Drugs, Medicines and Pharmacies
An Act to make provision for the prohibition of smoking in certain premises, places and vehicles and for amending the minimum age of persons to whom tobacco may be sold; to make provision in relation to the prevention and control of health care associated infections; to make provision in relation to the management and use of controlled drugs; to make provision in relation to the supervision of certain dealings with medicinal products and the running of pharmacy premises, and about orders under the Medicines Act 1968 and orders amending that Act under the Health Act 1999; to make further provision about the National Health Service in England and Wales and about the recovery of National Health Service costs; to make provision for the establishment and functions of the Appointments Commission; to make further provision about the exercise of social care training functions; and for connected purposes.
[19th July 2006]
Be it enacted by the Queen’s most Excellent Majesty, by and with the advice and consent of the Lords Spiritual and Temporal, and Commons, in this present Parliament assembled, and by the authority of the same, as follows:—
(1) This Chapter makes provision for the prohibition of smoking in certain premises, places and vehicles which are smoke-free by virtue of this Chapter.
(2) In this Chapter—
(a) “smoking” refers to smoking tobacco or anything which contains tobacco, or smoking any other substance, and
(b) smoking includes being in possession of lit tobacco or of anything lit which contains tobacco, or being in possession of any other lit substance in a form in which it could be smoked.
(3) In this Chapter, “smoke” and other related expressions are to be read in accordance with subsection (2).
(1) Premises are smoke-free if they are open to the public.
But unless the premises also fall within subsection (2), they are smoke-free only when open to the public.
(2) Premises are smoke-free if they are used as a place of work—
(a) by more than one person (even if the persons who work there do so at different times, or only intermittently), or
(b) where members of the public might attend for the purpose of seeking or receiving goods or services from the person or persons working there (even if members of the public are not always present).
They are smoke-free all the time.
(3) If only part of the premises is open to the public or (as the case may be) used as a place of work mentioned in subsection (2), the premises are smoke-free only to that extent.
(4) In any case, premises are smoke-free only in those areas which are enclosed or substantially enclosed.
(5) The appropriate national authority may specify in regulations what “enclosed” and “substantially enclosed” mean.
(6) Section 3 provides for some premises, or areas of premises, not to be smoke-free despite this section.
(7) Premises are “open to the public” if the public or a section of the public has access to them, whether by invitation or not, and whether on payment or not.
(8) “Work”, in subsection (2), includes voluntary work.
(1) The appropriate national authority may make regulations providing for specified descriptions of premises, or specified areas within specified descriptions of premises, not to be smoke-free despite section 2.
(2) Descriptions of premises which may be specified under subsection (1) include, in particular, any premises where a person has his home, or is living whether permanently or temporarily (including hotels, care homes, and prisons and other places where a person may be detained).
(3) The power to make regulations under subsection (1) is not exercisable so as to specify any description of—
(a) premises in respect of which a premises licence under the Licensing Act 2003 (c. 17) authorising the sale by retail of alcohol for consumption on the premises has effect,
(b) premises in respect of which a club premises certificate (within the meaning of section 60 of that Act) has effect.
(4) But subsection (3) does not prevent the exercise of that power so as to specify any area, within a specified description of premises mentioned in subsection (3), where a person has his home, or is living whether permanently or temporarily.
(5) For the purpose of making provision for those participating as performers in a performance, or in a performance of a specified description, not to be prevented from smoking if the artistic integrity of the performance makes it appropriate for them to smoke—
(a) the power in subsection (1) also includes power to provide for specified descriptions of premises or specified areas within such premises not to be smoke-free in relation only to such performers, and
(b) subsection (3) does not prevent the exercise of that power as so extended.
(6) The regulations may provide, in relation to any description of premises or areas of premises specified in the regulations, that the premises or areas are not smoke-free—
(a) in specified circumstances,
(b) if specified conditions are satisfied, or
(c) at specified times,
or any combination of those.
(7) The conditions may include conditions requiring the designation in accordance with the regulations, by the person in charge of the premises, of any rooms in which smoking is to be permitted.
(8) For the purposes of subsection (5), the references to a performance—
(a) include, for example, the performance of a play, or a performance given in connection with the making of a film or television programme, and
(b) if the regulations so provide, include a rehearsal.
(1) The appropriate national authority may make regulations designating as smoke-free any place or description of place that is not smoke-free under section 2.
(2) The place, or places falling within the description, need not be enclosed or substantially enclosed.
(3) The appropriate national authority may designate a place or description of place under this section only if in the authority’s opinion there is a significant risk that, without a designation, persons present there would be exposed to significant quantities of smoke.
(4) The regulations may provide for such places, or places falling within the description, to be smoke-free only—
(a) in specified circumstances,
(b) at specified times,
(c) if specified conditions are satisfied,
(d) in specified areas,
or any combination of those.
(1) The appropriate national authority may make regulations providing for vehicles to be smoke-free.
(2) The regulations may in particular make provision—
(a) for the descriptions of vehicle which are to be smoke-free,
(b) for the circumstances in which they are to be smoke-free,
(c) for them to be smoke-free only in specified areas, or except in specified areas,
(d) for exemptions.
(3) The power to make regulations under this section is not exercisable in relation to—
(a) any ship or hovercraft in relation to which regulations could be made under section 85 of the Merchant Shipping Act 1995 (c. 21) (safety and health on ships), including that section as applied by any Order in Council under section 1(1)(h) of the Hovercraft Act 1968 (c. 59), or
(b) persons on any such ship or hovercraft.
(4) In section 85 of the Merchant Shipping Act 1995, at the end add—
“(8) Safety regulations which make provision in respect of the prohibition of smoking on any ship (“the smoking provisions”) may include provision—
(a) for the appointment by the Secretary of State of persons to enforce the smoking provisions (whether in respect of ships generally or for any particular case or purpose), and for the removal of any person so appointed,
(b) for such persons (if they are not surveyors of ships appointed under section 256) to have the powers of such surveyors for the purposes of their enforcement functions,
(c) for any such persons to have, for the purposes of their enforcement functions, powers corresponding to those which authorised officers have under paragraphs 2(b) to (e), 3 and 4, as read with paragraphs 5 and 9, of Schedule 2 to the Health Act 2006 (which confers powers of entry, etc., on authorised officers of enforcement authorities in relation to the enforcement of the provisions of that Act in relation to smoking),
(d) in relation to an offence of smoking in a place where smoking is prohibited under the smoking provisions, for purposes corresponding to those of section 9 of and Schedule 1 to the Health Act 2006 (which provide for the giving by authorised officers of penalty notices in respect of such an offence).
In this subsection, “smoking” has the same meaning as in Chapter 1 of Part 1 of the Health Act 2006.”
(5) In this Chapter, “vehicle” means every type of vehicle, including train, vessel, aircraft and hovercraft.
(1) It is the duty of any person who occupies or is concerned in the management of smoke-free premises to make sure that no-smoking signs complying with the requirements of this section are displayed in those premises in accordance with the requirements of this section.
(2) Regulations made by the appropriate national authority may provide for a duty corresponding to that mentioned in subsection (1) in relation to—
(a) places which are smoke-free by virtue of section 4,
(b) vehicles which are smoke-free by virtue of section 5.
The duty is to be imposed on persons, or on persons of a description, specified in the regulations.
(3) The signs must be displayed in accordance with any requirements contained in regulations made by the appropriate national authority.
(4) The signs must conform to any requirements specified in regulations made by the appropriate national authority (for example, requirements as to content, size, design, colour, or wording).
(5) A person who fails to comply with the duty in subsection (1), or any corresponding duty in regulations under subsection (2), commits an offence.
(6) It is a defence for a person charged with an offence under subsection (5) to show —
(a) that he did not know, and could not reasonably have been expected to know, that the premises were smoke-free (or, as the case may be, that the place or vehicle was smoke-free), or
(b) that he did not know, and could not reasonably have been expected to know, that no-smoking signs complying with the requirements of this section were not being displayed in accordance with the requirements of this section, or
(c) that on other grounds it was reasonable for him not to comply with the duty.
(7) If a person charged with an offence under subsection (5) relies on a defence in subsection (6), and evidence is adduced which is sufficient to raise an issue with respect to that defence, the court must assume that the defence is satisfied unless the prosecution proves beyond reasonable doubt that it is not.
(8) A person guilty of an offence under subsection (5) is liable on summary conviction to a fine not exceeding a level on the standard scale specified in regulations made by the Secretary of State.
(9) The references in this section, however expressed, to premises, places or vehicles which are smoke-free, are to those premises, places or vehicles so far as they are smoke-free under or by virtue of this Chapter (and references to smoke-free premises include premises which by virtue of regulations under section 3(5) are smoke-free except in relation to performers).
(1) In this section, a “smoke-free place” means any of the following—
(a) premises, so far as they are smoke-free under or by virtue of sections 2 and 3 (including premises which by virtue of regulations under section 3(5) are smoke-free except in relation to performers),
(b) a place, so far as it is smoke-free by virtue of section 4,
(c) a vehicle, so far as it is smoke-free by virtue of section 5.
(2) A person who smokes in a smoke-free place commits an offence.
(3) But a person who smokes in premises which are not smoke-free in relation to performers by virtue of regulations under section 3(5) does not commit an offence if he is such a performer.
(4) It is a defence for a person charged with an offence under subsection (2) to show that he did not know, and could not reasonably have been expected to know, that it was a smoke-free place.
(5) If a person charged with an offence under this section relies on a defence in subsection (4), and evidence is adduced which is sufficient to raise an issue with respect to that defence, the court must assume that the defence is satisfied unless the prosecution proves beyond reasonable doubt that it is not.
(6) A person guilty of an offence under this section is liable on summary conviction to a fine not exceeding a level on the standard scale specified in regulations made by the Secretary of State.
(1) It is the duty of any person who controls or is concerned in the management of smoke-free premises to cause a person smoking there to stop smoking.
(2) The reference in subsection (1) to a person smoking does not include a performer in relation to whom the premises are not smoke-free by virtue of regulations under section 3(5).
(3) Regulations made by the appropriate national authority may provide for a duty corresponding to that mentioned in subsection (1) in relation to—
(a) places which are smoke-free by virtue of section 4,
(b) vehicles which are smoke-free by virtue of section 5.
The duty is to be imposed on persons, or on persons of a description, specified in the regulations.
(4) A person who fails to comply with the duty in subsection (1), or any corresponding duty in regulations under subsection (3), commits an offence.
(5) It is a defence for a person charged with an offence under subsection (4) to show—
(a) that he took reasonable steps to cause the person in question to stop smoking, or
(b) that he did not know, and could not reasonably have been expected to know, that the person in question was smoking, or
(c) that on other grounds it was reasonable for him not to comply with the duty.
(6) If a person charged with an offence under this section relies on a defence in subsection (5), and evidence is adduced which is sufficient to raise an issue with respect to that defence, the court must assume that the defence is satisfied unless the prosecution proves beyond reasonable doubt that it is not.
(7) A person guilty of an offence under this section is liable on summary conviction to a fine not exceeding a level on the standard scale specified in regulations made by the Secretary of State.
(8) The references in this section, however expressed, to premises, places or vehicles which are smoke-free, are to those premises, places or vehicles so far as they are smoke-free under or by virtue of this Chapter (and references to smoke-free premises include premises which by virtue of regulations under section 3(5) are smoke-free except in relation to performers).
(1) An authorised officer of an enforcement authority (see section 10) who has reason to believe that a person has committed an offence under section 6(5) or 7(2) on premises, or in a place or vehicle, in relation to which the authorised officer has functions may give him a penalty notice in respect of the offence.
(2) A penalty notice is a notice offering a person the opportunity to discharge any liability to conviction for the offence to which the notice relates by paying a penalty in accordance with this Chapter.
(3) Schedule 1 makes further provision about fixed penalties.
(1) The appropriate national authority may make regulations designating the bodies or descriptions of body which are to be enforcement authorities for the purposes of this Chapter.
(2) The regulations—
(a) must specify the descriptions of premises, place or vehicle in relation to which an enforcement authority has enforcement functions,
(b) may provide for a case being dealt with by one enforcement authority to be transferred (or further transferred, or transferred back) to, and taken over by, another enforcement authority.
(3) It is the duty of an enforcement authority to enforce, as respects the premises, places and vehicles in relation to which it has enforcement functions, the provisions of this Chapter and regulations made under it.
(4) The appropriate national authority may direct, in relation to cases of a particular description or a particular case, that any duty imposed on an enforcement authority by subsection (3) is to be discharged instead by the appropriate national authority.
(5) In this Chapter, “authorised officer”, in relation to an enforcement authority, means any person (whether or not an officer of the authority) who is authorised by it in writing, either generally or specially, to act in matters arising under this Chapter.
(6) If regulations under this section so provide, no person is to be so authorised unless he has such qualifications as are prescribed by the regulations.
(7) Schedule 2 makes provision about powers of entry, etc.
(1) Any person who intentionally obstructs an authorised officer of an enforcement authority, acting in the exercise of his functions under or by virtue of this Chapter, commits an offence.
(2) Any person who without reasonable cause fails to give to an authorised officer of an enforcement authority, acting in the exercise of his functions under or by virtue of this Chapter, any facilities, assistance or information which the authorised officer reasonably requires of him for the performance of those functions commits an offence.
(3) A person commits an offence if, in purported compliance with any requirement of an authorised officer mentioned in subsection (2)—
(a) he makes a statement which is false or misleading, and
(b) he either knows that it is false or misleading or is reckless as to whether it is false or misleading.
“False or misleading” means false or misleading in a material particular.
(4) A person guilty of an offence under this section is liable on summary conviction to a fine not exceeding level 3 on the standard scale.
(5) If a direction of the appropriate national authority has effect under section 10(4), this section has effect, in relation to any case or case of a description specified in the direction, as if references to an authorised officer of an enforcement authority were to a person acting on behalf of the appropriate national authority.
(1) In this Chapter—
“authorised officer” has the meaning given by section 10(5),
“premises” includes a tent, and (if not a ship within the meaning of the Merchant Shipping Act 1995 (c. 21)) a moveable structure and an offshore installation (as defined in regulation 3 of the Offshore Installations and Pipeline Works (Management and Administration) Regulations 1995 (S.I. 1995/738)),
“specified”, in relation to regulations, means specified in the regulations,
“vehicle” is to be construed in accordance with section 5(5).
(2) The appropriate national authority may by order provide for the definition of “premises” in subsection (1) to be read as if a reference to another enactment were substituted for the reference to regulation 3 of the Offshore Installations and Pipeline Works (Management and Administration) Regulations 1995.
(3) This Chapter—
(a) has effect in relation to the territorial sea adjacent to England as it has effect in relation to England, and
(b) has effect in relation to the territorial sea adjacent to Wales as it has effect in relation to Wales.
(4) The following have effect for the purposes of subsection (3) if or in so far as expressed to apply for the general or residual purposes of the Act in question or for the purposes of this section—
(a) an Order in Council under section 126(2) of the Scotland Act 1998 (c. 46),
(b) an order or Order in Council under or by virtue of section 155(2) of the Government of Wales Act 1998 (c. 38).
(1) The Secretary of State may from time to time by order amend the following enactments by substituting, in each place where a person’s age is specified, a different age specified in the order—
(a) section 7 of the Children and Young Persons Act 1933 (c. 12) (sale of tobacco etc. to persons under 16),
(b) section 4 of the Children and Young Persons (Protection from Tobacco) Act 1991 (c. 23) (display of warning statements in retail premises and on vending machines).
(2) But the age specified in an order under subsection (1) may not be lower than 16 or higher than 18.
After section 47 of the Health and Social Care (Community Health and Standards) Act 2003 (c. 43) (referred to in this Act as “the 2003 Act”) insert—
(1) The Secretary of State may issue a code of practice—
(a) applying to bodies within subsection (2), and
(b) relating to the prevention and control of health care associated infections in connection with health care provided by or for those bodies.
(2) The bodies within this subsection are—
(a) English NHS bodies other than Strategic Health Authorities; and
(b) cross-border SHAs.
(3) The code may provide for provisions of the code to apply to—
(a) such description or descriptions of bodies within subsection (2) as may be specified in the code;
(b) such body or bodies within that subsection as may be so specified.
(4) The code may in particular—
(a) make such provision as the Secretary of State considers appropriate for the purpose of safeguarding individuals (whether receiving health care or otherwise) from the risk, or any increased risk, of being exposed to health care associated infections or of being made susceptible, or more susceptible, to them;
(b) contain provisions imposing on bodies to which the provisions apply requirements in relation to health care provided for such bodies by other persons as well as in relation to health care provided by such bodies.
(5) The code may—
(a) operate by reference to provisions of other documents specified in it (whether published by the Secretary of State or otherwise);
(b) provide for any reference in it to such a document to take effect as a reference to that document as revised from time to time;
(c) make different provision for different cases or circumstances.
(6) Nothing in subsections (3) to (5) is to be read as prejudicing the generality of subsection (1).
(7) The Secretary of State must keep the code under review and may from time to time—
(a) revise the whole or any part of the code, and
(b) issue a revised code.
(8) In this section “health care associated infection” means any infection to which an individual may be exposed or made susceptible (or more susceptible) in circumstances where—
(a) health care is being, or has been, provided to that or any other individual, and
(b) the risk of exposure to the infection, or of susceptibility (or increased susceptibility) to it, is directly or indirectly attributable to the provision of the health care.
(9) But subsection (8) does not include an infection to which the individual is deliberately exposed as part of any health care.
(10) Any reference in this Part to a code of practice issued under this section includes a revised code issued under it.
(1) Where the Secretary of State proposes to issue a code of practice under section 47A, he must—
(a) prepare a draft of the code, and
(b) consult such persons as he considers appropriate about the draft.
(2) Where the Secretary of State proposes to issue a revised code under section 47A which in his opinion would result in a substantial change in the code, he must—
(a) prepare a draft of the revised code, and
(b) consult such persons as he considers appropriate about the change.
(3) Where, following consultation under subsection (1) or (2), the Secretary of State issues the code or revised code (whether in the form of the draft or with such modifications as he thinks fit), it comes into force at the time when it is issued by the Secretary of State.
(4) Where—
(a) any document by reference to whose provisions the code operates as mentioned in section 47A(5)(a) and (b) is a document published by the Secretary of State in connection with his functions relating to health,
(b) the Secretary of State proposes to revise the document, and
(c) in the opinion of the Secretary of State, the revision would result in a substantial change in the code,
the Secretary of State must, before revising the document, consult such persons as he considers appropriate about the change.
(5) Where—
(a) any document by reference to whose provisions the code operates as mentioned in section 47A(5)(a) and (b) is not one to which subsection (4)(a) above applies,
(b) the document is revised, and
(c) in the opinion of the Secretary of State, the revision results in a substantial change in the code,
the Secretary of State must consult such persons as he considers appropriate about whether the code should be revised in connection with the change.
(6) Consultation undertaken by the Secretary of State before the commencement of this section is as effective for the purposes of this section as consultation undertaken after that time.
(1) Where any provisions of a code of practice issued under section 47A apply to an NHS body, the body must observe those provisions in discharging its duty under section 45.
(2) A failure to observe any provision of a code of practice issued under section 47A does not of itself make a person liable to any criminal or civil proceedings.
(3) A code of practice issued under section 47A is admissible in evidence in any criminal or civil proceedings.”
(1) Sections 50 to 52 and 54 of the 2003 Act are amended as follows.
(2) In section 50 (annual reviews), for subsection (4) substitute—
“(4) In exercising its functions under this section in relation to any health care, the CHAI must take into account—
(a) the standards set out in statements published under section 46, and
(b) any code of practice issued under section 47A.
(4A) In conducting a review under subsection (1) in relation to a particular body to which provisions of such a code apply, the CHAI must accordingly consider (among other things) the extent, if any, to which those provisions are being observed by the body.”
(3) In section 51 (reviews: England and Wales), in subsection (4)(a) after “section 46” insert “and any code of practice issued under section 47A”.
(4) In section 52 (reviews and investigations: England), for subsection (3) substitute—
“(3) The CHAI has the function of conducting reviews of—
(a) the arrangements made by English NHS bodies and cross-border SHAs for the purpose of discharging their duty under section 45;
(b) the arrangements made by particular bodies within paragraph (a) for the purpose of discharging that duty.”
(5) For section 52(5) substitute—
“(5) In exercising its functions under this section in relation to any health care, the CHAI must take into account—
(a) the standards set out in statements published under section 46, and
(b) any code of practice issued under section 47A.
(5A) In conducting a review under subsection (3) in relation to a particular body to which provisions of such a code apply, the CHAI must accordingly consider (among other things) the extent, if any, to which those provisions are being observed by the body.”
(6) In section 54 (functions relating to Secretary of State and Assembly), in subsection (2) after “section 46 or 47” insert “, or any code of practice issued under section 47A,”.
After section 53 of the 2003 Act insert—
(1) This section applies where, following such a review or investigation as is mentioned in section 53(1), the CHAI—
(a) is of the view that any provisions of a code of practice issued under section 47A and applying to an English NHS body or a cross-border SHA are not being observed in any material respect in relation to the provision of health care by or for the body, but
(b) having regard to all the circumstances, is not of the view that it is required to make a report under section 53(2) (or, if relevant, section 53(6)).
(2) The CHAI may serve a notice under this section (an “improvement notice”) on the body in respect of the failure to observe the code, if it considers that serving the notice is the most appropriate course of action for it to take with a view to securing that the failure is remedied.
(3) An improvement notice must—
(a) state that the CHAI has formed the view mentioned in subsection (1)(a) in relation to the provision of health care by or for the body, giving particulars of the material respect in which the CHAI considers that the provisions of the code are not being observed as mentioned in that subsection,
(b) state the CHAI’s reasons for its view, and
(c) require the body to remedy the failure to observe the code, and to do so within such period as is specified in the notice.
(4) An improvement notice may (but need not) include a recommendation by the CHAI as to the way in which the failure should be remedied.
(5) An improvement notice may relate to more than one failure within subsection (1)(a), and in such a case—
(a) subsections (2) to (4) and section 53B apply separately in relation to each such failure, but
(b) any report required by that section may relate to more than one such failure.
(6) Where the CHAI serves an improvement notice on a body under this section, the CHAI must notify the Secretary of State and—
(a) the regulator, if the body is an NHS foundation trust, and
(b) any relevant Strategic Health Authority, if the body is a Primary Care Trust or an NHS trust.
(7) In this section and section 53B “relevant Strategic Health Authority” means—
(a) in relation to a Primary Care Trust, any Strategic Health Authority whose area includes any part of the Trust’s area;
(b) in relation to an NHS Trust (other than one responsible for providing ambulance services), the Strategic Health Authority in whose area all or most of the Trust’s hospitals, establishments or facilities are situated;
(c) in relation to an NHS Trust responsible for providing ambulance services, the Strategic Health Authority in whose area the headquarters establishment responsible for the control of those services is situated.
(8) Subsection (9) applies where—
(a) an improvement notice is served on a body in respect of a particular failure to observe a code of practice issued under section 47A, and
(b) a review under section 52(3)(b) is conducted by the CHAI in pursuance of section 53B(4)(a) with a view to assessing the body’s compliance with the notice.
(9) In such a case subsection (1)—
(a) does not apply in relation to that review so as to enable the CHAI to serve a further improvement notice on that body in respect of that failure; but
(b) does apply in relation to that review so as to enable the CHAI (if the conditions in subsections (1) and (2) are satisfied) to serve an improvement notice on that body in respect of a different failure to observe the code.
(1) This section applies where the CHAI has served an improvement notice on a body under section 53A.
(2) If, before the end of the specified period—
(a) the body requests the CHAI to extend that period, and
(b) the CHAI considers that there are exceptional circumstances which justify its extending that period by a further period of time,
the CHAI may, by a notice served on the body, extend the specified period by that further period.
(3) In this section “the specified period” means—
(a) the period specified under section 53A(3)(c), or
(b) if that period has been extended under subsection (2) above, that period as so extended.
(4) Where the specified period has ended or the body notifies the CHAI before the end of that period that it has complied with the improvement notice, the CHAI must—
(a) conduct a review under section 52(3)(b) with a view to assessing the body’s compliance with the notice, and
(b) then comply with subsection (5) or (6);
and the making of any report in accordance with subsection (5) or (6) is to be taken as satisfying the requirement to publish a report under section 52(7) in respect of the review.
(5) If the CHAI—
(a) remains of the view that the relevant provisions of the code are not being observed in any material respect in relation to the provision of health care by or for the body, and
(b) having regard to all the circumstances, is of the view that it is required to make a report under section 53(2) (and, if relevant, section 53(6)),
the CHAI must accordingly make a report under that provision (or, as the case may be, under each of those provisions).
(6) If the CHAI does not make any such report or reports, it must instead make a report—
(a) to the Secretary of State, and
(b) (if the body is an NHS foundation trust) to the regulator,
setting out the matters mentioned in subsection (7) or (8).
(7) If the CHAI is of the view that the relevant provisions of the code are being observed in relation to the provision of health care by or for the body, the matters are—
(a) that the CHAI is of that view, and
(b) its reasons for that view.
(8) If the CHAI is of the view that the relevant provisions of the code are not being so observed in any respect (material or otherwise), the matters are—
(a) that the CHAI is of that view,
(b) its reasons for that view,
(c) if its view is that those provisions are not being observed in any material respect, its reasons for not forming the view mentioned in subsection (5)(b), and
(d) (whether or not paragraph (c) applies) any action which it proposes to take in relation to the body in connection with the failure to observe the code.
(9) The CHAI must send a copy of any report made by it in accordance with subsection (5) or (6) in relation to a Primary Care Trust or an NHS trust to the relevant Strategic Health Authority.
(10) In this section “the relevant provisions of the code” means the provisions of the code in relation to which the CHAI formed the view mentioned in section 53A(1)(a).”
(1) The relevant authority may by regulations make provision for or in connection with requiring designated bodies to nominate or appoint persons who are to have prescribed responsibilities in relation to the safe, appropriate and effective management and use of controlled drugs in connection with—
(a) activities carried on by or on behalf of the designated bodies, and
(b) activities carried on by or on behalf of bodies or persons providing services under arrangements made with the designated bodies.
(2) The person who is to be so nominated or appointed by a designated body is to be known as its accountable officer.
This is subject to any regulations made by virtue of subsection (5)(e).
(3) In this Chapter “designated body” means—
(a) a body falling within any description of bodies prescribed as designated bodies for the purposes of this section, or
(b) a body prescribed as a designated body for those purposes.
(4) The descriptions of bodies, or bodies, that may be so prescribed are descriptions of bodies, or bodies, appearing to the relevant authority—
(a) to be directly or indirectly concerned with the provision of health care (whether or not for the purposes of the health service), or
(b) to be otherwise carrying on activities that involve, or may involve, the supply or administration of controlled drugs.
(5) Regulations under this section may make provision—
(a) for conditions that must be satisfied in relation to a person if he is to be nominated or appointed by a designated body as the body’s accountable officer;
(b) for a single person to be nominated or appointed as the accountable officer for each of two or more designated bodies where those bodies are satisfied as to the prescribed matters;
(c) requiring a designated body that has an accountable officer to provide the officer with funds and other resources necessary for enabling the officer to discharge his responsibilities as accountable officer for the body;
(d) for ensuring that an accountable officer, in discharging his responsibilities, has regard to best practice in relation to the use of controlled drugs;
(e)