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Procedure : 2014/2010(ACI)
Document stages in plenary
Document selected : A7-0258/2014

Texts tabled :

A7-0258/2014

Debates :

PV 14/04/2014 - 20
CRE 14/04/2014 - 20

Votes :

PV 15/04/2014 - 8.36
CRE 15/04/2014 - 8.36
Explanations of votes

Texts adopted :

P7_TA(2014)0376

Texts adopted
PDF 329kWORD 153k
Tuesday, 15 April 2014 - Strasbourg
Interinstitutional agreement on the transparency register
P7_TA(2014)0376A7-0258/2014
Decision
 Annex
 Annex
 Annex
 Annex
 Annex

European Parliament decision of 15 April 2014 on the modification of the interinstitutional agreement on the Transparency Register (2014/2010(ACI))

The European Parliament,

–  having regard to the meeting of its Bureau of 13 January 2014, at which the latter approved the recommendations adopted on 12 December 2013 by the High-level Interinstitutional Working Group for the revision of the Transparency Register,

–  having regard to the draft interinstitutional agreement between the European Parliament and the European Commission on the Transparency Register for organisations and self-employed individuals engaged in EU policy-making and policy implementation (hereinafter referred to as "the modified agreement"),

–  having regard to Article 11(1) and (2) of the Treaty on European Union (TEU),

–  having regard to Article 295 of the Treaty on the Functioning of the European Union (TFEU),

–  having regard to its decision of 11 May 2011 on conclusion of an interinstitutional agreement between the European Parliament and the Commission on a common Transparency Register(1),

–  having regard to the interinstitutional agreement of 23 June 2011 between the European Parliament and the European Commission on the establishment of a transparency register for organisations and self-employed individuals engaged in EU policy-making and policy implementation (hereinafter referred to as "the Agreement of 23 June 2011")(2),

–  having regard to Rule 127(1) of its Rules of Procedure,

–  having regard to the report of the Committee on Constitutional Affairs (A7-0258/2014),

A.  whereas Article 11(2) TEU states: "The institutions shall maintain an open, transparent and regular dialogue with representative associations and civil society";

B.  whereas the transparency of that dialogue requires the good functioning of a common register of the organisations and persons trying to influence EU policy-making and policy implementation processes;

C.  whereas its resolution of 8 May 2008 on the development of the framework for the activities of interest representatives (lobbyists) in the European institutions(3) laid down the principles on the basis of which the European Parliament entered into negotiations with the Commission concerning a common transparency register;

D.  whereas its abovementioned decision of 11 May 2011 endorsed the rules and the framework of the Transparency Register for organisations and self-employed individuals engaged in EU policy-making and policy implementation;

E.  Whereas unregulated and non-transparent lobbying poses a significant threat to policy-making and to the public interest;

1.  Regrets that the proposal for a modification of the Agreement of 23 June 2011 will not lead to the establishment of a mandatory transparency register; reiterates therefore its call for mandatory registration in relation to the conduct of lobbying activities at the EU institutions, as already stated in its abovementioned resolution of 8 May 2008 and its abovementioned decision of 11 May 2011;

2.  Considers the proposed modification of the Agreement of 23 June 2011 to be a partial step forward at the present stage;

3.  Calls on the Commission to submit, by the end of 2016, a legislative proposal for the establishment of a mandatory register on the basis of Article 352 TFEU;

4.  Asks the Commission to include, in the context of any forthcoming proposals for a comprehensive reform of the Treaties, a proposal either for an amendment of Article 298 TFEU or for an appropriate specific legal basis allowing a mandatory register to be set up in accordance with the ordinary legislative procedure;

5.  Considers that future reviews of the Transparency Register should be as transparent and inclusive as possible and should fully involve its competent committee and allow for strong civil society participation;

6.  Insists that the next review of the Transparency Register is accompanied by a public consultation;

7.  Considers that in any event, a further evaluation of the Transparency Register should be completed before the end of 2017 at the latest;

8.  Recognises the role played by the Council since the establishment of the Transparency Register, and welcomes the fact that the Council has become involved, as an observer, in the process of keeping the Agreement of 23 June 2011 under review; however, in order to ensure transparency at all stages in the law-making process at Union level, reiterates its call to the Council to join the Transparency Register as soon as possible;

9.  Welcomes the improved specification of the information to be provided pursuant to the modified agreement, which should be implemented by insisting on disclosure of the identity of all clients represented by organisations and self-employed individuals engaged in EU policy-making and policy implementation processes, and by clearly linking all activities covered by the Register to the clients concerned;

10.  Considers that, when interpreting “inappropriate behaviour” within the meaning of point (b) of the Code of Conduct annexed to the modified agreement, in addition to the generally accepted principles as outlined in the Code, in particular in its points (c), (f) or (g), this expression includes:

11.  Believes that the Code of Conduct attached to the Agreement of 23 June 2011 and the Code of Conduct for Members of the European Parliament with respect to financial interests and conflicts of interest should be amended in order to ensure that Members do not enter into any kind of agreement or contractual relationship with an external body to either fund or directly employ individuals within a Member’s staff;

12.  Welcomes the clearer definitions describing exceptions to the scope of coverage of activities of law firms;

13.  Expects that such clearer definitions will help to encourage further registrations and bring about a better understanding of the meaning of covered activities of law firms, in order that they may benefit from the incentives offered by the Transparency Register and participate in a transparent manner in the decision-making process;

14.  Insists that registered law firms should declare in the Transparency Register all the clients on whose behalf they perform covered activities;

15.  Encourages the Commission to be equally ambitious, when it comes to introducing incentive measures for registrants in order to enhance participation in the Transparency Register; considers that such incentives could include:

16.  Welcomes the recent decisions taken by the Brussels and Paris Bars recognising the differences between court-related activities of lawyers and other activities falling within the scope of the Transparency Register; moreover, invites the Council of Bars and Law Societies of Europe to encourage its members to adopt similar measures;

17.  Notes that, in some Member States, statutory provisions exist on the rules governing the exercise of professions, which in particular objectively prevent lawyers’ firms from having themselves entered in the Transparency Register and in the process revealing the information about their clients which the Register requires; also, however, perceives a substantial risk in that such statutory provisions can also be abused to avoid publishing information required for a correct entry in the Register; welcomes, in this connection, the perceptible readiness of professional organisations to work in partnership to ensure that, in the interests of their profession, such withholding of information is confined exclusively to what the legislation objectively permits; calls on the Commission and the President of the European Parliament to secure a practical outcome from this readiness and to enshrine a result in the modified agreement as soon as possible ;

18.  Welcomes the intention of its Bureau to introduce a significant number of incentive measures in order to enhance participation in the Transparency Register;

19.  With a view to full implementation of those measures, invites its Bureau to consider the following concrete proposals for inclusion in the relevant Bureau decisions:

20.  Requests the Bureau to develop a standardised form for rapporteurs to publish on a voluntary basis a 'legislative footprint', which is a form annexed to reports drafted by Members detailing all the lobbyists with whom rapporteurs in charge of a particular file have met in the process of drawing up the report, where this has led to a substantial impact on the report.

21.  Asks former Members of the European Parliament to comply with the relevant provisions(4) when carrying on activities falling within the scope of the Transparency Register; believes that in carrying on such activities, former Members should not use their Members' badge to access the premises of the European Parliament; requests the Bureau to present to the Conference of Presidents a proposal for appropriate measures to prevent misuse of privileges to which former Members are entitled;

22.  Requests the Joint Transparency Register Secretariat to provide, at regular intervals, a report on the functioning of the incentives system, with a view, ultimately, to the establishment of a mandatory register;

23.  Underlines that non-registered organisations or individuals, which are eligible for registration and expected to register, even if their non-registration is only temporary, will not have access to the new incentives and advantages linked to registration;

24.  Welcomes and encourages the role played by non-institutional watchdogs in monitoring the transparency of the EU Institutions;

25.  Considers that the structure and the staff of the Joint Transparency Register Secretariat need to be reinforced in order to implement the new provisions in the modified agreement, to deal with the procedures for alerts and for the investigation and treatment of complaints, and to improve the procedures for verifying the reliability of information provided by registrants;

26.  Expects that the annual report on the operation of the Joint Transparency Register will include an analysis of the progress made in terms of coverage and quality of entries;

27.  Encourages the Commission, in performing its function of coordinating the Transparency Register, to closely monitor the proper implementation of the modified agreement;

28.  Approves the modified agreement as set out below and decides to annex it to its Rules of Procedure;

29.  Instructs its President to sign the modified agreement together with the President of the European Commission and to arrange for its publication in the Official Journal of the European Union;

30.  Instructs its President to forward this decision, including its annex, to the Council, the Commission and the parliaments of the Member States.

(1)OJ C 377 E, 7.12.2012, p. 176.
(2)OJ L 191, 22.7.2011, p. 29.
(3) OJ C 271 E, 12.11.2009, p. 48.
(4)As laid down by the Quaestors at their ordinary meeting held on 19 April 2012, PV QUAEST.


ANNEX

AGREEMENT BETWEEN THE EUROPEAN PARLIAMENT AND THE EUROPEAN COMMISSION ON THE TRANSPARENCY REGISTER FOR ORGANISATIONS AND SELF-EMPLOYED INDIVIDUALS ENGAGED IN EU POLICY-MAKING AND POLICY IMPLEMENTATION

The European Parliament and the European Commission ("the parties hereto"),

Having regard to the Treaty on European Union, in particular Article 11(1) and (2) thereof, the Treaty on the Functioning of the European Union, in particular Article 295 thereof, and the Treaty establishing the European Atomic Energy Community (hereinafter together referred to as "the Treaties"),

Whereas European policy-makers do not operate in isolation from civil society, but maintain an open, transparent and regular dialogue with representative associations and civil society;

Whereas the parties hereto have reviewed the Transparency Register (hereinafter "the register") established by the agreement between the European Parliament and the European Commission of 23 June 2011 on the establishment of a transparency register for organisations and self-employed individuals engaged in EU policy-making and policy implementation(1) pursuant to paragraph 30 of that agreement,

AGREE AS FOLLOWS:

I.  Principles of the register

1.  The establishment and operation of the register shall not affect or prejudice the objectives of the European Parliament as expressed in its resolution of 8 May 2008 on the development of the framework for the activities of interest representatives (lobbyists) in the European institutions(2) and in its decision of 11 May 2011 on conclusion of an interinstitutional agreement between the European Parliament and the Commission on a common Transparency Register(3).

2.  The operation of the register shall respect the general principles of Union law, including the principles of proportionality and non-discrimination.

3.  The operation of the register shall respect the rights of Members of the European Parliament to exercise their parliamentary mandate without restriction.

4.  The operation of the register shall not impinge on the competences or prerogatives of the parties hereto or affect their respective organisational powers.

5.  The parties hereto shall strive to treat all operators engaged in similar activities in a similar manner, and to allow for a level playing-field for the registration of organisations and self-employed individuals engaged in EU policy-making and policy implementation.

II.  Structure of the register

6.  The structure of the register shall be as follows:

(a)  provisions on the scope of the register, activities covered by the register, definitions, incentives and exemptions;

(b)  sections for registration (Annex 1);

(c)  information required from registrants, including financial disclosure requirements (Annex 2);

(d)  code of conduct (Annex 3);

(e)  alert and complaint mechanisms and measures to be applied in the event of non-compliance with the code of conduct, including the procedures for alerts and for the investigation and treatment of complaints (Annex 4);

(f)  implementation guidelines with practical information for registrants.

III.  Scope of the register

Activities covered

7.  The scope of the register covers all activities, other than those referred to in paragraphs 10 to 12, carried out with the objective of directly or indirectly influencing the formulation or implementation of policy and the decision-making processes of the EU institutions, irrespective of where they are undertaken and of the channel or medium of communication used, for example via outsourcing, media, contracts with professional intermediaries, think tanks, platforms, forums, campaigns and grassroots initiatives.

For the purpose of this agreement, "directly influencing" means influencing by way of a direct contact or communication with the EU institutions or other action following up on such activities and "indirectly influencing" means influencing through the use of intermediate vectors such as media, public opinion, conferences or social events, targeting the EU institutions .

In particular, those activities include:

–  contacting Members and their assistants, officials or other staff of the EU institutions;

–  preparing, circulating and communicating letters, information material or discussion papers and position papers;

–  organising events, meetings, promotional activities, conferences or social events, invitations to which have been sent to Members and their assistants, officials or other staff of the EU institutions; and

–  voluntary contributions and participation in formal consultations or hearings on envisaged EU legislative or other legal acts and other open consultations.

8.  All organisations and self-employed individuals, irrespective of their legal status, engaged in activities, whether on-going or under preparation, covered by the register are expected to register.

Any activity covered by the register and which is developed under contract by an intermediary providing legal and other professional advice, shall entail eligibility for registration both for the intermediary and for its client. Such intermediaries shall declare all clients under such contracts as well as the revenue per client for representation activities as set out in Annex 2 at point II.C.2.B. This requirement does not exempt clients from registering and including in their own cost estimates the cost of any activities subcontracted to an intermediary.

Activities not covered

9.  An organisation shall only be eligible to register if it carries out activities, covered by the register, which have resulted in direct or indirect communication with EU institutions. An organisation deemed non-eligible may be removed from the register.

10.  Activities concerning the provision of legal and other professional advice are not covered by the register in so far as:

–  they consist of advisory work and contacts with public bodies in order to better inform clients about a general legal situation or about their specific legal position, or to advise them whether a particular legal or administrative step is appropriate or admissible under the existing legal and regulatory environment;

–  they consist of advice given to clients to help them ensure that their activities comply with the relevant law;

–  they consist of analyses and studies prepared for clients on the potential impact of any legislative or regulatory changes with regard to their legal position or field of activity;

–  they consist of representation in the context of a conciliation or mediation procedure aimed at preventing a dispute from being brought before a judicial or administrative body; or

–  they relate to the exercise of the fundamental right of a client to a fair trial, including the right of defence in administrative proceedings, such as activities carried out by lawyers or by any other professionals involved therein.

If a company and its advisers are involved as a party in a specific legal or administrative case or procedure, any activity relating directly thereto which does not seek as such to change the existing legal framework is not covered by the register. This subparagraph applies to all business sectors in the European Union.

However, the following activities concerning the provision of legal and other professional advice are covered by the register where they are intended to influence the EU institutions, their Members and their assistants or their officials or other staff:

–  the provision of support, via representation or mediation, or of advocacy material, including argumentation and drafting;  and

–  the provision of tactical or strategic advice, including the raising of issues the scope of which and the timing of communication of which are intended to influence the EU institutions, their Members and their assistants or their officials or other staff.

11.  Activities of the social partners as participants in the social dialogue (trade unions, employers' associations, etc.) are not covered by the register where those social partners perform the role assigned to them in the Treaties. This paragraph applies mutatis mutandis to any entity specifically designated in the Treaties to play an institutional role;

12.  Activities in response to direct and individual requests from EU institutions or Members of the European Parliament, such as ad hoc or regular requests for factual information, data or expertise, are not covered by the register.

Specific provisions

13.  The register does not apply to churches and religious communities. However, the representative offices or legal entities, offices and networks created to represent churches and religious communities in their dealings with the EU institutions, as well as their associations, are expected to register.

14.  The register does not apply to political parties. However, any organisations created or supported by them which are engaged in activities covered by the register are expected to register.

15.  The register does not apply to Member States' government services, third countries' governments, international intergovernmental organisations and their diplomatic missions.

16.  Regional public authorities and their representative offices are not expected to register, but can register if they wish to do so. Any association or network created to represent regions collectively is expected to register.

17.  All sub-national public authorities other than those referred to in paragraph 16, such as local and municipal authorities or cities, or their representation offices, associations or networks, are expected to register.

18.  Networks, platforms or other forms of collective activity, which have no legal status or legal personality but which constitute de facto a source of organised influence and which are engaged in activities covered by the register, are expected to register. Members of such forms of collective activity shall designate a representative to act as their contact person responsible for liaising with the "Joint Transparency Register Secretariat" (JTRS).

19.  The activities to be taken into account for assessing eligibility to register are those aimed (directly or indirectly) at all EU institutions, agencies and bodies, and their Members and their assistants, officials and other staff. Such activities do not include activities directed at Member States, in particular those directed at their permanent representations to the European Union.

20.  European networks, federations, associations or platforms are encouraged to produce common, transparent guidelines for their members identifying the activities covered by the register. They are expected to make those guidelines public.

IV.  Rules applicable to registrants

20140415-P7_TA(2014)0376_EN-p0000001.png

21.  By registering, the organisations and individuals concerned:

—  agree that the information which they provide for inclusion in the register shall be in the public domain;

—  agree to act in compliance with the code of conduct set out in Annex 3 and, where relevant, to provide the text of any professional code of conduct by which they are bound(4);

—  guarantee that the information provided for inclusion in the register is correct and agree to co-operate with administrative requests for complementary information and updates;

—  accept that any alert or complaint concerning them will be handled on the basis of the rules in the code of conduct set out in Annex 3;

—  agree to be subject to any measures to be applied in the event of non-compliance with the code of conduct set out in Annex 3 and acknowledge that the measures provided for in Annex 4 may be applied to them in the event of non-compliance with the code;

—  note that the parties hereto may, upon request and subject to the provisions of Regulation (EC) No 1049/2001 of the European Parliament and of the Council(5), have to disclose correspondence and other documents concerning the activities of registrants.

V.  Implementation

22.  The Secretaries-General of the European Parliament and the European Commission shall be responsible for supervision of the system and for all key operational aspects, and shall by common accord take the measures necessary to implement this agreement.

23.  Although the system is operated jointly, the parties hereto remain free to use the register independently for their own specific purposes.

24.  In order to implement the system, the services of the European Parliament and the European Commission maintain a joint operational structure, designated as the JTRS. The JTRS is made up of a group of officials from the European Parliament and the European Commission pursuant to an arrangement agreed by the competent services. The JTRS operates under the coordination of a Head of Unit in the Secretariat-General of the European Commission. The tasks of the JTRS include producing implementation guidelines, within the limits of this agreement, to facilitate a consistent interpretation of the rules by registrants, and monitoring the quality of the content of the register. The JTRS shall use the administrative resources available to perform quality checks of the content of the register, on the understanding, however, that registrants are ultimately responsible for the information they have provided.

25.  The parties hereto shall organise appropriate training and internal communication projects to raise awareness of the register and of the alert and complaints procedures among their Members and staff.

26.  The parties hereto shall take appropriate measures externally to raise awareness of the register and promote its use.

27.  A series of basic statistics, extracted from the database of the register, shall be published regularly on the Europa Transparency Register website and shall be accessible via a user-friendly search engine. The public content of that database shall be available in electronic, machine-readable formats.

28.  An annual report on the operation of the register shall be submitted by the Secretaries-General of the European Parliament and the European Commission respectively to the relevant Vice-President of the European Parliament and to the relevant Vice-President of the European Commission. The annual report shall provide factual information about the register, its content and its evolution, and shall be published each year for the preceding calendar year.

VI.  Measures applicable for compliant registrants

29.  Access passes to the European Parliament's premises will only be issued to individuals representing, or working for, organisations falling within the scope of the register where those organisations or individuals have registered. However, registration shall not confer an automatic entitlement to such an access pass. The issue and control of passes affording long-term access to the European Parliament's premises shall remain an internal procedure of the Parliament under its own responsibility.

20140415-P7_TA(2014)0376_EN-p0000002.png

30.  The parties hereto shall offer incentives, in the framework of their administrative authority, in order to encourage registration within the framework created by this agreement.

Incentives offered by the European Parliament to registrants may include:

—  further facilitation of access to its premises, its Members and their assistants, its officials and other staff;

—  authorisation to organise or co-host events on its premises;

—  facilitated transmission of information, including specific mailing lists;

—  participation as speakers in committee hearings;

—  patronage by the European Parliament.

Incentives offered by the European Commission to registrants may include:

—  measures with regard to the transmission of information to registrants when launching public consultations;

—  measures with regard to expert groups and other advisory bodies;

—  specific mailing lists;

—  patronage by the European Commission.

Specific incentives available to registrants shall be communicated to them by the parties hereto.

VII.  Measures in the event of non-compliance with the code of conduct

31.  Any person may lodge alerts and complaints, using the standard contact form, available on the website of the register, concerning possible non-compliance with the code of conduct set out in Annex 3. Alerts and complaints shall be handled in accordance with the procedures laid down in Annex 4.

32.  An alert mechanism is a tool to complement the quality checks performed by the JTRS in accordance with paragraph 24. Any person may lodge an alert with regard to factual mistakes concerning the information provided by the registrants. Alerts may also be lodged with regard to non-eligible registrations.

33.  Any person may lodge a formal complaint where non-compliance by a registrant with the code of conduct, other than factual mistakes, is suspected. Complaints shall be substantiated by material facts with regard to the suspected non-compliance with the code.

The JTRS shall investigate the suspected non-compliance with due regard for the principles of proportionality and good administration. Intentional non-compliance with the code of conduct by registrants or by their representatives shall lead to the application of the measures laid down in Annex 4.

34.  Where repeated non-co-operation, repeated inappropriate behaviour, or serious non-compliance with the code of conduct, has been identified by the JTRS under the procedures referred to in paragraphs 31 to 33, the registrant concerned shall be removed from the register for a time period of either one year or two years and the measure will be publicly mentioned in the register, as laid down in Annex 4.

VIII.  Involvement of other institutions and bodies

35.  The European Council and the Council are invited to join the register. Other EU institutions, bodies and agencies are encouraged to use the framework created by this agreement themselves as a reference instrument for their own interaction with organisations and self-employed individuals engaged in EU policy-making and policy implementation.

IX.  Final provisions

36.  This agreement shall replace the agreement between the European Parliament and the European Commission of 23 June 2011 whose effects shall cease to apply on the date of application of this agreement.

37.  The register shall be subject to a review in 2017.

38.  This agreement shall enter into force on the twentieth day following that of its publication in the Official Journal of the European Union. It shall apply from ....(6) or from 1 January 2015 whichever date is the earliest.

Entities already registered at the date of application of this agreement shall amend their registration to satisfy the new requirements resulting from this agreement within a period of three months following that date.

Done at ...,

For the European Parliament For the European Commission

The President The President

(1) OJ L 191, 22.7.2011, p. 29.
(2) OJ C 271 E, 12.11.2009, p. 48.
(3) OJ C 377 E, 7.12.2012, p. 176.
(4) The professional code of conduct by which a registrant is bound may impose obligations which are more stringent than the requirements of the code of conduct set out in Annex 3.
(5) Regulation (EC) No 1049/2001 of the European Parliament and of the Council of 30 May 2001 regarding public access to European Parliament, Council and Commission documents (OJ L 145, 31.5.2001, p. 43).
(6) OJ: please insert the date: 3 months after the date of entry into force of this agreement.


Annex 1

"Transparency Register"

Organisations and self-employed individuals engaged in EU policy-making and policy implementation

Sections

Characteristics/remarks

I - Professional consultancies/law firms/self-employed consultants

Subsection

Professional consultancies

Firms carrying on, on behalf of clients, activities involving advocacy, lobbying, promotion, public affairs and relations with public authorities.

Subsection

Law firms

Law firms carrying on, on behalf of clients, activities involving advocacy, lobbying, promotion, public affairs and relations with public authorities.

Subsection

Self-employed consultants

Self-employed consultants or lawyers carrying on, on behalf of clients, activities involving advocacy, lobbying, promotion, public affairs and relations with public authorities. This subsection is for registration of entities involving only one person.

II - In-house lobbyists and trade/business/professional associations

Subsection

Companies and groups

Companies or groups of companies (with or without legal status) carrying on in-house, for their own account, activities involving advocacy, lobbying, promotion, public affairs and relations with public authorities.

Subsection

Trade and business associations

Organisations (either profit or non-profit making themselves) representing profit-making companies or mixed groups and platforms.

Subsection

Trade unions and professional associations

Interest representation of workers, employees, trades or professions.

Subsection

Other organisations including:

—  event-organising entities (profit or non-profit making);

—  interest-related media or research oriented entities linked to private profit making interests;

—  ad-hoc coalitions and temporary structures (with profit-making membership).

III - Non-governmental organisations

Subsection

Non-governmental organisations, platforms, networks, ad-hoc coalitions, temporary structures and other similar organisations.

Not-for-profit organisations (with or without legal status), which are independent from public authorities or commercial organisations. Includes foundations, charities, etc.

Any such entity including profit-making elements among its membership must register in Section II.

IV - Think tanks, research and academic institutions

Subsection

Think tanks and research institutions

Specialised think tanks and research institutions dealing with the activities and policies of the European Union.

Subsection

Academic institutions

Institutions whose primary purpose is education but that deal with the activities and policies of the European Union.

V - Organisations representing churches and religious communities

Subsection

Organisations representing churches and religious communities

Legal entities, offices, networks or associations set up for representation activities.

VI - Organisations representing local, regional and municipal authorities, other public or mixed entities, etc.

Subsection

Regional structures

Regions themselves and their representative offices are not expected to register but can register if they wish to do so. Associations or networks created to represent regions collectively are expected to register.

Subsection

Other sub-national public authorities

All other sub-national public authorities, such as cities, local and municipal authorities, or their representation offices, and national associations or networks, are expected to register.

Subsection

Transnational associations and networks of public regional or other sub-national authorities

Subsection

Other public or mixed entities, created by law whose purpose is to act in the public interest

Includes other organisations with public or mixed (public/private) status.


Annex 2

Information to be provided by registrants

I.  GENERAL AND BASIC INFORMATION

a)  organisation name(s), address of head office and Brussels, Luxembourg or Strasbourg address where relevant, phone number, e-mail address, website;

b)  names of the person legally responsible for the organisation and of the organisation's director or managing partner or, if applicable, principal contact point in respect of activities covered by the register (i.e. head of EU affairs); names of the persons with authorisation for access to the European Parliament's premises(1);

c)  number of persons (members, staff, etc) involved in activities covered by the register and of persons benefiting from an access pass to the European Parliament's premises and the amount of time spent by each person on such activities according to the following percentages of a full-time activity: 25%, 50%, 75% or 100 %;

d)  goals/remit – fields of interest – activities – countries in which operations are carried out – affiliations to networks – general information falling within the scope of the register;

e)  membership and, if applicable, number of members (individuals and organisations).

II.  SPECIFIC INFORMATION

A.  ACTIVITIES COVERED BY THE REGISTER

Specific details shall be provided on the main legislative proposals or policies targeted by activities of the registrant, and which are covered by the register. Reference to other specific activities, such as events or publications, may be made.

B.  LINKS WITH EU INSTITUTIONS

a)  Membership of high-level groups, consultative committees, expert groups, other EU supported structures and platforms, etc.

b)  Membership of, or participation in, European Parliament intergroups or industry forums, etc.

C.  FINANCIAL INFORMATION RELATED TO THE ACTIVITIES COVERED BY THE REGISTER

1.  All registrants shall provide:

a)  An estimate of the annual costs related to activities covered by the register. Financial figures shall cover a full year of operations and refer to the most recent financial year closed, as of the date of registration or of the annual update of the registration details.

b)  The amount and source of funding, received from EU institutions in the most recent financial year closed, as of the date of registration or of the annual update of the registration details. That information shall correspond to the information provided by the European Financial Transparency System(2).

2.  Professional consultancies/law firms/self-employed consultants (Section I of Annex 1) shall additionally provide:

a)  The turnover attributable to the activities covered by the register according to the following grid:

Annual turnover for representation activities in euros

0 – 99 999

100 000– 499 999

500 000 – 1 000 000

> 1 000 000

b)  A list of all clients, on behalf of whom activities covered by the register are carried out. Revenue from clients for representation activities shall be listed according to the following grid:

Bracket size of representation activities per client per annum in euros

0 – 9 999

10 000 – 24 999

25 000 – 49 999

50 000 – 99 999

100 000 – 199 999

200 000 – 299 999

300 000 – 399 999

400 000 – 499 999

500 000 – 599 999

600 000 – 699 999

700 000 – 799 999

800 000 – 899 999

900 000 – 1 000 000

> 1 000 000

c)  Clients are also expected to register. The financial declaration made by professional consultancies/law firms/self-employed consultants concerning their clients (list and grid) does not exempt those clients from their obligation to include subcontracted activities in their own declarations, so as to avoid an underestimation of their declared financial outlay.

3.  In-house lobbyists and trade/business/professional associations (Section II of Annex I) shall additionally provide:

the turnover attributable to the activities covered by the register, including for amounts less than EUR 10 000.

4.  Non-governmental organisations – Think tanks, research and academic institutions – organisations representing churches and religious communities – organisations representing local, regional and municipal authorities, other public or mixed entities, etc. (Sections III to VI of Annex 1) shall additionally provide:

a)  the total budget of the organisation

b)  a breakdown of the main amounts and sources of funding.

(1) Registrants can request authorisation for access to the European Parliament's premises at the end of the registration process. The names of individuals who receive access passes to the European Parliament's premises shall be inserted in the register. Registration shall not confer an automatic entitlement to such an access pass.
(2) http://ec.europa.eu/budget/fts/index_en.htm


Annex 3

Code of conduct

The parties hereto consider that all interest representatives interacting with them, whether on a single occasion or more frequently, registered or not, should behave in conformity with this code of conduct.

In their relations with EU institutions and their Members, officials and other staff, interest representatives shall:

(a)  always identify themselves by name and, by registration number, if applicable, and by the entity or entities they work for or represent; declare the interests, objectives or aims they promote and, where applicable, specify the clients or members whom they represent;

(b)  not obtain or try to obtain information or decisions dishonestly or by use of undue pressure or inappropriate behaviour;

(c)  not claim any formal relationship with the European Union or any of its institutions in their dealings with third parties, or misrepresent the effect of registration in such a way as to mislead third parties or officials or other staff of the European Union, or use the logos of EU institutions without express authorisation;

(d)  ensure that, to the best of their knowledge, information, which they provide upon registration, and subsequently in the framework of their activities covered by the register, is complete, up-to-date and not misleading; accept that all information provided is subject to review and agree to co-operate with administrative requests for complementary information and updates;

(e)  not sell to third parties copies of documents obtained from EU institutions;

(f)  in general, respect, and avoid any obstruction to the implementation and application of, all rules, codes and good governance practices established by EU institutions;

(g)  not induce Members of the institutions of the European Union, officials or other staff of the European Union, or assistants or trainees of those Members, to contravene the rules and standards of behaviour applicable to them;

(h)  if employing former officials or other staff of the European Union, or assistants or trainees of Members of EU institutions, respect the obligation of such employees to abide by the rules and confidentiality requirements which apply to them;

(i)  obtain the prior consent of the Member or Members of the European Parliament concerned as regards any contractual relationship with, or employment of, any individual within a Member's designated entourage;

(j)  observe any rules laid down on the rights and responsibilities of former Members of the European Parliament and the European Commission;

(k)  inform whomever they represent of their obligations towards the EU institutions.

Individuals who have registered with the European Parliament with a view to being issued with a personal, non-transferable pass affording access to the European Parliament’s premises shall:

(l)  ensure that they wear the access pass visibly at all times in European Parliament premises;

(m)  comply strictly with the relevant European Parliament Rules of Procedure;

(n)  accept that any decision on a request for access to the European Parliament's premises is the sole prerogative of the Parliament and that registration shall not confer an automatic entitlement to an access pass.


Annex 4

Procedures for alerts and for the investigation and treatment of complaints

I.  ALERTS

Any person may lodge an alert to the JTRS by completing the standard contact form, available on the website of the register, with regard to information contained in the register and non-eligible registrations.

Where alerts are made about information contained in the register, they will be treated as allegations of non-compliance with point (d) of the code of conduct set out in Annex 3 (1). The registrant concerned will be asked to update the information or explain to the JTRS why the information does not need to be updated. Where the registrant concerned does not co-operate, measures as outlined in the table of measures below (rows 2 to 4), may be applied.

II.  COMPLAINTS

Stage 1: Submitting a complaint

1.  Any person may submit a complaint to the JTRS by completing a standard form available on the website of the register. That form shall contain the following information:

(a)  the registrant that is the subject of the complaint;

(b)  the name and contact details of the complainant;

(c)  details of the alleged non-compliance with the code of conduct, including possible documents or other materials supporting the complaint, an indication of whether any harm was caused to the complainant and grounds for suspecting intentional non-compliance.

Anonymous complaints shall not be considered.

2.  The complaint shall specify the clauses of the code of conduct which the complainant alleges have not been complied with. Any complaint, where the non-compliance is, from the outset, deemed to be clearly unintentional by the JTRS, may be re-qualified by the JTRS as an "alert".

3.  The code of conduct shall apply exclusively to relations between interest representatives and the EU institutions and may not be used to regulate relations between third parties or between registrants.

Stage 2: Admissibility

4.  On reception of the complaint the JTRS shall:

(a)  acknowledge receipt of the complaint to the complainant within five working days;

(b)  determine whether the complaint falls within the scope of the register, as outlined in the code of conduct set out in Annex 3 and stage 1 above;

(c)  verify any evidence adduced to support the complaint, whether this takes the form of documents, other materials or personal statements; in principle any material evidence shall be sourced from the registrant concerned, from a document issued by a third party or from publicly available sources. Mere value judgments presented by the complainant shall not be considered to be evidence;

(d)  on the basis of the analyses referred to in points (b) and (c), decide on the admissibility of the complaint.

5.  If the complaint is deemed inadmissible, the JTRS shall inform the complainant in writing, stating the reasons for the decision.

6.   If the complaint is deemed admissible, both the complainant and the registrant concerned shall be informed by the JTRS of the decision and of the procedure to be followed, as set out below.

Stage 3: Handling of an admissible complaint - examination and provisional measures

7.  The registrant concerned shall be notified by the JTRS of the content of the complaint and of the clause(s) allegedly not complied with and shall be invited at the same time to submit a position in response to that complaint within 20 working days. In support of that position, and within the same timeframe, a memorandum produced by a representative professional organisation may also be submitted by the registrant, in particular for regulated professions or organisations subject to a professional code of conduct.

8.  Non-compliance with the deadline indicated in paragraph 7 shall lead to a temporary suspension of the registrant concerned from the register until co-operation is resumed.

9.  All information collected during the investigation shall be examined by the JTRS which may decide to hear the registrant concerned, or the complainant, or both.

10.  If examination of the material provided shows the complaint to be unfounded, the JTRS shall inform both the registrant concerned and the complainant of the decision to that effect, stating the reasons for the decision.

11.  If the complaint is upheld, the registrant concerned shall be temporarily suspended from the register pending the taking of steps to address the issue (see Stage 4 below) and may be subject to a number of additional measures including removal from the register and withdrawal, where applicable, of any authorisation for access to the European Parliament's premises in accordance with the internal procedures of that institution (see Stage 5 and rows 2-4 in the table of measures below), notably in cases of non co-operation.

Stage 4: Handling of an admissible complaint - resolution

12.  Where a complaint is upheld and problematic issues are identified, the JTRS will take all necessary steps in cooperation with the registrant concerned to address and resolve the issue.

13.  If the registrant concerned co-operates, a reasonable period of time shall be allocated by the JTRS, on a case-by-case basis, to achieve resolution.

14.  Where a possible resolution of the issue has been identified, and the registrant concerned co-operates to give effect to that resolution, the registration pertaining to that registrant shall be reactivated, and the complaint closed. The JTRS shall inform both the registrant concerned and the complainant of the decision to that effect, stating the reasons for the decision.

15.  Where a possible resolution of the issue has been identified, and the registrant concerned does not co-operate to give effect to that resolution, the registration pertaining to that registrant shall be deleted (see rows 2 and 3 of the table of measures below). The JTRS shall inform both the registrant concerned and the complainant of the decision to that effect, stating the reasons for the decision.

16.  Where a possible resolution of the issue requires a decision from a third party, including an authority in a Member State, the final decision by the JTRS shall be suspended until such time as that decision has been taken.

17.  If the registrant does not co-operate within 40 working days of the notification of the complaint under paragraph 7, measures for non-compliance shall be applied (see paragraphs 19 to 22 of Stage 5 and rows 2 to 4 of the table of measures below).

Stage 5: Handling of an admissible complaint - measures to be applied in the event of non-compliance with the code of conduct

18.  Where immediate corrections are made by the registrant concerned, both the complainant and the registrant concerned will receive from the JTRS written acknowledgement of the facts and their corrections (see row 1 of the table of measures below).

19.  Failure to react by the registrant concerned within the deadline of 40 days set out in paragraph 17 shall result in removal from the register (see row 2 of the table of measures below) and loss of access to any incentives linked to registration.

20.  Where inappropriate behaviour has been identified, the registrant concerned shall be removed from the register (see row 3 of the table of measures below) and shall lose any incentives linked to registration.

21.  In cases referred to in paragraphs 19 and 20, the registrant concerned may re-register, if the grounds leading to removal have been remedied.

22.  Where either non-co-operation or inappropriate behaviour are deemed to be repeated and deliberate, or where serious non-compliance has been identified (see row 4 of the table of measures below), a decision to prohibit re-registration for a time period of either one year or two years (depending on the gravity of the case) shall be adopted by the JTRS.

23.  Any measure adopted under paragraphs 18 to 22 or rows 1 to 4 in the table of measures below shall be notified by the JTRS to the registrant concerned and to the complainant.

24.  In cases where a measure adopted by the JTRS results in a long-term removal from the register (see row 4 in the table of measures below), the registrant concerned may - within 20 working days of the notification of the measure - submit a reasoned request for re-examination of that measure to the Secretaries-General of the European Parliament and of the European Commission.

25.  Upon expiry of the 20 days deadline or after the Secretaries-General have taken a final decision, the relevant Vice-President of the European Parliament and the relevant Vice-President of the European Commission shall be informed and the measure shall be mentioned publicly in the register.

26.  Where a decision on prohibiting re-registration for a certain time period entails a withdrawal of the possibility of requesting authorisation to access the European Parliament's premises as an interest representative, a proposal by the Secretary-General of the European Parliament shall be submitted to the College of Quaestors, who shall be invited to authorise the withdrawal of the related access authorisation held by the individual or individuals concerned for that time period.

27.  In its decisions on applicable measures under this Annex, the JTRS shall have due regard to the principles of proportionality and good administration. The JTRS shall operate under the coordination of a Head of Unit in the Secretariat-General of the European Commission, and under the authority of the Secretaries-General of the European Parliament and the European Commission, who shall be kept duly informed.

Table of measures available in the event of non-compliance with the code of conduct

Type of non-compliance (numbers refer to the paragraphs above)

Measure

Publication of measure in the register

Formal decision to withdraw access to European Parliament premises

1

Non-compliance, immediately corrected (18)

Written notification acknowledging the facts and their correction.

No

No

2

Non-co-operation with JTRS (19 and 21)

Removal from the register, de-activation of the authorisation for access to European Parliament premises and loss of other incentives

No

No

3

Inappropriate behaviour (20 and 21)

Removal from the register, de-activation of the authorisation for access to European Parliament premises and loss of other incentives.

No

No

4

Repeated and deliberate non-co-operation or repeated inappropriate behaviour (22) and/or serious non-compliance.

a)  Removal from the register for one year, and formal withdrawal of the authorisation for access to European Parliament premises (as an accredited interest group representative) ;

b)  Removal from the register for two years and formal withdrawal of the authorisation for access to European Parliament premises (as an accredited interest group representative).

Yes, by decision of the Secretaries-General of the European Parliament and of the European Commission.

Yes, by decision of College of Quaestors

(1) Point (d) requires interest representatives, in their relations with the EU institutions and their Members, officials and other staff, to "ensure that, to the best of their knowledge, information which they provide upon registration and subsequently in the framework of their activities covered by the register is complete, up-to-date and not misleading" and to "accept that all information provided is subject to review and agree to co-operate with administrative requests for complementary information and updates;".

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