This policy covers all aspects of Trading Standards enforcement activities including:
We subscribe to the principles and objectives of the statutory Code of Practice for Regulators (the Code) made under the Legislative and Regulatory Reform Act 2006. We believe that all enforcement should be risk-based and proportionate.
We believe that effective enforcement can act as an enabler to economic activity and we acknowledge that the vast majority of Essex businesses are honest, legitimate enterprises that want to keep within the law. We want to work with those businesses, helping and encouraging them to understand and meet regulatory requirements.
We believe that the vast majority of businesses in Essex accept their responsibility to ensure that they comply with the law. If they fail to do that, we understand the need to respond proportionately. In so doing, we will consider the size and nature of the business and the potential impact of any requirements we may seek to impose.
We will adopt an intelligence-led approach in line with the National Intelligence Model with all enforcement activities and ensure that we only target those businesses that are causing the greatest detriment to Essex consumers and legitimate businesses.
Service demand is managed through a tactical tasking process which helps us target our resources effectively and focus our activity where we can have the greatest impact. We run regular tasking meetings to enable a rapid response to emerging issues and keep track of the progress that we are making to deal with rogue traders and businesses causing the most consumer and business detriment.
We will use the principles of the National Trading Standards Board (NTSB) risk assessment methodology to help target our resources effectively, concentrating our efforts where there is the greatest likelihood of non-compliance and the potential for most harm.
We classify businesses based on the NTSB risk rating scheme, although we do not visit based solely on these. The NTSB scheme contains 4 classifications and recommends inspection frequencies:
Examples of premises that would fall into each category:
For the purposes of this policy, an inspection is a visit initiated by us to a business premises, to check compliance with any Trading Standards legislation. An inspection does not include a visit to the business in response to a complaint or enquiry.
For the purposes of this policy, an alternative intervention is a method of maintaining contact with a business that doesn’t involve an inspection visit. For example, a letter to a business requesting a response and an update on their business activity, or a telephone conversation with the business to update our records on any changes to their business activity.
Our policy is that we will not undertake routine inspection of upper medium, lower medium and low risk premises unless intelligence suggests a need to visit the premises. High risk premises that have low or very low confidence scores will receive a yearly inspection, those with a medium confidence score will receive an inspection every 2 years and those with high or very high confidence score will receive an inspection every 3 years. We will normally only visit premises without a risk rating if intelligence suggests a need.
This policy has been developed having regard to the Food Law Code of Practice and the Feed Law Code of Practice published by the Food Standards Agency. The inspection policy outlined above does not directly follow the relevant risk assessment schemes, in that there will be no inspection programme for medium risk premises (including upper medium and lower medium) and a graded approach to visit frequency for high risk premises.
We will undertake intelligence-led, risk-based inspection of premises storing more than 250kg net explosive content (NEC) explosives and petroleum prior to the issue or renewal of their licence.
We will undertake intelligence-led, risk-based inspection of massage establishments prior to the issue of the initial licence.
For the purposes of this policy, sampling includes the procurement for testing and analysis of any goods or services by our staff, whether formally (as prescribed by legislation or official guidance) or informally, to ascertain their compliance with any aspects of Trading Standards legislation.
We will undertake sampling activities as part of the intelligence-led, targeted, enforcement projects outlined in our annual service plan. Samples may also be procured during inspections at premises as outlined above, as part of an investigation or in response to intelligence received.
To reduce costs, save time and ensure a wide spread of sampling activity, we will undertake informal sampling programmes whenever this is deemed operationally appropriate. Formal enforcement action will only be taken in respect of samples of goods and services taken in accordance with official guidance (where this exists).
We will ensure that all businesses have access to free general advice through our website and will also offer businesses more detailed advice and consultancy services which they can purchase. We will ensure our advice is offered in appropriate formats and is clear and (as far as possible) jargon free. When giving advice we will distinguish clearly between statutory requirements and that which is desirable but not statutory.
Wherever practicable, we will liaise with other relevant advice and enforcement agencies that have joint or complementary enforcement roles to ensure that we take a joined-up approach. We will provide a single point of contact for signposting or referring businesses to advice and assistance from other agencies.
Where possible, we will undertake joint visits with other regulators and combine written advice in one clear, practical communication. We will share data with other enforcement agencies where this is practicable, beneficial and cost effective (subject to restrictions under the Data Protection Act and other Trading Standards legislation).
If a business is found to be non-compliant, we will, where appropriate, offer to deal with it by offering advice and guidance specific to that non-compliance and seek to rectify matters within an agreed timescale. We may revisit the business to check on compliance if deemed appropriate.
If we issue information or advice to a business which they fail to follow, we can take formal action to achieve compliance. Formal action in this sense includes:
In considering what action might be appropriate we will seek to:
Before taking formal action, we will liaise with all relevant agencies where a joint or complementary enforcement role exists. We subscribe to the principles of the Department for Business Energy and Industrial Strategy (BEIS) Primary Authority Principle administered by Regulatory Delivery (RD).
Whilst our overriding aim is to help businesses understand and comply with the law, we will not hesitate to investigate and where appropriate, take immediate formal action against any person or business that deliberately, dishonestly, recklessly or fraudulently breaches fair trading and safety laws in Essex. In so doing, we will have regard to the Code for Crown Prosecutors and our Prosecution Policy (including compliance with Human Rights legislation and equality and diversity issues).
We operate a complaints procedure covering the actions of our services.
Policy review date: April 2024