CLT
 

Compliance for Conveyancing Practices - A One Day Fix

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Course Overview Seminar

Is your practice concerned about how to comply with the new conveyancing practice management requirements in the CQS and also in those more vague provisions in the new SRA Handbook? Are you ready for the SRA’s new Supervision and Enforcement Strategy? This course is for the experienced conveyancer and manager to help you understand what the changes are and how to implement the minimum practical systems to achieve compliance without creating unnecessary bureaucracy. It is also relevant for Lexcel accredited firms. You will be taken through a transaction analysing particular risk areas (professional and legal) and, working from templates supplied, work up a procedural manual for your firm so that you leave the course equipped with a draft programme to implement back in the office.

The course will look at:

  • What are the various and more vague regulatory requirements?
  • What are the minimum systems that you need to have in place?
  • How can you do this?
  • What are the higher risk areas in a conveyancing transaction?
  • Managing strategy and risk issues in relation to lenders’ panels
  • Conflict identification at outset
  • Taking of instructions (ID/money laundering)
  • Separate Representation of the lender under the new Standard Instructions
  • Pre-exchange review
  • Pre-completion review
  • Closure of file

Course Dates

12/09/2012
London  
09:30 - 17:00
Venue Information
13/09/2012
Bristol  
09:30 - 17:00
Venue Information
25/09/2012
Leeds  
09:30 - 17:00
Venue Information
26/09/2012
Manchester  
09:30 - 17:00
Venue Information
11/12/2012
London  
09:30 - 17:00
Venue Information