the end of that period; and
a deliberate omission shall be treated as done when the person in question decided upon it.
In the absence of evidence establishing the contrary, a person shall be taken for the purposes of this paragraph to decide upon an omission—
when he does an act inconsistent with doing the omitted act; or
if he has done no such inconsistent act, when the period expires within which he might reasonably have been expected to do the omitted act if it was to be done.
(Repealed)
(Repealed)
In any proceedings under section 25, the amount of any damages awarded as compensation for injury to feelings shall not exceed the prescribed amount.
In any proceedings under section 25, a certificate signed by or on behalf of a Minister of the Crown and certifying— shall be conclusive evidence of the matters certified.
that any conditions or requirements specified in the certificate were imposed by a Minister of the Crown and were in operation at a time or throughout a time so specified, or
that an act specified in the certificate was done for the purpose of safeguarding national security,
A document purporting to be such a certificate shall be received in evidence and, unless the contrary is proved, be deemed to be such a certificate.
In any proceedings under section 25, a certificate signed by or on behalf of the Scottish Ministers and certifying that any conditions or requirements specified in the certificate— shall be conclusive evidence of the matters certified.
were imposed by a member of the Scottish Executive, and
were in operation at a time or throughout a time so specified,
In any proceedings under section 25, a certificate signed by or on behalf of the Welsh Ministers and certifying that any conditions or requirements specified in the certificate— shall be conclusive evidence of the matters certified.
were imposed by the National Assembly for Wales constituted by the Government of Wales Act 1998, the Welsh Ministers, the First Minister for Wales or the Counsel General to the Welsh Assembly Government, and
were in operation at a time or throughout a time so specified,
A document purporting to be such a certificate as is mentioned in sub-paragraph (3) or (4) shall be received in evidence and, unless the contrary is proved, be deemed to be such a certificate.
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Section 17C
A term of a contract is void where –
the making of the contract is, by reason of the inclusion of the term, unlawful by virtue of this Part of this Act;
it is included in furtherance of an act which is unlawful by virtue of this Part of this Act; or
it provides for the doing of an act which is unlawful by virtue of this Part of this Act.
Sub-paragraph (1) does not apply to a term the inclusion of which constitutes, or is in furtherance of, or provides for, unlawful discrimination against, or harassment of, a party to the contract, but the term shall be unenforceable against that party.
A term in a contract which purports to exclude or limit any provision of this Part of this Act is unenforceable by any person in whose favour the term would operate apart from this paragraph.
Sub-paragraphs (1), (2) and (3) apply whether the contract was entered into before or after the date on which this Schedule comes into operation; but in the case of a contract made before that date, those sub-paragraphs do not apply in relation to any period before that date.
Paragraph 1(3) does not apply –
to a contract settling a complaint to which section 17A(1) or 25(8) applies where the contract is made with the assistance of the Agency; or
to a contract settling a complaint to which section 17A(1) or 25(8) applies if the conditions regulating compromise contracts under this Schedule are satisfied in relation to the contract.
The conditions regulating compromise contracts under this Schedule are that –
the contract must be in writing;
the contract must relate to the particular complaint;
the complainant must have received advice from a relevant independent adviser as to the terms and effect of the proposed contract and in particular its effect on his ability to pursue a complaint before an industrial tribunal;
there must be in force, when the adviser gives the advice, a contract of insurance, or an indemnity provided for members of a profession or professional body, covering the risk of a claim by the complainant in respect of loss arising in consequence of the advice;
the contract must identify the adviser; and
the contract must state that the conditions regulating compromise contracts under this Schedule are satisfied.
A person is a relevant independent adviser for the purposes of sub-paragraph (2)(c) –
if he is a qualified lawyer;
if he is an officer, official, employee or member of an independent trade union who has been certified in writing by the trade union as competent to give advice and as authorised to do so on behalf of the trade union; . . .
if he works at an advice centre (whether as an employee or a volunteer) and has been certified in writing by the centre as competent to give advice and as authorised to do so on behalf of the centre.; or
if he is a person of a description specified in an order made by the Office.
But a person is not a relevant independent adviser for the purposes of sub-paragraph (2)(c) in relation to the complainant –
if he is, is employed by or is acting in the matter for the other party or a person who is connected with the other party;
in the case of a person within sub-paragraph (3)(b) or (c), if the trade union or advice centre is the other party or a person who is connected with the other party; or
in the case of a person within sub-paragraph (3)(c), if the complainant makes a payment for the advice received from him.
In sub-paragraph (3)(a) “qualified lawyer” means a barrister (whether in practice as such or employed to give legal advice) or a solicitor who holds a practising certificate.
In sub-paragraph (3)(b) “independent trade union” has the same meaning as in the Industrial Relations (Northern Ireland) Order 1992 .
For the purposes of sub-paragraph (4)(a) any two persons are to be treated as connected –
if one is a company of which the other (directly or indirectly) has control; or
if both are companies of which a third person (directly or indirectly) has control.
An agreement under which the parties agree to submit a dispute to arbitration –
shall be regarded for the purposes of sub-paragraph (1)(a) and (b) as being a contract settling a complaint if –
the dispute is covered by a scheme having effect by virtue of an order under Article 84A of the Industrial Relations (Northern Ireland) Order 1992 , and
the agreement is to submit it to arbitration in accordance with the scheme; but
shall be regarded as neither being nor including such a contract in any other case.
On the application of a disabled person interested in a contract to which paragraph 1(1) or (2) applies, a county court may make such order as it thinks fit for – but such an order shall not be made unless all persons affected have been given notice in writing of the application (except where under county court rules notice may be dispensed with) and have been afforded an opportunity to make representations to the court.
removing or modifying any term rendered void by paragraph 1(1), or
removing or modifying any term made unenforceable by paragraph 1(2);
An order under sub-paragraph (1) may include provision as respects any period before the making of the order (but after the coming into operation of this Schedule).
This Part of this Schedule applies to –
any term of a collective agreement, including an agreement which was not intended, or is presumed not to have been intended, to be a legally enforceable contract;
any rule made by an employer for application to all or any of the persons who are employed by him or who apply to be, or are, considered by him for employment;
any rule made by a trade organisation (within the meaning of section 13) or a qualifications body (within the meaning of section 14A) for application to –
all or any of its members or prospective members; or
all or any of the persons on whom it has conferred authorisations or qualifications or who are seeking the authorisations or qualifications which it has power to confer.
Any term or rule to which this Part of this Schedule applies is void where –
the making of the collective agreement is, by reason of the inclusion of the term, unlawful by virtue of this Part of this Act;
the term or rule is included in furtherance of an act which is unlawful by virtue of this Part of this Act; or
the term or rule provides for the doing of an act which is unlawful by virtue of this Part of this Act.
Sub-paragraph (2) applies whether the agreement was entered into, or the rule made, before or after the date on which this Schedule comes into operation; but in the case of an agreement entered into, or a rule made, before the date on which this Schedule comes into operation, that sub-paragraph does not apply in relation to any period before that date.
A disabled person to whom this paragraph applies may present a complaint to an industrial tribunal that a term or rule is void by virtue of paragraph 4 if he has reason to believe –
that the term or rule may at some future time have effect in relation to him; and
where he alleges that it is void by virtue of paragraph 4(2)(c), that –
an act for the doing of which it provides, may at some such time be done in relation to him, and
the act would be unlawful by virtue of this Part of this Act if done in relation to him in present circumstances.
In the case of a complaint about – paragraph 5 applies to any disabled person who is, or is genuinely and actively seeking to become, one of his employees.
a term of a collective agreement made by or on behalf of –
an employer,
an organisation of employers of which an employer is a member, or
an association of such organisations of one of which an employer is a member, or
a rule made by an employer within the meaning of paragraph 4(1)(b),
In the case of a complaint about a rule made by an organisation or body to which paragraph 4(1)(c) applies, paragraph 5 applies to any disabled person –
who is, or is genuinely and actively seeking to become, a member of the organisation or body;
on whom the organisation or body has conferred an authorisation or qualification; or
who is genuinely and actively seeking an authorisation or qualification which the organisation or body has power to confer.
When an industrial tribunal finds that a complaint presented to it under paragraph 5 is well-founded the tribunal shall make an order declaring that the term or rule is void.
An order under sub-paragraph (1) may include provision as respects any period before the making of the order (but after the coming into operation of this Schedule).
The avoidance by virtue of paragraph 4(2) of any term or rule which provides for any person to be discriminated against shall be without prejudice to the following rights (except in so far as they enable any person to require another person to be treated less favourably than himself), namely – as are conferred by or in respect of a contract made or modified wholly or partly in pursuance of, or by reference to, that term or rule.
such of the rights of the person to be discriminated against, and
such of the rights of any person who will be treated more favourably in direct or indirect consequence of the discrimination,
In this Schedule “collective agreement” means any agreement relating to one or more of the matters mentioned in Article 96(1) of the Industrial Relations (Northern Ireland) Order 1992 (meaning of trade dispute), being an agreement made by or on behalf of one or more employers or one or more organisations of employers or associations of such organisations with one or more organisations of workers or associations of such organisations.
Any reference in this Schedule to this Part of this Act shall be taken to include a reference to Part III of this Act, to the extent that it relates to—
the provision of employment services; or
the provision under a group insurance arrangement of facilities by way of insurance.
Where a term to which section 26(1A)(c) applies is a term in an agreement which is not a contract, Part I of this Schedule shall have effect as if the agreement were a contract.
Section 17C
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Sections 18A(5) and 27(5) 31ADB.
If any question arises as to whether the occupier has failed to comply with any duty to make reasonable adjustments, by failing to make a particular alteration to the premises, any constraint attributable to the fact that he occupies the premises under a lease is to be ignored unless he has applied to the lessor in writing for consent to the making of the alteration.
In any proceedings on a complaint under section 17A, in a case to which section 18A applies, the complainant or the occupier may ask the tribunal hearing the complaint to direct that the lessor be joined or sisted as a party to the proceedings.
The request shall be granted if it is made before the hearing of the complaint begins.
The tribunal may refuse the request if it is made after the hearing of the complaint begins.
The request may not be granted if it is made after the tribunal has determined the complaint.
Where a lessor has been so joined or sisted as a party to the proceedings, the tribunal may determine—
whether the lessor has—
refused consent to the alteration, or
consented subject to one or more conditions, and
if so, whether the refusal or any of the conditions was unreasonable,
If, under sub-paragraph (5), the tribunal determines that the refusal or any of the conditions was unreasonable it may take one or more of the following steps—
make such declaration as it considers appropriate;
make an order authorising the occupier to make the alteration specified in the order;
order the lessor to pay compensation to the complainant.
An order under sub-paragraph (6)(b) may require the occupier to comply with conditions specified in the order.
Any step taken by the tribunal under sub-paragraph (6) may be in substitution for, or in addition to, any step taken by the tribunal under section 17A(2).
If the tribunal orders the lessor to pay compensation it may not make an order under section 17A(2) ordering the occupier to do so.
Regulations may make provision as to circumstances in which—
a lessor is to be taken, for the purposes of section 18A and this Part of this Schedule to have—
withheld his consent;
withheld his consent unreasonably;
acted reasonably in withholding his consent;
a condition subject to which a lessor has given his consent is to be taken to be reasonable;
a condition subject to which a lessor has given his consent is to be taken to be unreasonable.
The Secretary of State may by regulations make provision supplementing, or modifying, the provision made by section 18A or any provision made by or under this Part of this Schedule in relation to cases where the occupier occupies premises under a sub-lease or sub-tenancy.
If any question arises as to whether the occupier has failed to comply with the section 21 duty or the duty imposed under section 21E or 21H, by failing to make a particular alteration to premises, any constraint attributable to the fact that he occupies the premises under a lease is to be ignored unless he has applied to the lessor in writing for consent to the making of the alteration.
If the occupier has applied in writing to the lessor for consent to the alteration and— the occupier or a disabled person who has an interest in the proposed alteration to the premises being made, may refer the matter to a county court or, in Scotland, to the sheriff.
that consent has been refused, or
the lessor has made his consent subject to one or more conditions,
In the following provisions of this Schedule “court” includes “sheriff”.
On such a reference the court shall determine whether the lessor’s refusal was unreasonable or (as the case may be) whether the condition is, or any of the conditions are, unreasonable.
If the court determines— it may make such declaration as it considers appropriate or an order authorising the occupier to make the alteration specified in the order.
that the lessor’s refusal was unreasonable, or
that the condition is, or any of the conditions are, unreasonable,
An order under sub-paragraph (4) may require the occupier to comply with conditions specified in the order.
In any proceedings on a claim under section 25 in a case to which section 27 applies, other than a claim presented as a complaint under section 25(8), the plaintiff, the pursuer or the occupier concerned may ask the court to direct that the lessor be joined or sisted as a party to the proceedings.
The request shall be granted if it is made before the hearing of the claim begins.
The court may refuse the request if it is made after the hearing of the claim begins.
The request may not be granted if it is made after the court has determined the claim.
Where a lessor has been so joined or sisted as a party to the proceedings, the court may determine—
whether the lessor has—
refused consent to the alteration, or
consented subject to one or more conditions, and
if so, whether the refusal or any of the conditions was unreasonable.
If, under sub-paragraph (5), the court determines that the refusal or any of the conditions was unreasonable it may take one or more of the following steps—
make such declaration as it considers appropriate;
make an order authorising the occupier to make the alteration specified in the order;
order the lessor to pay compensation to the complainant.
An order under sub-paragraph (6)(b) may require the occupier to comply with conditions specified in the order.
If the court orders the lessor to pay compensation it may not order the occupier to do so.
(Repealed)
Regulations may make provision as to circumstances in which—
a lessor is to be taken, for the purposes of section 27 and this Part of this Schedule to have—
withheld his consent;
withheld his consent unreasonably;
acted reasonably in withholding his consent;
a condition subject to which a lessor has given his consent is to be taken to be reasonable;
a condition subject to which a lessor has given his consent is to be taken to be unreasonable.
The Secretary of State may by regulations make provision supplementing, or modifying, the provision made by section 27 or any provision made by or under this Part of this Schedule in relation to cases where the occupier occupies premises under a sub-lease or sub-tenancy.
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Section 28A
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Section 28R
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Section 28U
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Section 50(8).
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Section 70(4).
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Section 70(5).
Section 70(6).
In its application to Northern Ireland this Act shall have effect subject to the following modifications.
(Repealed)
In section 3 for subsections (4) to (12) substitute—
In preparing a draft of any guidance, the Department shall consult such persons as it considers appropriate.
Where the Department proposes to issue any guidance, the Department shall publish a draft of it, consider any representations that are made to the Department about the draft and, if the Department thinks it appropriate, modify its proposals in the light of any of those representations.
If the Department decides to proceed with any proposed guidance, the Department shall lay a draft of it before the Assembly.
If, within the statutory period, the Assembly resolves not to approve the draft, the Department shall take no further steps in relation to the proposed guidance.
If no such resolution is made within the statutory period, the Department shall issue the guidance in the form of its draft.
The guidance shall come into force on such date as the Department may by order appoint.
Subsection (7) does not prevent a new draft of the proposed guidance being laid before the Assembly.
The Department may—
from time to time revise the whole or any part of any guidance and re-issue it ;
by order revoke any guidance.
In this section—
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In section 19(3)(g) for “section 2 of the Employment and Training Act 1973” substitute “ sections 1 and 2 of the Employment and Training Act (Northern Ireland) 1950 ”.
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In section 20(7) for paragraphs (b) and (c) substitute
functions conferred by or under Part VIII of the Mental Health (Northern Ireland) Order 1986 are exercisable in relation to a disabled person’s property or affairs.
In section 22(4) and (6) omit “or (in Scotland) the subject of”.
In section 25(1) omit “or (in Scotland) in reparation”.
In section 25(3) for “England and Wales” substitute “ Northern Ireland ”.
Omit section 25(4).
In section 25(5) omit the words from“or” to the end.
In section 26(3) omit “or a sheriff court”.
(Repealed)
Omit sections 29, 30 and 31.
In section 32(1) for “Secretary of State” substitute “ Department of the Environment ”.
In section 32(5) for the definition of “taxi” substitute—
is licensed under Article 61 of the Road Traffic (Northern Ireland) Order 1981 to stand or ply for hire; and
seats not more than 8 passengers in addition to the driver
In section 33, for “Secretary of State”, wherever it occurs, substitute “ Department of the Environment ”.
For section 34 substitute—
The Department of the Environment shall not grant a public service vehicle licence under Article 61 of the Road Traffic (Northern Ireland) Order 1981 for a taxi unless the vehicle conforms with those provisions of the taxi accessibility regulations with which it will be required to conform if licensed.
Subsection (1) does not apply if such a licence was in force with respect to the vehicle at any time during the period of 28 days immediately before the day on which the licence is granted.
The Department of the Environment may by order provide for subsection (2) to cease to have effect on such date as may be specified in the order.
Omit section 35.
In section 36(7) for “licensing authority” substitute “ Department of the Environment ”.
In section 37(5) and (6) for “licensing authority” substitute “ Department of the Environment ”.
In section 37(9) for “Secretary of State” substitute “ Department of the Environment ”.
In section 37A(5) and (6) for “licensing authority” substitute “Department of the Environment”.
In section 37A(9) for the definitions of “driver”, “licensing authority”, “operator” and “private hire vehicle” substitute— “
In section 38(1) for “a licensing authority” substitute “ the Department of the Environment ”.
In section 38(2) for “licensing authority concerned” substitute “ Department of the Environment ”.
(Repealed)
Omit section 39.
In section 40 for “Secretary of State” wherever it occurs substitute “ Department of the Environment ”.
In section 40(5) for the definition of “public service vehicle” substitute—
seats more than 8 passengers in addition to the driver; and
is a public service vehicle for the purposes of the Road Traffic (Northern Ireland) Order 1981;
In section 40(7) for the words from “the Disabled” to the end substitute “ such representative organisations as it thinks fit ”.
In section 41(2) for “Secretary of State” substitute “ Department of the Environment ”.
In section 41 for subsections (3) and (4) substitute—
Any person who uses a regulated public service vehicle in contravention of this section is guilty of an offence and liable on summary conviction to a fine not exceeding level 4 on the standard scale.
In section 42 for “Secretary of State” wherever it occurs substitute “ Department of the Environment ”.
In section 42(1) for “he” substitute “ it ”.
In section 42(6) for “his” substitute “ its ”.
In section 43 for “Secretary of State” wherever it occurs substitute “ Department of the Environment ”.
In section 44 for “Secretary of State” wherever it occurs substitute “ Department of the Environment ”.
In section 44(2) for “him” substitute “ it ”.
In section 44(6) for “he” substitute “ it ” and for “his” substitute “ its ”.
In section 45 for “Secretary of State” wherever it occurs substitute “ Department of the Environment ”.
In section 45(2) for “him” substitute “ it ” and at the end add “ of Northern Ireland ”.
In section 45(4) for “he” substitute “ it ”.
In section 46 for “Secretary of State” wherever it occurs substitute “ Department of the Environment ”.
In section 46(6) in the definition of “rail vehicle” for the words “on any railway, tramway or prescribed system” substitute “ by rail ”.
Omit section 46(7).
In section 46(11) for the words from “the Disabled” to the end substitute “ such representative organisations as it thinks fit ”.
In section 47 for “Secretary of State” wherever it occurs substitute “ Department of the Environment ”.
In section 47(3) for the words “the Disabled Persons Transport Advisory Committee and such other persons as he” substitute “ such persons as it ” and for “he” substitute “ it ”.
Omit section 48(3).
(Repealed)
(Repealed)
(Repealed)
In section 51(4) for “a county court or a sheriff court” substitute “ or a county court ”.
In section 51(6) for “the Secretary of State” substitute “ a Northern Ireland department ”.
For section 52 substitute—
In this section—
In preparing any proposal, the Equality Commission for Northern Ireland shall consult—
such persons (if any) as the responsible department has specified in making its request to the Equality Commission for Northern Ireland; and
such other persons (if any) as the Equality Commission for Northern Ireland considers appropriate.
Before making any proposal the Equality Commission for Northern Ireland shall publish a draft, consider any representations made to it about the draft and, if it thinks it appropriate, modify its proposal in the light of any of those representations.
Where the Equality Commission for Northern Ireland makes any proposal, the responsible department may—
approve it;
approve it subject to such modifications as that department thinks appropriate; or
refuse to approve it.
Where the responsible department approves any proposal (with or without modifications) that department shall prepare a draft of the proposed code and lay it before the Assembly.
If, within the statutory period, the Assembly resolves not to approve the draft, the responsible department shall take no further steps in relation to the proposed code.
If no such resolution is made within the statutory period, the responsible department shall issue the code in the form of its draft.
The code shall come into force on such date as the responsible department may appoint by order.
Subsection (6) does not prevent a new draft of the proposed code from being laid before the Assembly.
If the responsible department refuses to approve a proposal, that department shall give the Equality Commission for Northern Ireland a written statement of the department’s reasons for not approving it.
The responsible department may by order revoke a code.
In section 53 for “Secretary of State” wherever it occurs substitute “ Department of Economic Development ”.
In section 53(1) for “he” substitute “it”.
In section 53(5) for “a county court or a sheriff court” substitute “ or a county court ”.
For section 54 substitute—
In preparing a draft of any code under section 53, the Department shall consult such organisations representing the interests of employers or of disabled persons in, or seeking, employment as the Department considers appropriate.
Where the Department proposes to issue a code, the Department shall publish a draft of the code, consider any representations that are made to the Department about the draft and, if the Department thinks it appropriate, modify its proposals in the light of any of those representations.
If the Department decides to proceed with the code, the Department shall lay a draft of it before the Assembly.
If, within the statutory period, the Assembly resolves not to approve the draft, the Department shall take no further steps in relation to the proposed code.
If no such resolution is made within the statutory period, the Department shall issue the code in the form of its draft.
The code shall come into force on such date as the Department may appoint by order.
Subsection (4) does not prevent a new draft of the proposed code from being laid before the Assembly.
The Department may by order revoke a code.
In this section—
In section 56(2) and (4) for “Secretary of State” substitute “ Department of Economic Development ”.
In section 59(1) after “Crown” where it twice occurs insert “ or a Northern Ireland department ”.
In section 60(1) to (3) for “Secretary of State” wherever it occurs substitute “ Department of Economic Development ” and for “he” and “him” wherever they occur substitute “ it ”.
In section 60(4) for “Treasury” substitute “ Department of Finance and Personnel in Northern Ireland ”.
For section 60(6) substitute—
The Department of Economic Development may by order repeal section 17 of, and Schedule 2 to, the Disabled Persons (Employment) Act (Northern Ireland) 1945 (district advisory committees).
In section 60(7) omit “paragraph (b) of”, for “1944” substitute “ 1945 ”and omit “in each case”.
In section 60, omit subsection (8).
For section 61 substitute—
Section 15 of the Disabled Persons (Employment) Act (Northern Ireland) 1945 (which gives the Department of Economic Development power to make arrangements for the provision of supported employment) is amended as set out in subsections (2) to (5).
In subsection (1)—
for “persons registered as handicapped by disablement” substitute “ disabled persons ”;
for “their disablement” substitute “ their disability ”; and
for “are not subject to disablement” substitute “ do not have a disability ”.
In subsection (2) for the words from “any of one or more companies” to “so required and prohibited” substitute “ any company, association or body ”.
After subsection (2) insert—
The only kind of company which the Department itself may form in exercising its powers under this section is a company which is—
required by its constitution to apply its profits, if any, or other income in promoting its objects; and
prohibited by its constitution from paying any dividend to its members.
After subsection (5) insert—
For the purposes of this section—
a person is a disabled person if he is a disabled person for the purposes of the Disability Discrimination Act 1995; and
“disability” has the same meaning as in that Act.
The provisions of section 16 of the Act of 1945 (preference to be given under section 15 of that Act to ex-service men and women) shall become subsection (1) of that section and at the end insert—
or the purposes of subsection (1) of this section, a disabled person’s disability shall be treated as due to service of a particular kind only in such circumstances as may be prescribed.
The following provisions of the Act of 1945 shall cease to have effect—
section 1 (definition of “disabled person”);
sections 2 to 4 (training for disabled persons);
sections 6 to 8 (the register of disabled persons);
sections 9 to 11 (obligations on employers with substantial staffs to employ quota of registered persons);
section 12 (the designated employment scheme for persons registered as handicapped by disablement);
section 13 (interpretation of provisions repealed by this Act);
section 14 (records to be kept by employer);
section 19 (proceedings in relation to offences);
sections 21 and 22 (supplementary).
Any statutory provision in which “disabled person” is defined by reference to the Act of 1945 shall be construed as if that expression had the same meaning as in this Act.
In section 62(2) for “Secretary of State” substitute “ Department of Economic Development ”.
In section 62(7) for “Great Britain” where it twice occurs substitute “ Northern Ireland ”.
Omit section 63.
In section 64(3) for “England and Wales” substitute “ Northern Ireland ”.
Omit section 64(4).
(Repealed)
In section 64(8)—
omit the definitions of “British Transport Police”, “Royal Parks Constabulary” and “United Kingdom Atomic Energy Authority Constabulary”;
in the definition of “the 1947 Act” at the end add “ as it applies both in relation to the Crown in right of Her Majesty’s Government in Northern Ireland and in relation to the Crown in right of Her Majesty’s Government in the United Kingdom ”;
(Repealed)
(Repealed)
in the definition of “service for purposes of a Minister of the Crown or government department” at the end add “ or service as the head of a Northern Ireland department ”.
Omit section 65.
For section 67 substitute—
Any power under this Act to make regulations or orders shall be exercisable by statutory rule for the purposes of the Statutory Rules (Northern Ireland) Order 1979.
Any such power may be exercised to make different provision for different cases, including different provision for different areas or localities.
Any such power, includes power—
to make such incidental, supplementary, consequential or transitional provision as appears to the Northern Ireland department exercising the power to be expedient; and
to provide for a person to exercise a discretion in dealing with any matter.
(Repealed)
Any other order made under this Act, other than an order under section 3(9), 54A(6)(a) or 70(3), and any regulations made under this Act shall be subject to negative resolution within the meaning of section 41(6) of the Interpretation Act (Northern Ireland) 1954 as if they were statutory instruments within the meaning of that Act.
Section 41(3) of the Interpretation Act (Northern Ireland) 1954 shall apply in relation to any instrument or document which by virtue of this Act is required to be laid before the Assembly as if it were a statutory instrument or statutory document within the meaning of that Act.
Subsection (1) does not require an order under section 43 which applies only to a specified vehicle, or to vehicles of a specified person, to be made by statutory rule.
Nothing in section 40(6) or 46(5) affects the powers conferred by subsections (2) and (3).
For section 68(1) substitute—
In this Act—
In section 68—
for subsection (2) substitute— “
Where an employee does his work wholly outside Northern Ireland, his employment is not to be treated as being work at an establishment in Northern Ireland. ”; and
in subsections (3) and (4) for “Great Britain” wherever it occurs substitute “Northern Ireland”.
In section 70(3) for “Secretary of State” substitute “ Department of Health and Social Services ”.
In section 70(8) for “the Secretary of State” substitute “ a Northern Ireland department ” and for “him” substitute “ it ”.
In Schedule 1 in paragraph 7(1) for “Act 1944” substitute “ Act (Northern Ireland) 1945 ”.
In Schedule 1 in paragraph 7(7) for “1944” substitute “ 1945 ”.
In Schedule 3 in paragraph 1—
for “a conciliation officer” wherever it occurs substitute “ the Agency ”;
in sub-paragraphs (1) and (4) for “he” substitute “ it ”;
in sub-paragraph (3) for “the conciliation officer” substitute “ the Agency ”.
In Schedule 3 for paragraph 4(1) substitute—
In any proceedings under section 8— shall be conclusive evidence of the matters certified.
a certificate signed by or on behalf of a Minister of the Crown or a Northern Ireland department and certifying that any conditions or requirements specified in the certificate were imposed by that Minister or that department (as the case may be) and were in operation at a time or throughout a time so specified; or
a certificate signed by or on behalf of the Secretary of State and certifying that an act specified in the certificate was done for the purpose of safeguarding national security,
In Schedule 3 in paragraph 6(1) omit “or a sheriff court”.
In Schedule 3 for paragraph 8(1) substitute—
In any proceedings under section 25— shall be conclusive evidence of the matters certified.
a certificate signed by or on behalf of a Minister of the Crown or a Northern Ireland department and certifying that any conditions or requirements specified in the certificate were imposed by that Minister or that department (as the case may be) and were in operation at a time or throughout a time so specified; or
a certificate signed by or on behalf of the Secretary of State and certifying that an act specified in the certificate was done for the purpose of safeguarding national security,
In Schedule 4 in paragraphs 2(1) and (5) and 7(1) and (5) omit “or sisted”.
In Schedule 4 in paragraph 4 for “Secretary of State” substitute “ Department of Economic Development ”.
In Schedule 4 in paragraph 6(1) omit “or, in Scotland, to the sheriff”.
In Schedule 4 omit paragraph 6(2).
In Schedule 4 in paragraph 9 for “Secretary of State” substitute “ Department of Health and Social Services ”.
(Repealed)
For Schedules 6 and 7 substitute—