Foreword |
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vii | |
Introduction |
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ix | |
Table of Statutes |
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xvii | |
Table of Statutory Instruments |
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xxv | |
Table of Cases |
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xxvii | |
Bibliography |
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xliii | |
Chapter 1 The Fraud Act 2006 |
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1 | (10) |
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1 | (1) |
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2 | (4) |
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Fraud by false representation |
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3 | (1) |
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Fraud by failing to disclose information |
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4 | (1) |
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Fraud by abuse of position |
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5 | (1) |
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6 | (1) |
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Possession of articles for use in fraud |
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6 | (1) |
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Making or supplying articles for use in fraud |
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7 | (1) |
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Fraudulent trading by non-corporate offenders |
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8 | (1) |
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Obtaining services by dishonesty |
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9 | (1) |
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Liability of company officers for offences committed by a company |
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10 | (1) |
Chapter 2 Conspiracy to Defraud |
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11 | (4) |
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11 | (1) |
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12 | (2) |
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14 | (1) |
Chapter 3 Prevalent Types of Fraud |
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15 | (120) |
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15 | (1) |
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15 | (21) |
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15 | (1) |
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16 | (1) |
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The commission of mortgage fraud |
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16 | (1) |
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Common misrepresentations |
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16 | (3) |
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The investigation of mortgage fraud |
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19 | (1) |
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The link between mortgage fraud and money laundering |
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19 | (1) |
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20 | (4) |
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24 | (4) |
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The role of the professional |
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28 | (3) |
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31 | (1) |
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32 | (3) |
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Civil recovery and mortgage fraud |
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35 | (1) |
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36 | (5) |
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36 | (1) |
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37 | (1) |
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37 | (1) |
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37 | (1) |
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38 | (2) |
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40 | (1) |
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41 | (9) |
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41 | (3) |
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44 | (1) |
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44 | (1) |
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45 | (4) |
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49 | (1) |
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Missing Trader Intra-Community (MTIC) fraud |
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50 | (25) |
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50 | (1) |
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50 | (5) |
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55 | (6) |
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61 | (2) |
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63 | (8) |
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71 | (1) |
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72 | (3) |
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75 | (3) |
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75 | (1) |
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75 | (1) |
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76 | (1) |
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77 | (1) |
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Cheating the Public Revenue |
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78 | (1) |
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78 | (1) |
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78 | (1) |
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Unlicensed money lending (aka loan-sharking') |
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78 | (11) |
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78 | (1) |
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79 | (10) |
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89 | (14) |
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89 | (1) |
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The purpose of the legislation |
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89 | (2) |
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91 | (1) |
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The commission of the offence |
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91 | (5) |
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96 | (1) |
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96 | (1) |
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The role of professionals |
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97 | (1) |
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98 | (1) |
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99 | (1) |
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99 | (1) |
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99 | (1) |
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Summary of key ingredients |
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100 | (1) |
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101 | (2) |
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103 | (5) |
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103 | (1) |
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103 | (1) |
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Ingredients of the offence |
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104 | (3) |
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107 | (1) |
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107 | (1) |
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Directors disqualification |
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108 | (1) |
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108 | (27) |
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108 | (10) |
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The approach to inferences and submissions of no case to answer |
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118 | (2) |
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Evidence of the underlying crime |
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120 | (3) |
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123 | (1) |
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124 | (4) |
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128 | (1) |
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Proving the case in practice |
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129 | (1) |
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Joinder with predicate offences |
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130 | (1) |
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131 | (2) |
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An overview of the reporting obligations in POCA 2002, ss 330-332 |
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133 | (1) |
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134 | (1) |
Chapter 4 Search, Seizure and Investigations |
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135 | (18) |
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The Police and Criminal Evidence Act 1984 |
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138 | (3) |
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139 | (1) |
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140 | (1) |
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141 | (1) |
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Criminal Justice and Police Act 2001, s 50 |
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141 | (2) |
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142 | (1) |
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142 | (1) |
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143 | (1) |
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143 | (1) |
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The Proceeds of Crime Act 2002 |
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143 | (2) |
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145 | (5) |
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150 | (1) |
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Department of Business, Innovations and Skills |
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151 | (1) |
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Financial Conduct Authority |
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151 | (2) |
Chapter 5 Alternatives to Prosecution |
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153 | (24) |
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153 | (4) |
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153 | (1) |
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153 | (3) |
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Conditional police cautions |
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156 | (1) |
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Deferred Prosecution Agreements |
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157 | (16) |
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Schedule 17 of the Crime and Courts Act 2013 |
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158 | (1) |
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The behaviour to which a DPA can relate |
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158 | (1) |
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The offences to which a DPA can relate |
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158 | (1) |
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159 | (3) |
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162 | (1) |
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163 | (9) |
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Part 12 of the Criminal Procedure Rules 2014 |
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172 | (1) |
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173 | (4) |
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173 | (1) |
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Practice and procedure at First-tier Tribunals |
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174 | (3) |
Chapter 6 The role of the Preparatory Hearing, Case Management and Interlocutory Appeals |
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177 | (16) |
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Preparatory hearings under the Criminal Justice Act 1987 and case management |
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177 | (10) |
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177 | (1) |
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Ordering a preparatory hearing |
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178 | (1) |
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Pre-trial rulings and case management |
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179 | (1) |
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Part 3 of the Criminal Procedure Rules 2014 |
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180 | (1) |
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Sections 7-10 of the Criminal Justice Act 1987 |
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181 | (5) |
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Criminal Procedure and Investigations Act 1996 |
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186 | (1) |
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187 | (1) |
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Interlocutory appeals after terminating rulings by the prosecution under the Criminal Justice Act 2003 |
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187 | (6) |
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Which rulings are included? |
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187 | (4) |
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Prosecutor's responsibilities |
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191 | (1) |
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192 | (1) |
Chapter 7 Disclosure |
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193 | (24) |
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193 | (1) |
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194 | (1) |
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Statutory basis: Criminal Procedure and Investigations Act 1996 |
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195 | (3) |
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198 | (3) |
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201 | (1) |
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Sifting/examination, keeping of records and scheduling |
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201 | (2) |
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203 | (2) |
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205 | (1) |
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Attorney-General's Guidelines on Disclosure 2013 |
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206 | (3) |
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209 | (2) |
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Overseas third party disclosure |
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211 | (1) |
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212 | (4) |
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Sentencing material disclosure |
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216 | (1) |
Chapter 8 Abuse of Process |
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217 | (8) |
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217 | (1) |
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217 | (1) |
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218 | (1) |
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219 | (1) |
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219 | (5) |
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219 | (4) |
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223 | (1) |
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Judicial trial control mechanisms |
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224 | (1) |
Chapter 9 Sentencing |
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225 | (14) |
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225 | (1) |
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226 | (5) |
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231 | (2) |
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233 | (6) |
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Financial reporting order |
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233 | (1) |
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Serious crime prevention order |
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234 | (3) |
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Disqualification as a company director |
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237 | (2) |
Appendix 1 Fraud, Bribery and Money Laundering Offences: Definitive Guideline |
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239 | (52) |
Appendix 2 Reduction in Sentence for a Guilty Plea: Definitive Guideline |
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291 | (10) |
Appendix 3 The Criminal Procedure Rules 2014, Part 3 |
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301 | (22) |
Appendix 4 Criminal Procedure and Investigations Act 1996, Part III |
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323 | (12) |
Appendix 5 Simple Cautions for Adult Offenders |
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335 | (22) |
Appendix 6 National Decision Model: Cautions |
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357 | (2) |
Appendix 7 Criminal Procedure Rules 2014, Part 12 |
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359 | (12) |
Article 8 Deferred Prosecution Agreements: Code of Practice |
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371 | (24) |
Appendix 9 Control and Management of Heavy Fraud and Other Complex Criminal Cases |
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395 | (16) |
Appendix 10 Crown Prosecution Guidance: Proceeds Of Crime Act 2002 Part 7 Money Laundering Offences |
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411 | (16) |
Appendix 11 Attorney General's Guidelines for Prosecutors on the Use of the Common Law Offence of Conspiracy to Defraud |
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427 | (4) |
Index |
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431 | |