| Dokumendiregister | Riigikogu |
| Viit | 1-2/26-505/1 |
| Registreeritud | 17.07.2026 |
| Sünkroonitud | 17.07.2026 |
| Liik | EL dokument |
| Funktsioon | |
| Sari | |
| Toimik | Ettepanek - COM(2026) 366 |
| Juurdepääsupiirang | Avalik |
| Adressaat | |
| Saabumis/saatmisviis | |
| Vastutaja | |
| Originaal | Ava uues aknas |
| Taotle dokumendi eemaldamist või parandamist |
EN EN
EUROPEAN COMMISSION
Brussels, 13.7.2026 COM(2026) 366 final
2026/0193 (NLE)
Proposal for a
COUNCIL DECISION
on the signing, on behalf of the European Union, of the additional Protocol to the
Council of Europe Convention on Laundering, Search, Seizure and Confiscation of the
Proceeds from Crime and on the Financing of Terrorism
EN 1 EN
EXPLANATORY MEMORANDUM
1. CONTEXT OF THE PROPOSAL
• Reasons for and objectives of the proposal
The present proposal aims to obtain from the Council of the European Union (‘the Council’)
the authorisation for the European Commission (‘the Commission’) to sign the additional
Protocol (‘the Protocol’) to the Council of Europe Convention on Laundering, Search, Seizure
and Confiscation of the Proceeds from Crime and on the Financing of Terrorism (CETS No.
198) (‘Warsaw Convention’ or ‘Convention’) on behalf of the European Union.
The Commission also intends to submit a proposal for a Council Decision authorising the
Commission to conclude the Protocol on behalf of the European Union as well as a proposal
for a Council Decision authorising the Commission to conclude the Warsaw Convention on
behalf of the European Union at a later date.
The Protocol is of particular importance because serious and organised crime is a major threat
to security within and beyond the EU as well as the functioning of our economy. A major
feature of organised crime is that it is profit driven. The revenue obtained through illicit
activities is used for other criminal activities or invested to infiltrate the legal economy. This
has far-reaching and destabilising consequences for society, the rule of law and trust in public
authorities.
Approximately EUR 4.1 billion of criminal assets were frozen on average per year in 2020
and 2021 in EU Member States. This represented an increase compared to earlier years, but
the asset recovery rate still remains at only approximately 2% of the estimated yearly
proceeds of organised crime1.
Depriving criminals of their ill-gotten gains is essential for effectively fighting organised
crime. Effective asset recovery deters criminal activity by removing its main driver, while
protecting the integrity of the financial system and broader economy through reducing the
circulation of assets from illicit origin. Moreover, asset recovery allows for the compensation
of the victims of crime, supporting social cohesion and justice. In addition, effective
application of asset recovery measures, including tracing, freezing, confiscation, asset
management and disposal of assets, is proven to be a key tool in uncovering and dismantling
the criminal networks operating at an international level.
The Protocol is fully compatible with EU law in general and the relevant Union acquis in
particular, specifically the asset recovery and confiscation Directive, as well as the Mutual
Recognition Regulation. The Protocol will strengthen the asset recovery systems globally
among other Council of Europe members and key international partners that can become
Party to the Protocol and will improve judicial cooperation in the area of asset recovery.
Background
The Warsaw Convention, adopted on 16 May 2005, covers multiple aspects of the prevention
and the combatting of money laundering and the financing of terrorism. It builds on the
Convention on Laundering, Search, Seizure and Confiscation of the Proceeds from Crime
(CETS No. 141) (‘Strasbourg Convention’). The EU signed the Warsaw Convention’ on 2
April 2009 but has not ratified it yet. As of 18 December 2023, 25 Member States have signed
the Convention, 23 of which have ratified it.
1 Europol (2025), Serious and Organised Crime Threat Assessment 2025 – The changing DNA of serious
and organised crime, Publications Office of the EU, p. 26.
EN 2 EN
Since the adoption of the Warsaw Convention in 2005, the criminality landscape has been
evolving rapidly and the international standards and legal framework on asset recovery have
also developed further. Studies and consultations, particularly by the Committee of Experts on
the Operation of European Conventions on Cooperation in Criminal Matters (PC-OC) and the
Convention’s Conference of Parties, highlighted the need for a new binding instrument. Key
issues identified include improving international cooperation on asset sharing, strengthening
the management of seized and confiscated assets, and enabling wider use of non-conviction-
based and extended confiscation.
In parallel, developments at EU level, notably new legislation on asset recovery, reinforced
the need to address these topics in a broader pan-European context. As a result, the Council of
Europe established the Committee of Experts on Criminal Asset Recovery (PC-RAC) in 2023
to negotiate and draft an Additional Protocol to the Convention.
On 13 June 2024, the Council authorised the Commission to participate, on behalf of the
European Union, in the negotiations on the Additional Protocol to the Warsaw Convention.
The Commission participated in line with the Council Decision and was guided by negotiating
directives set out therein. The Commission consulted the Council’s special committee for the
negotiations regarding the position to take and ensured the Protocol’s compatibility with the
EU acquis.
The negotiation sessions took place in dedicated meetings of the PC-RAC. There were seven
negotiation sessions between May 2024 and December 2025. On 25 November 2025 the
Committee on Crime Problems (CDPC) approved the draft Protocol and the accompanying
draft explanatory report, for which last changes were required. On 23 April 2026, the Council
of Europe Parliamentary Assembly adopted its opinion on the draft Protocol. On 15 May
2026, at their 135th meeting, the Committee of Ministers adopted the Protocol, took note of
its explanatory report and agreed to open the Protocol for signature on 14 October 2026.
This Protocol will enter into force on the first day of the month following the expiration of a
period of three months after the date on which five signatories, including at least three
member States of the Council of Europe, have expressed their consent to be bound by the
Protocol, pursuant to its Article 38(1).
The EU can sign the Protocol as signatory to the Warsaw Convention, pursuant to Article 37
of the Protocol.
• Consistency with existing policy provisions in the policy area
The Protocol directly relates to common EU rules on asset recovery and judicial cooperation
in criminal matters. The Protocol contains provisions on confiscation measures, the
establishment of asset recovery offices, the rules on their access to information and exchange
of information between them, rules on asset management and on judicial cooperation,
including the return of assets, the sharing of assets and the use of certificates for freezing and
confiscation across borders, as well as safeguards and legal remedies for persons affected by
measures set out in the Protocol.
The rules on confiscation, including on extended confiscation and non-conviction-based
confiscation are compatible with the EU acquis, namely Directive 2014/42/EU of the
European Parliament and of the Council of 3 April 2014 on the freezing and confiscation of
instrumentalities and proceeds of crime in the European Union2 and Directive (EU)
2024/1260 of the European Parliament and of the Council of 24 April 2024 on asset recovery
2 OJ L 127, 29.4.2014, pp. 39–50.
EN 3 EN
and confiscation3. Also, the rules on the establishment of asset recovery offices, their access
to information as well as the designation of asset management offices and asst management,
including asset management planning and pre-confiscation sales are in line with the Directive
(EU) 2024/1260. The Protocol also contains rules on the social reuse of assets, a tool to
provide information regarding assets to asset recovery offices, asset management offices and
other authorities as well as on resources for training for competent authorities regarding asset
recovery in compatibility with Directive (EU) 2024/1260.
Directive (EU) 2024/1260 replaced Directive 2014/42/EU, which remains in force as regards
cooperation with Ireland, who do not participate in Directive (EU) 2024/1260. Directive
2014/42/EU partly replaced Council Framework Decision 2005/212/JHA on Confiscation of
Crime-Related Proceeds, Instrumentalities and Property4, which remains in force as regards
cooperation with Denmark, who do not participate in neither Directive (EU) 2024/1260 nor
Directive 2014/42/EU.
Regulation (EU) 2018/1805 of the European Parliament and of the Council of 14 November
2018 on the mutual recognition of freezing orders and confiscation orders5 sets out rules on
judicial co-operation between Member States for the purpose of the recognition and execution
of freezing and confiscation orders. This includes, inter alia, rules on the transmission,
recognition and procedure for the execution of freezing and confiscation orders, the
management and disposal of frozen and confiscated property in cross-border cases (including
interlocutory sales), restitution of property to victims as well as the disposal of confiscated
property or money obtained after the sale of property (including with a view to victim
compensation and to regulating the sharing of assets between Member States). Moreover, the
Regulation contains rules on the bearing and sharing of costs related to the execution of cross-
border freezing orders and on procedural rights of affected persons, including as regards
notification obligations and legal remedies. These matters are also broadly regulated in
Council Framework Decision 2006/783/JHA of 6 October 2006 on the application of the
principle of mutual recognition to confiscation orders6 and Council Framework Decision
2003/577/JHA of 22 July 2003 on the execution in the European Union of orders freezing
property or evidence 7, which remain in force as regards cooperation with Ireland and
Denmark, who do not participate in Regulation (EU) 2018/1805.
• Consistency with other Union policies
The Protocol is consistent with relevant EU rules and policies in the areas which will be
covered by it (as described under Section ‘Consistency with existing policy provisions in the
policy area’). In the wider context, the Protocol is consistent with EU legal instruments and
policies adopted in the area of freedom, security and justice, under Title V of Part Three of the
TFEU, which contribute to EU’s fight against financial crime, including crimes affecting the
Union’s financial interests, and illicit financial flows, as well as the Union’s commitments
under other relevant multilateral agreements. It is also compatible with relevant international
agreements, such as the Trade and Cooperation Agreement between the European Union and
the European Atomic Energy Community, of the one part, and the United Kingdom of Great
Britain and Northern Ireland, of the other part8, which, inter alia, regulates police and judicial
3 OJ L, 2024/1260, 2.5.2024. 4 OJ L 68, 15.3.2005, pp. 49–51. 5 OJ L 303, 28.11.2018, pp. 1–38. 6 OJ L 328, 24.11.2006, p. 59–78. 7 OJ L 196, 2.8.2003, p. 45–55. 8 OJ L 149, pp. 10–2539.
EN 4 EN
cooperation for the purpose of asset recovery between the United Kingdom and EU Member
States.
2. LEGAL BASIS, SUBSIDIARITY AND PROPORTIONALITY
• Legal basis
Substantive legal basis
The substantive legal basis for a decision under Article 218(6) TFEU depends primarily on
the objective and content of the international agreement to be signed. If an international
agreement pursues two aims or has two components and if one of those aims or components is
identifiable as the main one, whereas the other is merely incidental, the decision under
Article 218(6) TFEU must be founded on a single substantive legal basis, namely that
required by the main or predominant aim or component.
Given that the main objectives and components of parts of the Protocol are to strengthen asset
recovery efforts, including by enhancing national rules on freezing and confiscation, asset
tracing and asset management, safeguards as well as international cooperation between law
enforcement and judicial authorities, the substantive legal bases are Articles 82 (1) and (2),
83(1) and (2), and 87(2) TFEU.
The other parts of the Protocol relating to Anti-Money-Laundering provisions fall under a
different substantive legal basis, namely Article 114 TFEU and are therefore part of a separate
proposal for a Council Decision.
Given the subject matter of the envisaged agreement, it is appropriate for the Commission to
submit the proposal to the Council.
Procedural legal basis
Article 218(5) TFEU provides that, where the agreement envisaged does not relate
exclusively or principally to the common foreign and security policy, the Commission shall
submit a proposal to the Council. The Council shall adopt a decision authorising the signing
of the agreement.
The Commission proposes to authorise the signing of the Additional Protocol, subject to its
conclusion at a later date.
Thus, the procedural legal basis for the proposed decision to authorise the signing of the
envisaged agreement is Article 218(5) TFEU.
Union competence
The nature of international agreements (‘EU Only’ or ‘mixed’) is contingent upon the specific
subject matter's compatibility with the Union competences.
Article 3(2) of the TFEU provides that the Union has exclusive competence ‘for the
conclusion of an international agreement (...) in so far as its conclusion may affect common
rules or alter their scope.’ In particular, the European Court of Justice has clarified that a
“finding that there is such a risk [of affectation or alteration of EU rules by international
commitments] does not presuppose that the areas covered by the international commitments
and those covered by the EU rules coincide fully” but that “the scope of common EU rules
may be affected or altered by such commitments also where those commitments fall within an
area which is already largely covered by such rules”.([1]) This rationale is based on a Court’s
opinion stating that “(...) where the test of an area which is already covered to a large extent
by Community rules is to be applied, the assessment must be based not only on the scope of
the rules in question but also on their nature and content. It is also necessary to take into
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account not only the current state of Community law in the area in question but also its future
development, insofar as that is foreseeable at the time of that analysis” (see, to that effect,
Opinion 2/91, paragraph 25 and 26).[2]
Whereas the Member States remain competent for some parts of the Additional Protocol, and
particularly for provisions on national measures for the freezing seizure, confiscation for
criminal offences falling outside the scope of Article 83 TFEU and for national rules on
investigative powers and techniques, the EU has competence for a considerable part of the
provisions of the Convention and should therefore sign the Convention alongside Member
States.
The Treaties, and, in particular, Articles 82, 83 and 87 in Title V of the TFEU, confer upon
the EU competence in the field judicial and law enforcement cooperation in criminal matters,
which largely covers the matters regulated by the Additional Protocol to Convention No. 198.
The EU has already adopted legislative measures in the policy areas covered by the
Additional Protocol to Convention No. 198:
• Article 2(2) (definition of financing of terrorism) is covered by Directive (EU)
2017/541 of the European Parliament and of the Council of 15 March 2017 on
combating terrorism and replacing Council Framework Decision 2002/475/JHA and
amending Council Decision 2005/671/JHA9;
• Articles 3 to 5 (extended, non-conviction-based and third party confiscation, Article
6 (provisional measures), Article 8 (financial investigations), Article 11 and 12
(establishment of asset recovery offices and their access to information), Articles 13
to 15 (asset management, establishment of asset management offices, pre-
confiscation sales), Article 16 (use of frozen and confiscated property), Article 17
(access to information on frozen and confiscated property) as well as Article 29
(international cooperation between asset recovery offices), Article 33 and 34
(security measures, resources and training) are covered by or interlinked Directive
(EU) 2024/1260 of the European Parliament and the Council on asset recovery and
confiscation10 .
• Article 9(2) (The access to bank account information for law enforcement
authorities, including asset recovery offices) is covered by Directive (EU) 2019/1153
of the European Parliament and of the Council laying down rules facilitating the use
of financial and other information for the prevention, detection, investigation or
prosecution of certain criminal offences11;
• Articles 18 (general principles of cooperation), 24 and 25 (standard forms), 26
(return of property) and 27 (sharing of property) fall within the scope of Regulation
(EU) 2018/1805 of the European Parliament and the Council on the mutual
recognition of freezing orders and confiscation orders12;
• Article 19 concerning the transfer of personal data interlinks with the EU data
protection acquis, in particular Directive (EU) 2016/680 of the European Parliament
and of the Council of 27 April 2016 on the protection of natural persons with regard
to the processing of personal data by competent authorities for the purposes of the
9 OJ L 88, 31.3.2017, pp. 6–21. 10 OJ L, 2024/1260, 2.5.2024. 11 OJ L 186, 11.7.2019, p. 122–137. 12 OJ L 303, 28.11.2018, pp. 1–38.
EN 6 EN
prevention, investigation, detection or prosecution of criminal offences or the
execution of criminal penalties, and on the free movement of such data13.
• Articles 20, 21 and 22 on requests for information concerning accounts with and
transactions carried out by financial institutions and virtual asset service providers as
well as the monitoring thereof fall within the scope of the Directive (EU)
2014/41/EU of the European Parliament and the Council regarding the European
Investigation Order in criminal matters14;
• Article 23 provides a legal basis for the setting up of Joint Investigation Teams (JITs)
for the recovery of property liable to confiscation. Under EU law, legal bases for
setting up JITs are established in the Convention on Mutual Assistance in Criminal
Matters adopted in May 2000 and Council Framework Decision 2002/465/JHA on
joint investigation teams
• As regards Articles 31 and 32 (safeguard, remedies and notification obligations), to
the extent that measures of judicial cooperation for the purpose of asset freezing and
confiscation provided for in the Convention and its Protocol are concerned, they fall
within the scope of the abovementioned Regulation (EU) 2018/1805. To the extent
that measures of judicial cooperation for the purpose of gathering evidence are
concerned, Articles 31 and 32 fall within the scope of Directive 2014/41/EU. To the
extent that measures of cooperation between asset recovery offices are concerned,
Articles 31 and 32 fall within the scope of Directive (EU) 2024/1260. To the extent
that national measures are concerned, Articles 31 and 32 fall within the scope of the
abovementioned Directive (EU) 2024/1260. To a large extent, the rights and
safeguards enshrined in Articles 31 and 32 are also covered more generally by the
EU procedural rights directives for suspects and accused persons in criminal
proceedings, in particular Directive 2010/64/EU on the right to interpretation and
translation, Directive 2012/13/EU on the right to information, Directive 2013/48 on
the right of access to a lawyer, Directive (EU) 2016/343 on the presumption of
innocence and the right to be present at trial and Directive (EU) 2016/1919 on legal
aid.
• Articles 2 (regarding the definitions of virtual assets and virtual asset service
providers), Articles 9 (requirement for the establishment of mechanisms for
retrieving bank account information) and Articles 10 and 28 (suspension or
withholding of consent for suspicious transactions, accounts and business
relationships and connected FIU to FIU cooperation) fall within the scope of
Directive (EU) 2024/1640 of the European Parliament and of the Council on the
mechanisms to be put in place by Member States for the prevention of the use of the
financial system for the purposes of money laundering or terrorist financing
(AMLD6) the Regulation (EU) 2023/1114 on markets in crypto assets.
The majority of obligations stemming from the Additional Protocol to the Council of
Europe Convention 198 are therefore covered by EU law.
13 OJ L 119, 4.5.2016, pp. 89–131. 14 OJ L 130, 1.5.2014, p. 1-36.
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• Subsidiarity (for non-exclusive competence)
Not applicable.
• Proportionality
This initiative does not go beyond what is necessary to achieve the policy objectives at stake
and therefore, is in accordance with the principle of proportionality, as set out in Article 5(4)
TEU. The Union is best placed to act as the Union has already exercised internal competence
in this area through the adoption of various legal instruments in the area of judicial and law
enforcement cooperation in criminal matters, in particular for the purpose of facilitating
criminal asset recovery, including in cross-border cases.
• Choice of the instrument
This proposal for a Council decision is submitted in accordance with Article 218(5) TFEU,
which envisages the adoption by the Council of a decision authorising the signing of the
agreement. There exists no other legal instrument that could be used in order to achieve the
objective expressed in this proposal.
3. RESULTS OF EX-POST EVALUATIONS, STAKEHOLDER
CONSULTATIONS AND IMPACT ASSESSMENTS
• Ex-post evaluations/fitness checks of existing legislation
Not applicable.
• Stakeholder consultations
The European Commission has not carried out specific stakeholder consultation on this
proposal.
The elaboration of the Convention was a collaborative effort of the Council of Europe
Committee of Experts on Criminal Asset Recovery, involving the member states of the
Council of Europe, as well as observer states, the Financial Action Task Force, UNODC and
legal experts.
• Collection and use of expertise
The Union’s negotiation positions for the Convention have been prepared in consultations
with the Council Working Party on Judicial Cooperation in Criminal Matters (COPEN).
• Impact assessment
Not applicable.
• Regulatory fitness and simplification
Not applicable.
• Fundamental rights
The signature of the Protocol by the European Union sets common minimum standards for the
protection of fundamental rights in relation to the measures provided for in the Protocol.
Certain fundamental rights and freedoms enshrined in the Charter of Fundamental Rights of
the European Union (‘the Charter’) are of particular relevance. This includes the right to
property (Article 17), the right to a fair trial and an effective remedy (Article 47), the
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presumption of innocence and right to defence (Article 48) as well as the right to the
protection of personal data (Article 8).
Concerning interferences with the right to property, Article 31, paragraph 1, anchors the
Protocol in the principles of necessity and proportionality, which are fundamental to ensuring
the lawfulness of interferences with fundamental rights. Paragraphs 3 and 4 additionally
establish important safeguards to ensure that no irreparable interference with the right to
property occurs without the affected person having had the opportunity to be heard.
Limitations to the use of measures of confiscation, in particular extended and non-conviction
based confiscation, as well as to the use of new provisional measures introduced by this
Protocol (see i.a. reservation options provided for in Articles 3, 4 and 5) have furthermore
been directly introduced in the relevant provisions providing for such measures to ensure
compliance with the principles of necessity and proportionality. As elaborated in the
Explanatory Report to the Convention15, the recognition of a request may be refused where
the measure or measures that could not have been ordered or taken by the competent national
authorities in the requested Party, in general or in a similar case, because it/they would be
contrary to the fundamental principles of domestic law of that Party. Fundamental principles
of domestic law may include, for instance, fair trial standards, the presumption of innocence,
as well as the principles of necessity and proportionality. The limitation these principles set
can be expressed by Parties, inter alia, by virtue of making use of the reservation options
provided for in Articles 3, 4 and 5 of the Protocol.
Article 31, paragraph 2, generally requires Parties to ensure that all persons affected by
measures concerning asset tracing, provisional measures for the seizing or freezing of
property, measures of confiscation as well as pre-confiscation sales can claim the right to a
fair trial and to an effective legal remedy as also required by EU law. In addition, Parties are
required to guarantee the rights of defence. This provision builds on and expands the
obligations established in Article 8 of the Convention concerning legal remedies, both for
persons affected by measures pursuant to the Convention and the Protocol. The more detailed
and extensive wording of Article 31 of this Protocol aims to reflect the development of
European standards concerning procedural rights and safeguards, including with a view to the
right to an effective remedy, in the context of criminal asset recovery since the adoption of the
Convention, in particular the rising use of non-conviction-based confiscation measures. The
scope of Article 31 is extended to persons affected by measures pursuant to the Convention to
ensure that persons affected by such measures also enjoy the same rights and level of
protection as persons affected by measures under the Protocol. In addition, as elaborated in
the Explanatory Report to the Protocol, co-operation may be refused in accordance with
Article 28 of the Convention where a foreign request does not meet the standards set by
fundamental principles of domestic law of the requested State, which may include fair trial
standards and the presumption of innocence.
The Protocol ensures compliance with EU standards for the protection of personal data by
guaranteeing the application of adequate data protection safeguards to the processing of
personal data (Articles 9, 12 and 17) as well as providing for appropriate conditions for the
exchange of such data with other Parties (Art. 29).
4. BUDGETARY IMPLICATIONS
It is the Commission’s view that, from a legal perspective, in principle, no budgetary
implications necessarily arise from the signature and conclusion of this Protocol.
15 See, in particular, paragraphs 140 and 141.
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It should be noted that neither this Protocol not its Mother Convention (CETS 198) contain a
clause establishing a requirement for the Union to make a financial contribution to their
funding should it become a Party.
However, the Committee of Ministers’ has adopted a Resolution CM/Res(2022)6 concerning
financial arrangements for the participation of the European Union and non-member States in
the follow-up mechanisms of Council of Europe conventions, which provides that where the
Union is invited and becomes a Party to a Council of Europe convention not containing a
clause on financial participation in its follow-up mechanism after the date of option of the
Resolution, it must contribute to the financing of said convention’s functioning in keeping
with the modalities laid down in the resolution. While the Commission considers that such a
unilateral Resolution cannot bind the Union, this has led to discussions before which have
resulted in a compromise whereby the Union declared its intention to voluntarily make a
financial contribution. Whether a similar arrangement will (have to) be found in the case of
the present Convention and Protocol remains to be seen. Should this be the case, a financial
statement outlining the particulars of the budgetary implications will be provided alongside
the proposal for a decision on the conclusion of the Convention itself, once the legal
ambiguities regarding a possible contribution have been resolved.
5. OTHER ELEMENTS
• Implementation plans and monitoring, evaluation and reporting arrangements
The Protocol sets out that the provisions regulating the monitoring of the implementation of
the Warsaw Convention (Article 48 of the Convention) apply mutatis mutandis to the
Protocol. The Conference of the Parties established under the Convention (COP) will perform
the functions set out in Article 48 of the Convention for the purposes of this Protocol, meeting
in a composition restricted to the Parties to this Protocol, where appropriate.
Rule 19 of the Rules of Procedure of the Convention sets out the rules for the conduct of
monitoring activities. However, at the 9th Plenary the COP decided to suspend the procedure
under Rule 19 and to apply a transversal thematic monitoring approach in line with the newly
adopted Rule 19bis for an initial period of two years with a further stocktaking discussion on
the matter at its 11th Plenary in 2019. At its 16th Plenary (2024), the COP decided to renew
the suspension of Rule 19 for another five years (i.e. until 2029) and continue with the
transversal thematic monitoring under Rule 19bis during that period.
Rule 19bis sets out rules for horizontal monitoring regarding selected articles of the
Convention. Each State party will be subject to monitoring in accordance with the rules set
out in article 19bis.
A special clause was included in the Rules of Procedure regarding the European Union’s
involvement in the monitoring of the implementation of the Convention. Rule 19, paragraph
33 provides that new rules for the monitoring of the implementation of the Convention will be
set out after ratification of the Convention by the European Community. No specific clause is
foreseen in Rule 19bis.
• Explanatory documents (for directives)
Not applicable.
• Detailed explanation of the specific provisions of the proposal
Article 1 explains the purpose of the Protocol.
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Article 2 includes the definitions of financial investigations, virtual assets, virtual asset
service providers and the financing of terrorism.
Article 3 provides for extended confiscation.
Article 4 provides for non-conviction-based confiscation.
Article 5 provides for confiscation from third parties.
Article 6 provides for provisional measures and references Article 4 of the Mother
Convention as applicable to the Protocol.
Article 7 provides for investigative powers and techniques.
Article 8 provides for financial investigations.
Article 9 provides establishment of a mechanism to enable the identification of any natural
and legal person holding bank, payment or security accounts as well as safe-deposit boxes and
virtual asset accounts and regulates the access to this information by Financial Intelligence
Units and asset recovery offices and other competent authorities.
Article 10 provides for the suspension or withholding of consent for suspicious transactions,
accounts and business relationships (not part of this proposal)
Article 11 provides for the establishment of asset recovery offices and their tasks as well as
the powers for asset recovery offices to take urgent provisional measures.
Article 12 provides for the access of asset recovery offices to information.
Article 13 provides for the general principles of asset management, including on asset
management planning and the set-up of contact points for international cooperation.
Article 14 provides for the designation of asset management offices, their functions and the
set-up of contact points for international cooperation.
Article 15 provides for pre-confiscation sales and the obligations to secure the value of the
earnings of such sales.
Article 16 provides for the use of frozen, seized and confiscated property.
Article 17 provides for the establishment of a tool to provide information on frozen, seized
and confiscated assets.
Article 18 sets out general principles and measures for ensuring efficient and effective
international cooperation, including concerning the conduct of domestic investigations prior
to recognition of foreign orders and the scope of competent issuing authorities.
Article 19 sets out rules and conditions for the transfer of personal data between Parties.
Article 20 regulates foreign requests for information on accounts held in financial institutions
or virtual asset service providers.
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Article 21 regulates foreign requests for information on transactions carried out by financial
institutions or virtual asset service providers.
Article 22 regulates foreign requests for the monitoring of transactions carried out by financial
institutions and virtual asset service providers.
Article 23 provides for the possibility for two or more Parties to establish and operate a Joint
Investigation Team for the recovery of property liable to confiscation.
Article 24 provides for the use of standard forms to request the freezing or seizing of property
liable to confiscation.
Article 25 provides for the use of standard forms to request the confiscation of property.
Article 26 regulates the return of property to the requesting Party to facilitate its restitution to
its prior legitimate owners as well as the compensation of victims of crime.
Article 27 regulates the sharing of confiscated property between the requesting and requested
Parties and provides for the possibility to share such property also with other Parties, where
appropriate. It also regulates the allocation of the costs of executing requests for cooperation
under the Convention that facilitated confiscation.
Article 28 provides for the international cooperation on suspension or withholding of consent
for suspicious transactions, accounts and business relationships (not part of this decision)
Article 29 provides for international cooperation between asset recovery offices including the
establishment of contact points.
Article 30 provides for the international cooperation regarding the management of property.
Article 31 provides for safeguards and remedies regarding the measures provided for in the
Protocol.
Article 32 provides for the notification of decisions on provisional measures and confiscation
to affected persons.
Article 33 provides for secure measures to protect data processed by asset recovery office
from unauthorised access.
Article 34 requires Parties to provide sufficient resources for asset recovery and asset
management offices as well as training for competent authorities involved in asset recovery
and related investigations.
Article 35 concerns the monitoring mechanism for the Protocol and the mechanism for the
settlement of disputes.
Article 36 regulates the relationship of the Protocol with the Mother Convention.
Article 37 concerns the process of signature and ratification.
Article 38 concerns the entry into force of the Protocol.
Article 39 concerns the accession to the Protocol.
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Article 40 sets out the territorial application.
Article 41 regulates the denunciation of the Protocol.
Article 42 explains the relationship of the Protocol to other conventions and agreements.
Article 43 regulates the making and withdrawal of declarations and reservations.
Article 44 regulates notifications to be made by the Secretary General of the Council of
Europe to member States of the Council of Europe as well as other concerned States with
regards to the Protocol.
The Appendix provides for the addition of cybercrimes to the appendix of the Convention.
• Signing and the text of the Agreement
The text of the Agreement is submitted to the Council together with this proposal.
In accordance with the Treaties, it is for the Commission to ensure the signing of the
Agreement, subject to its conclusion at a later date.
EN 13 EN
2026/0193 (NLE)
Proposal for a
COUNCIL DECISION
on the signing, on behalf of the European Union, of the additional Protocol to the
Council of Europe Convention on Laundering, Search, Seizure and Confiscation of the
Proceeds from Crime and on the Financing of Terrorism
THE COUNCIL OF THE EUROPEAN UNION,
Having regard to the Treaty on the Functioning of the European Union, and in particular
Articles 82(1) and (2), 83(1) and (2), and 87(2), in conjunction with Article 218(5), thereof,
Having regard to the proposal from the European Commission,
Whereas:
(1) In Decision (EU) 2024/176416, the Council authorised the Commission to participate,
on behalf of the Union, in the negotiations on an Additional Protocol (‘the Protocol’)
to the Council of Europe Convention on Laundering, Search, Seizure and Confiscation
of the Proceeds from Crime and on the Financing of Terrorism (CETS No. 198) (the
‘Convention’) within the Council of Europe.
(2) The Protocol was adopted by the Committee of Ministers of the Council of Europe on
15 May 2026 and is envisaged to be opened for signature on 14 October 2026.
(3) The Protocol complies with the objective of the Union referred to in Article 67(3) of
the Treaty on the Functioning of the European Union to ensure a high level of security
through measures to prevent and combat crime, including measures for coordination
and cooperation between police and judicial authorities and the approximation of
criminal laws.
(4) The Protocol contains, inter alia, provisions on its purpose and scope, on confiscation
measures, on provisional measures for the seizure and freezing of property, on
investigative techniques and tools, on the establishment of asset recovery offices, on
the access of those offices to information and on the exchange of information between
them, on access of competent authorities to bank account information, on asset
management, including the designation of asset management offices, on judicial
cooperation regarding the recognition and execution of freezing and confiscation
decisions, asset sharing and returns, and on procedural rights and safeguards for all
affected persons.
(5) The Protocol has the potential to significantly strengthen asset recovery frameworks
and related cooperation among Parties to the Council of Europe and other key
international partners that may become Parties to it.
16 Council Decision (EU) 2024/1764 of 13 June 2024 authorising the Commission to participate, on behalf
of the European Union, in negotiations on an additional protocol to the Council of Europe Convention
on Laundering, Search, Seizure and Confiscation of the Proceeds from Crime and on the Financing of
Terrorism, OJ L, 2024/1764, 24.6.2024, ELI: http://data.europa.eu/eli/dec/2024/1764/oj).
EN 14 EN
(6) The rules laid down in the Protocol overlap to a large extent, and were indeed inspired
by, common rules that were established on Union level. Those common rules include,
in particular, Regulation (EU) 2018/1805 of the European Parliament and of the
Council and Directive (EU) 2024/1260 of the European Parliament and of the Council
and Directive 2014/42/EU of the European Parliament and of the Council. The
Protocol also overlaps with Council Framework Decision 2005/212/JHA as well as
Council Framework Decisions 2003/577/JHA and 2006/783/JHA. Council Framework
Decision 2005/212/JHA, however, remains in force only for Denmark and for Ireland,
to the extent that it was not replaced by Directive 2014/42/EU of the European
Parliament and of the Council. Council Framework Decisions 2003/577/JHA and
2006/783/JHA also remain applicable only in relations with and between Denmark
and Ireland.
(7) The Commission participated in the negotiations on behalf of the Union and ensured
with its participation that the Protocol is compatible with Union law.
(8) Pursuant to Article 37 of the Protocol, it is open for signature by the Union. The Union
should become a Party to the Protocol alongside its Member States since both share
competences for the matters covered by the Protocol. Matters covered by the Protocol
that may affect common rules or alter their scope fall under the exclusive external
competence of the Union. It is recalled that the scope of common Union rules may be
affected or altered by international commitments also where those commitments fall
within an area which is already largely covered by such rules, to the extent that such
commitments are capable of undermining the uniform and consistent application of
Union rules and the proper functioning of the system which they establish. That is the
case for confiscation and provisional measures, asset recovery offices, the access of
those asset recovery offices to information and cooperation between them, asset
management, resources and training, judicial cooperation for asset recovery, including
rules on asset returns and asset sharing, related investigative measures, and legal
remedies and procedural safeguards. Certain aspects of the Convention, however, do
remain under the competence of the Member States. This Decision is without
prejudice to the signature of the Protocol by the Member States, in accordance with
their internal procedures.
(9) [In accordance with Article 3 of Protocol No 21 on the position of the United
Kingdom and Ireland in respect of the area of freedom, security and justice, annexed
to the Treaty on European Union and the Treaty on the Functioning of the European
Union, Ireland has notified its wish [, by letter of …,] to take part in the adoption and
application of this Decision.] or [In accordance with Articles 1 and 2 of Protocol No
21 on the position of the United Kingdom and Ireland in respect of the area of
freedom, security and justice, annexed to the Treaty on European Union and to the
Treaty on the Functioning of the European Union, and without prejudice to Article 4
of that Protocol, Ireland is not taking part in the adoption of this Decision and is not
bound by it or subject to its application.]
(10) In accordance with Articles 1 and 2 of Protocol No 22 on the position of Denmark,
annexed to the TEU and to the TFEU, Denmark is not taking part in the adoption of
this Decision and is not bound by it or subject to its application.
EN 15 EN
(11) The European Data Protection Supervisor was consulted in accordance with
Article 42(1) of Regulation (EU) 2018/1725 of the European Parliament and of the
Council17 and delivered an opinion on XX XXXXX 2026.
(12) Therefore, the Protocol should be signed on behalf of the Union, subject to its
conclusion at a later date,
HAS ADOPTED THIS DECISION:
Article 1
The signing of the Additional Protocol to the Council of Europe Convention on Laundering,
Search, Seizure and Confiscation of the Proceeds from Crime and on the Financing of
Terrorism on behalf of the Union is hereby authorised, subject to the conclusion of that
Protocol.
Article 2
This Decision shall enter into force on […].
Done at Brussels,
For the Council
The President
17 Regulation (EU) 2018/1725 of the European Parliament and of the Council of 23 October 2018
on the protection of natural persons with regard to the processing of personal data by the Union
institutions, bodies, offices and agencies and on the free movement of such data, and repealing
Regulation (EC) No 45/2001 and Decision No 1247/2002/EC (OJ L 295, 21.11.2018, p. 39,
ELI: http://data.europa.eu/eli/reg/2018/1725/oj).
EN EN
EUROPEAN COMMISSION
Brussels, 13.7.2026 COM(2026) 366 final
ANNEX
ANNEX
to the
Proposal for a Council Decision
on the signing, on behalf of the European Union, of the additional Protocol to the
Council of Europe Convention on Laundering, Search, Seizure and Confiscation of the
Proceeds from Crime and on the Financing of Terrorism
EN 1 EN
ANNEX
Final text of the Proposal
Additional Protocol to the Council of Europe Convention on Laundering, Search,
Seizure and Confiscation of the Proceeds from Crime and on the Financing of Terrorism
Preamble
The member States of the Council of Europe and the other Parties to the Council of Europe
Convention on Laundering, Search, Seizure and Confiscation of the Proceeds from Crime and
on the Financing of Terrorism (CETS No. 198, hereinafter referred to as “the Convention”),
opened for signature in Warsaw on 16 May 2005, signatories hereto,
Considering that the aim of the Council of Europe is to achieve greater unity between its
members;
Emphasising that combating crimes generating illicit proceeds, including organised crime,
money laundering and the financing of terrorism, both in Europe and globally, while fully
respecting human rights, is essential for peace, stability, justice, democracy and the rule of
law;
Concerned by the evolving threats posed by money laundering and the financing of terrorism,
and mindful of the challenges faced by the Parties in addressing them;
Determined to strengthen and further develop measures for effective asset recovery, including
the identification, tracing, freezing, seizure, confiscation and management of assets of
criminal origin, and to promote asset sharing and the reuse of confiscated property;
Convinced of the need for robust investigative methods and asset recovery frameworks
targeting assets of criminal origin through financial investigations, and for measures to
enhance co-operation among a wide range of institutions, including financial intelligence
units, asset recovery offices, asset management offices, law enforcement, prosecutorial and
judicial authorities, supervisory authorities and the private sector;
Underlining the importance of developing new tools in the field of confiscation, and of
ensuring a more systematic application of confiscation measures;
Acknowledging the necessity of reinforcing the international legal framework for co-
operation to facilitate the effective application of asset recovery measures across borders;
Recognising the human rights and fundamental freedoms enshrined, in particular, in the
Convention for the Protection of Human Rights and Fundamental Freedoms (ETS No. 5) and
its protocols, and in the International Covenant on Civil and Political Rights;
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Bearing in mind Council of Europe treaties on co-operation in criminal matters and other
agreements and arrangements between the Parties to the Convention;
Taking into account the relevant treaties of the Council of Europe, in particular the
Convention on Laundering, Search, Seizure and Confiscation of the Proceeds from Crime
(ETS No. 141), the Convention on the Prevention of Terrorism (CETS No. 196), the
Convention on Cybercrime (ETS No. 185), the Criminal Law Convention on Corruption (ETS
No. 173), the Convention for the Protection of Individuals with regard to Automatic
Processing of Personal Data (ETS No. 108), together with their respective protocols, and
taking account of relevant United Nations conventions and their protocols, European Union
legislation on asset recovery and anti-money laundering and international standards such as
the recommendations adopted by the Financial Action Task Force (FATF);
Recognising the need to supplement and modernise certain aspects of the Convention;
Desiring that this Protocol will contribute to a more effective response to the challenges of
asset recovery and to strengthened co-operation between the Parties in this field,
Have agreed as follows:
Chapter I – Common provisions
Article 1 – Purpose
The purpose of this Protocol is to supplement and modernise, between the Parties, the
provisions of the Council of Europe Convention on Laundering, Search, Seizure and
Confiscation of the Proceeds from Crime and on the Financing of Terrorism.
Article 2 – Use of terms
1. For the purposes of this Protocol, the following definitions apply in addition to those set out
in the Convention:
a. a “financial investigation” is an investigation into financial affairs related to criminal
conduct with a view to any or all of the following:
i. identifying the extent of criminal networks and/or the scale of criminality;
ii. identifying and tracing property liable to confiscation;
iii. collecting information which may be used in criminal proceedings and/or proceedings in
relation to identification, tracing, freezing, seizure and confiscation of property;
b. “virtual asset” means a digital representation of a value or of a right that is able to be
transferred and stored electronically using distributed ledger technology or similar
technology, and that can be used for payment or investment purposes. Virtual assets do not
include digital representations of fiat currencies, securities and other financial assets;
c. “virtual asset service provider” means any natural or legal person that, as a business,
conducts one or more of the following activities or operations for or on behalf of another
natural or legal person:
i. exchanges between virtual assets and fiat currencies;
ii. exchanges between one or more forms of virtual assets;
iii. transfers of virtual assets;
iv. safekeeping and/or administration of virtual assets or instruments enabling control over
virtual assets; and
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v. participation in and provision of financial services related to an issuer’s offer and/or sale of
a virtual asset.
2. For the purposes of the Convention and this Protocol, the term “financing of terrorism”
means the offences set out in Article 2 of the International Convention for the Suppression of
the Financing of Terrorism, with reference to:
a. the acts set out in Article 2, paragraph 1, sub-paragraphs a or b, of the International
Convention for the Suppression of the Financing of Terrorism;
b. the offences defined by the Council of Europe Convention on the Prevention of Terrorism
and its amending protocol; and
c. the offences defined by the Additional Protocol to the Council of Europe Convention on the
Prevention of Terrorism (CETS No. 217).
Chapter II – Measures to be taken at national level
Section 1 – Confiscation measures
Article 3 – Extended confiscation
1. Each Party shall adopt such legislative and other measures as may be necessary to enable it
to confiscate, wholly or in part, the property of a person convicted of money laundering, the
financing of terrorism or of one of the categories of offences in the appendix to the
Convention, where the court is satisfied that such property is derived from or obtained,
directly or indirectly, from criminal conduct.
2. Provided that paragraph 1 of this article applies to money laundering and the financing of
terrorism, each Party may, at the time of signature or when depositing its instrument of
ratification, acceptance, approval or accession, by a declaration addressed to the Secretary
General of the Council of Europe, reserve its right to apply paragraph 1 of this article:
a. only insofar as the offence for which a person is convicted is liable to generate, directly or
indirectly, a major economic advantage;
b. only insofar as the offence is punishable by deprivation of liberty or a detention order for a
maximum of at least four years; and/or
c. only to a list of specified offences.
3. In determining whether the property in question is derived from criminal conduct, all
circumstances relevant to the case shall be taken into account, including the disproportion
between the value of the property and the lawful income of the convicted person.
Article 4 – Non-conviction-based confiscation
1. Each Party shall adopt such legislative and other measures as may be necessary to enable it,
in accordance with the fundamental principles of its domestic law, to confiscate property
without a criminal conviction where a court is satisfied that such property is derived from or
obtained, directly or indirectly, from criminal conduct.
2. Each Party may, at the time of signature or when depositing its instrument of ratification,
acceptance, approval or accession, by a declaration addressed to the Secretary General of the
Council of Europe, reserve its right to apply paragraph 1 of this article:
a. where other confiscation measures may not be applied;
b. where the property to be confiscated has been identified during an investigation related to a
criminal offence;
EN 4 EN
c. where the property to be confiscated has been frozen or seized during an investigation
related to a criminal offence;
d. where the court is satisfied that the property to be confiscated is derived or obtained from
criminal conduct committed within the framework of a criminal organisation, and that this
conduct is liable to generate, directly or indirectly, a major economic advantage;
e. where the offence is punishable by deprivation of liberty or a detention order for a
maximum of at least four years; and/or
f. where the criminal investigation has been initiated in relation to a list of specified offences.
3. Each Party may, additionally to paragraphs 1 and 2, adopt such legislative and other
measures as may be necessary to enable it to confiscate, without a criminal conviction,
proceeds, instrumentalities or property of equivalent value where both of the following
conditions are met:
a. criminal investigations or proceedings have been initiated and the relevant criminal
proceedings could have led to a criminal conviction but the proceedings could not be
continued due to death, incapacity to stand trial due to illness, absconding or in situations
where the statute of limitations for the underlying crime is below fifteen years and has
expired;
b. where the proceeds, instrumentalities or property of equivalent value are derived from, or
directly or indirectly linked to, the criminal offences in relation to which the investigations or
proceedings have been initiated, at least where the offences are liable to generate major
economic advantages.
Article 5 – Confiscation from third parties
1.Each Party shall adopt such legislative and other measures as may be necessary to enable it
to freeze, seize and confiscate proceeds or property the value of which corresponds to such
proceeds owned or held by third parties, without prejudice to the rights of bona fide third
parties.
2. Parties may extend the obligation provided in paragraph 1 of this article to
instrumentalities.
3. Each Party may, at the time of signature or when depositing its instrument of ratification,
acceptance, approval or accession, by a declaration addressed to the Secretary General of the
Council of Europe, reserve its right to apply this article only where the proceeds or property
the value of which corresponds to such proceeds have been transferred, directly or indirectly,
by a suspected or accused person to third parties, or acquired by third parties from a suspected
or accused person, where the third party knew or ought to have known that the purpose of the
transfer or acquisition was to avoid confiscation.
Section 2 – Investigative and provisional measures
Article 6 – Provisional measures
1. The provisions of Article 4 of the Convention shall apply to any property liable to
confiscation pursuant to this Protocol.
2. Each Party shall adopt such legislative and other measures as may be necessary to enable it
to take, on an urgent basis, and, where appropriate, ex parte or without prior notice, subject to
its constitutional principles and the basic concepts of its legal system, provisional measures to
prevent the dissipation of assets liable to confiscation under the Convention and this Protocol.
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Parties shall limit the temporary validity of these urgent provisional measures where they do
not constitute freezing or seizure measures that take the form of an order.
Article 7 – Investigative powers and techniques
1. Each Party shall adopt such legislative and other measures as may be necessary to empower
its courts or other competent authorities, in accordance with the applicable provisions of
domestic procedural law, to order that records kept by financial institutions and virtual asset
service providers, including any records kept pursuant to their customer due diligence
obligations as defined in Article 13, paragraph 2, sub-paragraphs a.i and iii, of the
Convention, be made available or be seized in order to carry out the provisional and
confiscation measures provided for in the Convention and this Protocol. A Party shall not
decline to act under the provisions of this article on grounds of bank or financial secrecy.
2. Without prejudice to paragraph 1 of this article, each Party shall adopt such legislative and
other measures as may be necessary to enable it to:
a. determine whether a natural or legal person is a holder or beneficial owner of one or more
accounts, of whatever nature, in any financial institution or virtual asset service provider
located in its territory and, if so, to obtain all details of the identified accounts;
b. obtain the particulars of specified accounts held in financial institutions or virtual asset
service providers and of operations of financial institutions and virtual asset service providers
which have been carried out during a specified period through one or more specified accounts,
including the particulars of any sending or recipient account;
c. monitor, during a specified period, the operations of financial institutions and virtual asset
service providers that are being carried out through one or more identified accounts; and
d. ensure that financial institutions and virtual asset service providers do not disclose to the
customer concerned or to other third persons that information has been sought or obtained in
accordance with paragraph 2, sub-paragraphs a, b or c, of this article, or that an investigation
is being carried out.
Article 8 – Financial investigations
1. Each Party shall adopt such legislative or other measures as may be necessary to ensure that
the competent authorities responsible for investigating and/or, where appropriate, prosecuting
money laundering, the financing of terrorism or any of the categories of offences in the
appendix to the Convention, are able to carry out proactive financial investigations at least in
all cases related to the financing of terrorism and in respect of offences liable to generate a
major economic advantage.
2. Each Party shall adopt such legislative or other measures as may be necessary to ensure that
the financial investigations referred to in paragraph 1 of this article may be conducted either
independently, alongside or within the framework of a criminal investigation.
3. Each Party shall adopt such legislative or other measures as may be necessary to ensure that
the financial investigations referred to in Article 2, paragraph 1, sub-paragraph a, of this
Protocol may be conducted at all stages of the criminal proceedings by the respective
competent authorities, including after a final conviction or following confiscation pursuant to
the Convention and this Protocol.
4. Each Party may take such legislative or other measures to establish multidisciplinary
groups specialised in financial investigations.
Article 9 – Information on bank accounts, payment accounts, securities accounts, safe-
deposit boxes and virtual asset accounts
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1. Each Party shall adopt such legislative and other measures as may be necessary to establish
a central, automated mechanism or other similarly effective and timely mechanisms, enabling
the identification of any natural or legal person holding bank accounts, payment accounts,
securities accounts and safe-deposit boxes kept by financial institutions, and virtual asset
accounts kept by virtual asset service providers, together with the beneficial owners of such
accounts and any person authorised to act on behalf of an account holder.
2. Each Party shall ensure that the financial intelligence unit and, for the purpose of the
prevention, detection, investigation or prosecution of serious criminal offences, or supporting
an investigation concerning a serious criminal offence, including the identification, tracing,
freezing and seizure of property related to such offences, the asset recovery office and other
designated competent authorities are entitled to have access to the central, automated
mechanism or other similarly effective and timely mechanisms, and to the information
contained therein, as may be necessary for the exercise of their functions.
3. Parties shall adopt such measures as may be necessary to comply with the applicable data
protection legislation and to establish safeguards governing the processing of the information
necessary to achieve the purpose of this article.
Section 3 – Financial intelligence unit
Article 10 – Suspension or withholding of consent for suspicious transactions, accounts
and business relationships
1. Each Party shall adopt such legislative and other measures as may be necessary to permit
urgent action to be taken by a financial intelligence unit when there is a suspicion that a
transaction, an account, such as a bank, securities, payment or virtual asset account or a
business relationship is related to money laundering, the financing of terrorism or any of the
categories of offences in the appendix to the Convention, to suspend the use of that account,
the business relationship or the transaction or to withhold consent for the transaction to go
ahead.
2. The suspension or withholding of consent pursuant to paragraph 1 of this article shall be
imposed by the financial intelligence unit in order to preserve the funds, perform its analyses,
assess whether the suspicion is confirmed and, if so, to disseminate the results of the analyses
to the competent authorities to allow for the adoption and enforcement of appropriate
measures.
3. Each Party shall ensure that the maximum duration of any suspension or withholding of
consent pursuant to paragraph 1 of this article is subject to the relevant provisions of domestic
law and is limited to what is strictly necessary to achieve the objectives laid down in
paragraph 2 of this article.
4. Each Party shall adopt such legislative and other measures as may be necessary to provide
for specific safeguards, as appropriate, to protect the fundamental rights of the persons
affected by the suspension or withholding of consent ordered by the financial intelligence unit
pursuant to paragraph 1 of this article.
5. Each Party shall adopt such legislative and other measures as may be necessary to ensure
that the financial intelligence unit is empowered to lift the suspension or withholding of
consent at any time if it concludes that the suspension or withholding of consent is no longer
necessary to fulfil the objectives set out in paragraph 2 of this article.
6. Each Party may, at the time of signature or when depositing its instrument of ratification,
acceptance, approval or accession, by a declaration addressed to the Secretary General of the
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Council of Europe, reserve its right not to apply this article to the suspension of accounts and
business relationships.
Section 4 – Asset recovery office
Article 11 – Asset recovery office
1. Each Party shall adopt such legislative or other measures as may be necessary to establish
or designate one or more authorities as an asset recovery office with responsibility to:
identify and trace property liable to confiscation in support of other competent authorities; and
co-operate with the asset recovery offices of other Parties.
2. For the purposes of paragraph 1 of this article, each Party shall ensure that the asset
recovery office can effectively exchange information with the competent national authorities
in accordance with its domestic law.
3. Each Party shall adopt such legislative and other measures as may be necessary to enable
one of its asset recovery offices, without prejudice to the powers of other competent
authorities, to take urgent provisional measures, in accordance with Article 6, paragraph 2, of
this Protocol, in cross-border cases in order to preserve property identified and traced when
there is an imminent risk of its disappearance. The duration of such measures shall not exceed
seven working days.
4. Each Party shall adopt such legislative and other measures as may be necessary to ensure
that an asset recovery office does not maintain urgent provisional measures longer than
necessary to fulfil the objectives set out in paragraph 3 of this article.
Article 12 – Access to information by asset recovery offices
1. Each Party shall adopt such legislative and other measures as may be necessary to ensure
that the asset recovery office has timely access to the information that it requires to properly
undertake its functions, subject to the principles of necessity and proportionality, and without
prejudice to domestic procedural safeguards.
2. For the purposes of paragraph 1 of this article, and without prejudice to Articles 9 and 17 of
this Protocol, each Party shall ensure that the asset recovery office has at least:
a. immediate and direct access to information on real estate, national citizenship and the
national population, commercial and business entities, vehicles, aircraft, watercraft and
beneficial ownership, provided that the information is stored in centralised or interconnected
registers or databases held by public authorities;
b. immediate and direct access, or access upon request, to information on mortgages and
loans, information contained in national currency and currency exchange databases,
information on border crossings, customs data, including cross-border physical transfers of
cash and bearer negotiable instruments, information on the financial statements of companies,
and information on wire transfers, account balances and transfers of virtual assets;
c. immediate and direct access, or access upon request, to fiscal information, social security
information and information held by the authorities competent for preventing, detecting,
investigating or prosecuting criminal offences, under the conditions established by domestic
law.
3. Parties shall put in place such measures as may be necessary to comply with applicable data
protection legislation and to establish safeguards governing the processing of the information
necessary to achieve the purpose of this article.
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4. Where the information specified in paragraph 2 of this article is not held in centralised or
interconnected registers or databases, each Party shall ensure that the asset recovery office has
access to such information through other mechanisms in a streamlined and standardised
manner.
Section 5 – Asset management
Article 13 – General principles of management
1. Each Party shall adopt such legislative and other measures as may be necessary to ensure
proper management of property frozen, seized or confiscated pursuant to the Convention and
this Protocol until its final disposal.
2. Each Party shall ensure that, where justified by the nature of the property, the authorities
competent for the management of frozen or seized property assess the property that might
become the object of a confiscation order with a view to minimising its estimated
management costs and preserving the value of such property until its final disposal.
Article 14 – Asset management office
1. Each Party shall adopt such legislative and other measures as may be necessary to establish
or designate one or more competent authorities to function as an asset management office to
ensure the proper management of frozen, seized and confiscated property.
2. The asset management office shall have the following functions:
managing the property or providing support and expertise to other competent authorities for
the management of such property;
co-operating and exchanging information with the competent authorities responsible for
identifying, tracing, freezing, seizing and confiscating property; and
co-operating with the competent authorities responsible for the management of frozen, seized
and confiscated property in other Parties.
3. For the purposes of paragraph 2, sub-paragraph c, of this article, each Party shall designate
a maximum of two contact points which shall have the capacity to carry out communications
in a timely manner with the contact points of other Parties and shall, at the time of signature
or when depositing its instrument of ratification, acceptance, approval or accession,
communicate to the Secretary General of the Council of Europe the names and addresses of
its designated contact points.
4. For the purposes of applying paragraph 3 of this article, a Party can designate a third
contact point where it is necessary pursuant to its constitutional principles.
Article 15 – Pre-confiscation sale
1. Each Party shall adopt such legislative and other measures as may be necessary to enable
the sale of seized and frozen property, before a final decision regarding the seized or frozen
property is taken, where:
the property is perishable or rapidly depreciating;
the storage or maintenance costs are unreasonable compared to the market value; or
the management of the property requires special conditions and expertise which are not
readily available.
2. Each Party shall adopt such legislative and other measures as may be necessary to ensure
that the interests of the affected person are taken into account when issuing an order for the
pre-confiscation sale of property and that, with the exception of cases where the affected
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person has absconded or cannot be located, the affected person is notified and, except in cases
of urgency, given the opportunity to be heard before the sale. The affected person shall have
the possibility to request the sale of the property.
3. Earnings from such sales shall be secured and managed pursuant to Article 13 of this
Protocol until a final decision is taken regarding the seized or frozen property.
Article 16 – Use of frozen, seized and confiscated property
1. Each Party shall consider adopting such legislative or other measures as may be necessary
to allow for the use of confiscated property, and the revenues generated therefrom, under the
conditions set out in domestic law, for purposes of social reuse, in the public interest or for
other specific aims.
2. Each Party may adopt such legislative or other measures as may be necessary to allow for
the use of frozen or seized property, under the conditions set out in domestic law, for purposes
of social reuse, in the public interest or for other specific aims.
Article 17 – Information on frozen, seized and confiscated property
1. Each Party shall adopt such legislative and other measures as may be necessary to set up
efficient tools or mechanisms enabling the identification, in a timely manner, of frozen, seized
or confiscated property and, where appropriate, the actual or estimated value of such property.
2. Each Party shall ensure that asset management offices and, where appropriate, asset
recovery offices and other competent authorities are able to obtain, in a timely manner,
through the tools and mechanisms referred to in paragraph 1 of this article, the information on
frozen, seized and confiscated property necessary for the performance of their tasks.
3. Parties shall put in place such measures as may be necessary to comply with applicable data
protection legislation and to establish safeguards governing the processing of the information
necessary to achieve the purpose of this article.
Chapter III – International co-operation
Section 1 – Principles of international co-operation
Article 18 – General principles and measures for international co-operation
1. Each Party shall adopt such legislative and other measures as may be necessary to ensure
that the enforcement of foreign freezing, seizure or confiscation orders is not made
conditional on conducting a domestic investigation. This provision shall be without prejudice
to the power of the competent authorities in the requested Party to review the foreign order
and issue any orders necessary to give it effect with regard to property located in its territory.
2. Parties shall also ensure that a request to take provisional measures is not refused on the
sole ground that the domestic order on which it is based was made by an authority other than
a judicial authority, where the authority in question is designated as a competent authority by
the requesting Party and where the domestic order in question was validated by a judicial
authority prior to the transmission of the request.
Article 19 – Transfer of data
1. Personal data transferred from one Party to another as a result of the execution of a request
made under the Convention or its Protocol may be used by the Party to which such data has
been transferred only:
a. for the purpose of processes or proceedings to which the Convention or its Protocol applies;
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b. for other judicial and administrative proceedings directly related to the proceedings
mentioned under paragraph 1, sub-paragraph a, of this article;
c. to prevent an immediate and serious threat to public security.
2. Such data may, however, be used for any other purpose if prior consent to that effect is
given by the Party from which the data have been transferred or the data subject.
3. Any Party may refuse to transfer personal data obtained as a result of the execution of a
request made under the Convention or its Protocol where:
a. such data cannot be provided in compliance with its domestic legislation; and/or
b. the Party to which the data should be transferred is not bound by the Convention for the
Protection of Individuals with regard to Automatic Processing of Personal Data, done at
Strasbourg on 28 January 1981, as modernised by the protocol amending that convention
(CETS No. 223), done at Strasbourg on 10 October 2018, unless the latter Party undertakes to
afford such protection to the data as is required by the former Party.
4. Any Party that transfers personal data obtained as a result of the execution of a request
made under the Convention or its Protocol may require the Party to which the data has been
transferred to give information on the use made of such data.
5. Any Party may, by a declaration addressed to the Secretary General of the Council of
Europe, require that, within the framework of procedures for which it could have refused or
limited the transmission or the use of personal data in accordance with the provisions of the
Convention or its Protocol, personal data which it transmits to another Party not be used by
the latter for the purposes of paragraph 1 of this article unless with its previous consent.
Section 2 – Investigative assistance
Article 20 – Requests for information on accounts held in financial institutions or virtual
asset service providers
1. Each Party shall, under the conditions set out in this article, take the measures necessary to
determine, in answer to a request sent by another Party, whether a natural or legal person that
is the subject of a criminal investigation holds or controls one or more accounts, of whatever
nature, in any financial institution or virtual asset service provider located in its territory and,
if so, shall provide to the requesting Party the particulars of the identified accounts, including
all records held by financial institutions or virtual asset service providers pursuant to their
customer due diligence obligations, as defined in Article 13, paragraph 2, sub-paragraphs a.i
and iii, of the Convention.
2. The obligation set out in this article shall apply only to the extent that the information is in
the possession of the financial institution or virtual asset service provider keeping the account.
3. In addition to the requirements of Article 37 of the Convention, the requesting Party shall,
in its request:
state why it considers that the requested information is likely to be of substantial value for the
purpose of the criminal investigation into the offence;
state on what grounds it presumes that the financial institutions or virtual asset service
providers in the requested Party hold the account and specify, to the widest extent possible,
which financial institutions or virtual asset service providers and/or accounts may be
involved; and
include any additional information available which may facilitate the execution of the request.
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4. The requested Party may make the execution of such a request dependent on the same
conditions as it applies in respect of requests for search and seizure.
5. Each Party may, at the time of signature or when depositing its instrument of ratification,
acceptance, approval or accession, by a declaration addressed to the Secretary General of the
Council of Europe, reserve its right to apply this article only to money laundering, the
financing of terrorism and to the categories of offences in the appendix to the Convention.
Article 21 – Requests for information on transactions carried out by financial
institutions and virtual asset service providers
1. On request by another Party, the requested Party shall provide the particulars of specified
accounts held by financial institutions and virtual asset service providers, and of operations
which have been carried out during a specified period through one or more accounts specified
in the request, including the particulars of any sending or recipient account.
2. The obligation set out in this article shall apply only to the extent that the information is in
the possession of the financial institution or virtual asset service provider holding the account.
3. In addition to the requirements of Article 37 of the Convention, the requesting Party shall,
in its request, indicate why it considers the requested information relevant for the purposes of
the criminal investigation into the offence.
4. The requested Party may make the execution of such a request dependent on the same
conditions as it applies in respect of requests for search and seizure.
Article 22 – Requests for the monitoring of transactions carried out by financial
institutions and virtual asset service providers
1. Each Party shall ensure that, at the request of another Party, it is able to monitor, during a
specified period, the operations that are being carried out by financial institutions and virtual
asset service providers through one or more accounts specified in the request and
communicate the results thereof to the requesting Party.
2. In addition to the requirements of Article 37 of the Convention, the requesting Party shall,
in its request, indicate why it considers the requested information relevant for the purposes of
the criminal investigation into the offence.
3. The decision to monitor shall be taken in each individual case by the competent authorities
of the requested Party, with due regard for the domestic law of that Party.
4. The practical details regarding the monitoring shall be agreed between the competent
authorities of the requesting and requested Parties.
Article 23 – Joint investigation teams for the recovery of property liable to confiscation
1. By mutual agreement, the competent authorities of two or more Parties may establish and
operate a joint investigation team in their territories for the purpose of the recovery of
property liable to confiscation pursuant to the Convention and this Protocol, where enhanced
co-ordination is deemed to be particularly useful. Such teams shall be established for a limited
period, which may be extended by mutual consent, and their composition shall be determined
in the agreement establishing the team. A joint investigation team may, in particular, be set
up:
a. where investigations by one Party into property liable to confiscation pursuant to the
Convention and this Protocol require difficult and demanding investigations with links to
other Parties; or
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b. where investigations by a number of Parties pursuant to the Convention and this Protocol
require co-ordinated and concerted action in the Parties involved.
A request for the setting-up of a joint investigation team may be made by any of the Parties
concerned. The team shall be established in one of the Parties in which the investigations are
expected to be carried out.
2. Requests for the establishment of a joint investigation team shall include:
a. the authority making the request;
b. the object of and the reason for the request;
c. where possible, any other information relevant to the investigation;
d. where known and appropriate, the name and address of the affected persons;
e. proposals concerning the composition of the team.
3. A joint investigation team shall operate in the territory of the Parties setting up the team
under the following general conditions:
a. the leader of the team shall be a representative of the competent authority in charge of the
investigation in the Party in which the team operates. The leader of the team shall act within
the limits of his or her competence under domestic law;
b. the team shall carry out its operations in accordance with the law of the Party in which it
operates. The members and seconded members of the team shall carry out their tasks under
the leadership of the person referred to in paragraph 3, sub-paragraph a, of this article, taking
into account the conditions set by their own authorities in the agreement on setting up the
team;
c. the Party in which the team operates shall make the necessary organisational arrangements
for it to do so.
4. In this article, members of the joint investigation team from the Party in which the team
operates are referred to as “members”, while members from Parties other than the Party in
which the team operates are referred to as “seconded members”.
5. Seconded members of the joint investigation team shall be entitled to be present when
investigative measures are taken in the Party of operation. However, the leader of the team
may, for particular reasons, in accordance with the law of the Party where the team operates,
decide otherwise.
6. Seconded members of the joint investigation team may, in accordance with the law of the
Party where the team operates, be entrusted by the leader of the team with the task of taking
certain investigative measures where this has been approved by the competent authorities of
the Party of operation and the seconding Party.
7. Where the joint investigation team needs investigative measures to be taken in one of the
Parties setting up the team, members seconded to the team by that Party may request their
own competent authorities to take those measures. Those measures shall be considered in that
Party under the conditions which would apply if they were requested in a national
investigation.
8. Where the joint investigation team needs assistance from a Party other than those which
have set up the team, or from a third State, the request for assistance may be made by the
competent authorities of the State of operation to the competent authorities of the other State
concerned, in accordance with the relevant instruments or arrangements.
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9. A seconded member of the joint investigation team may, in accordance with his or her
domestic law and within the limits of his or her competence, provide the team with
information available in the Party which has seconded him or her for the purposes of the
investigations conducted by the team.
10. Information lawfully obtained by a member or seconded member while part of a joint
investigation team, which is not otherwise available to the competent authorities of the Parties
concerned, may be used for the following purposes:
a. for the purposes for which the team has been set up;
b. subject to the prior consent of the Party where the information became available, for
detecting investigating and prosecuting criminal offences. Such consent may be withheld only
in cases where such use would endanger criminal investigations in the Party concerned or in
respect of which that Party could refuse mutual assistance pursuant to the European
Convention on Mutual Assistance in Criminal Matters (ETS No. 30) and its protocols;
c. for preventing an immediate and serious threat to public security and, without prejudice to
paragraph 10, sub-paragraph b, if subsequently a criminal investigation is opened;
d. for other purposes, to the extent that this is agreed between Parties setting up the team.
11. This article shall be without prejudice to any other existing provisions or arrangements on
the setting-up or operation of joint investigation teams.
12. To the extent that the laws of the Parties concerned or the provisions of any legal
instrument applicable between them permit, arrangements may be agreed for persons other
than representatives of the competent authorities of the Parties setting up the joint
investigation team to take part in the activities of the team. The rights conferred upon the
members or seconded members of the team by virtue of this article shall not apply to these
persons unless the agreement expressly states otherwise.
Section 3 – Standard forms
Article 24 – Standard form for freezing or seizing property
1. Without prejudice to Article 35, paragraph 1, of the Convention, in order to request the
freezing or seizing of property within the meaning of Article 21 of the Convention, Parties
shall complete the standard form adopted by the Conference of the Parties established under
the Convention pursuant to Article 35 of this Protocol, shall sign it and shall certify its content
as being accurate and correct.
2. The requesting Party shall provide the requested Party with a translation of the standard
form in an official language of the requested Party or in any other language that the requested
Party will accept. The declarations made by Parties in accordance with Article 35,
paragraph 3, of the Convention shall apply, mutatis mutandis, for this purpose. A translation
of the decision, on which the form is based, shall be provided only upon request by the
competent authorities of the requested Party if consultation of that decision is necessary.
3. A request for the freezing or seizing of property made in accordance with paragraph 1 of
this article may be refused if the standard form is incomplete or manifestly incorrect and has
not been completed or corrected following consultations between the requested and requesting
Parties, in accordance with Article 38 of the Convention.
4. This article will be applicable from the day the Conference of the Parties adopts the
standard forms referred to in paragraph 1 of this article.
Article 25 – Standard form for the confiscation of property
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1. Without prejudice to Article 35, paragraph 1, of the Convention, in order to request the
confiscation of property within the meaning of Article 23 of the Convention, Parties shall
complete the standard form adopted by the Conference of the Parties established under the
Convention pursuant to Article 35 of this Protocol, shall sign it and shall certify its content as
being accurate and correct.
2. The requesting Party shall provide the requested Party with a translation of the standard
form in an official language of the requested Party or in any other language that the requested
Party will accept. The declarations made by Parties in accordance with Article 35,
paragraph 3, of the Convention shall apply, mutatis mutandis, for this purpose. A translation
of the decision, on which the form is based, shall be provided only upon request by the
competent authorities of the requested Party if consultation of that decision is necessary.
3. A request for the confiscation of property made in accordance with paragraph 1 of this
article may be refused if the standard form is incomplete or manifestly incorrect and has not
been completed or corrected following consultations between the requested and requesting
Parties, in accordance with Article 38 of the Convention.
4. This article will be applicable from the day the Conference of the Parties adopts the
standard forms referred to in paragraph 1 of this article.
Section 4 – Return and sharing of property
Article 26 – Return of property
1. When acting on a request made by another Party in accordance with Articles 23 and 24 of
the Convention, Parties shall, if so requested, give priority consideration to returning
confiscated property to the requesting Party so that it can give compensation to the victims of
the crime or return such property to its legitimate owners.
2. When acting on a request made by another Party in accordance with Articles 21 and 22 of
the Convention, Parties shall also, if so requested, give priority consideration to returning
frozen or seized property to the requesting Party prior to a final decision on its confiscation,
so that it can return such property to its legitimate owners, where the following conditions are
met:
a. the legitimate owner’s title to the property is established and not contested;
b. the property is not required as evidence in criminal proceedings in the requested Party; and
c. the rights of the affected persons are not prejudiced.
3. When acting on a request made by another Party in accordance with Articles 21 and 22 of
the Convention, Parties may also, if so requested, give priority consideration to returning
frozen or seized property to the requesting Party prior to a final decision on its confiscation so
that it can give compensation to the victims of the crime, where the following conditions are
met:
a. the decision on compensation is final;
b. the property to be disposed of for the purpose of compensating the victim is not required as
evidence in criminal proceedings in the requested Party; and
c. the rights of the affected persons are not prejudiced.
Article 27 – Sharing of property
1. Without prejudice to Articles 25 and 32 of the Convention, Articles 26 and 31 of this
Protocol and the rights of identifiable legitimate owners and victims, where money is obtained
as the result of the execution of a confiscation order in accordance with Articles 23 and 24 of
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the Convention and the amount obtained exceeds 10 000 euros or the equivalent in
convertible currency, it shall be shared equally between the requesting and the requested
Party, unless otherwise agreed on a case-by-case basis. For confiscated property other than
money, the requesting and requested Parties shall consult on the appropriate arrangements for
the disposal of the property in question.
2. When sharing property pursuant to paragraph 1 of this article, the requesting and requested
Parties may agree to include in the sharing arrangement other Parties which have contributed
to the successful recovery of the property. Parties may furthermore decide to share property
confiscated in accordance with a domestic confiscation order with Parties that provided
investigative or other assistance in accordance with the Convention or this Protocol, where
such assistance contributed to the successful confiscation.
3. Where confiscated property is to be shared between the requesting and requested Parties in
accordance with paragraphs 1 and 2 of this article, the requested Party may first deduct costs
of a substantial or extraordinary nature which were necessary in order to comply with requests
under this Protocol or the Convention and which facilitated the confiscation of the property
concerned.
Section 5 – Financial intelligence unit
Article 28 – International co-operation on suspension or withholding of consent for
suspicious transactions, accounts and business relationships
1. Each Party shall adopt such legislative and other measures as may be necessary to permit
urgent action to be taken by a financial intelligence unit, at the request of a foreign financial
intelligence unit, when there is a suspicion that a transaction, an account such as a bank,
securities, payment or virtual asset account or a business relationship is related to money
laundering, the financing of terrorism or any of the categories of offences in the appendix to
the Convention, to suspend the use of that account, the business relationship or the transaction
or to withhold consent for the transaction to go ahead.
2. The suspension shall be in place for such periods and subject to the same conditions as
apply in the domestic law of the requested Party in respect of this power.
3. The action referred to in paragraph 1 of this article shall be taken where the requested
financial intelligence unit is satisfied, upon justification by the requesting financial
intelligence unit, that the use of the account, the business relationship or the transaction going
ahead would have been suspended or consent for the transaction to go ahead would have been
withheld if the account, business relationship or transaction had raised suspicion at the
national level.
4. Each Party may, at the time of signature or when depositing its instrument of ratification,
acceptance, approval or accession, by a declaration addressed to the Secretary General of the
Council of Europe, reserve its right not to apply this article to the suspension of accounts and
business relationships.
Section 6 – Asset recovery offices
Article 29 – International co-operation between asset recovery offices
1. Each Party shall adopt such legislative and other measures as may be necessary to ensure
that its asset recovery office exchanges information with the asset recovery offices of other
Parties, either spontaneously or upon request, for the purposes of identifying and tracing
property liable to confiscation. Requests for information shall state the reasons for the request
and include any information available that may facilitate the identification of the property.
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2. The exchange of information pursuant to paragraph 1 of this article may be refused if:
a. the execution of the request is likely to prejudice the sovereignty, security, public order or
other essential interest of the requested Party;
b. the execution of the request is likely to prejudice investigations or current proceedings, or
pose an imminent threat to the life or physical integrity of a person;
c. the execution of the request is clearly disproportionate or irrelevant to the purposes for
which it was made;
d. the offence to which the request relates is a political offence, with the exception of the
financing of terrorism; or
e. the requested Party considers that compliance with the action sought would be contrary to
the principle of ne bis in idem.
3. The requested asset recovery office shall consult with the requesting asset recovery office
before refusing a request. Any refusal to provide information shall be appropriately explained.
4. Each Party shall adopt such legislative and other measures as may be necessary to ensure
that the asset recovery office responds promptly to reasoned requests and, unless prevented
from doing so for compelling reasons, within fourteen days for non-urgent requests and
within three days for urgent requests concerning databases to which the asset recovery office
has direct access. Where the information requested is accessible only indirectly, or where the
request would impose a disproportionate burden, the requested asset recovery office may
extend the time limit for responding to twenty-one days for non-urgent requests and seven
days for urgent requests. Where the requested asset recovery office assesses that it will not be
able to comply with the applicable time limits, it shall promptly inform the requesting asset
recovery office.
5. For the purposes of facilitating cross-border co-operation between asset recovery offices,
each Party shall designate a maximum of two contact points which shall have the capacity to
carry out communications in a timely manner with the contact points of other Parties and
shall, at the time of signature or when depositing its instrument of ratification, acceptance,
approval or accession, communicate to the Secretary General of the Council of Europe the
names and addresses of its designated contact points.
6. For the purposes of applying paragraph 5 of this article, a Party can designate a third
contact point where it is necessary pursuant to its constitutional principles.
Section 7 – Asset management
Article 30 – Management of property frozen, seized or confiscated at the request of
another Party
1. Each Party shall adopt such legislative and other measures as may be necessary to ensure
that Article 6 of the Convention and Articles 15 and 17 of this Protocol apply to property
frozen, seized or confiscated at the request of another Party.
2. The management of property frozen, seized or confiscated at the request of another Party
shall be governed by the law of the requested Party.
Chapter IV – Safeguards, training and resources
Article 31 – Safeguards and remedies
1. Each Party shall ensure that the establishment, implementation and application of the
powers and procedures provided for in this Protocol are subject to the conditions and
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safeguards provided for under its domestic law, which shall ensure adequate protection of
human rights and freedoms, and incorporate the principles of necessity and proportionality.
2. Without prejudice to Article 8 of the Convention, each Party shall adopt such legislative
and other measures as may be necessary to ensure that the persons affected by provisional
measures, including measures provided in Article 6 of this Protocol, pre-confiscation sale
orders or confiscation pursuant to the Convention or this Protocol, have the right to an
effective legal remedy and to a fair trial in order to protect their rights. Parties shall also
guarantee the rights of the defence.
3. Each Party shall ensure that the persons affected by a confiscation measure pursuant to the
Convention or this Protocol are summoned to the confiscation proceedings.
4. Each Party shall ensure that a court can suspend the execution of a pre-confiscation sale
order if otherwise there would be irreparable harm to the affected person.
Article 32 – Notification of decisions
1. Each Party shall ensure that decisions on provisional measures and confiscation pursuant to
the Convention and this Protocol, as well as decisions on the pre-confiscation sale of property,
are notified to the persons affected without undue delay. Such decisions shall set out the
reasons for the measure and the rights and legal remedies available to the person affected.
2. A Party may allow its competent authorities to postpone notifying the person concerned of
decisions on provisional measures for such period of time as is necessary to avoid
jeopardising a criminal or financial investigation.
Article 33 – Security measures
1. Each Party shall ensure that asset recovery offices undertake all necessary measures,
including security measures, to ensure that information processed under Articles 9, 12, 17 and
29 of this Protocol is not accessed by unauthorised persons.
2. Parties shall take the necessary measures to ensure that communication between asset
recovery offices is carried out through secure channels.
Article 34 – Resources and training
1. Each Party shall adopt such legislative or other measures as may be necessary to ensure that
asset recovery offices and asset management offices have adequate financial, human and
technical resources to carry out their functions effectively.
2. Without prejudice to judicial independence and differences in the organisation of the
judiciary, each Party shall ensure that adequate training is available to the competent
authorities involved in financial investigations, asset identification, tracing, freezing, seizure,
management and confiscation.
Chapter V – Monitoring mechanism and settlement of disputes
Article 35 – Monitoring mechanism and settlement of disputes
1. Article 48 of the Convention shall apply, mutatis mutandis, to this Protocol. The
Conference of the Parties established under the Convention shall perform the functions set out
in Article 48 of the Convention for the purposes of this Protocol, meeting in a composition
restricted to the Parties to this Protocol, where appropriate.
2. The Conference of the Parties, meeting in a composition restricted to the Parties to this
Protocol, shall adopt standard forms as provided for in Articles 24 and 25 of this Protocol.
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3. The Conference of the Parties shall facilitate the exchange of information on significant
legal, policy or practical developments pertaining to the areas covered by the Convention and
this Protocol.
Chapter VI – Final provisions
Article 36 – Relationship with the Convention
The provisions of the Convention shall apply, mutatis mutandis, to the provisions of this
Protocol.
Article 37 – Signature and ratification
This Protocol shall be open for signature by signatories to the Convention. It shall be subject
to ratification, acceptance or approval. A signatory may not ratify, accept or approve this
Protocol unless it has previously or simultaneously expressed its consent to be bound by the
provisions of the Convention. Instruments of ratification, acceptance or approval shall be
deposited with the Secretary General of the Council of Europe.
Article 38 – Entry into force
1. This Protocol shall enter into force on the first day of the month following the expiration of
a period of three months after the date on which five signatories, including at least three
member States of the Council of Europe, have expressed their consent to be bound by this
Protocol, in accordance with the provisions of Article 37.
2. In respect of any signatory which subsequently expresses its consent to be bound by it, this
Protocol shall enter into force on the first day of the month following the expiration of a
period of three months after the date of the deposit of its instrument of ratification, acceptance
or approval.
Article 39 – Accession
1. After the entry into force of this Protocol, any Party to the Convention may also accede to
this Protocol.
2. In respect of any Party acceding to this Protocol under paragraph 1 of this article, this
Protocol shall enter into force on the first day of the month following the expiration of a
period of three months after the date of the deposit of the instrument of accession with the
Secretary General of the Council of Europe.
Article 40 – Territorial application
1. Any State or the European Union may, at the time of signature of this Protocol or when
depositing its instrument of ratification, acceptance, approval or accession, specify the
territory or territories to which this Protocol shall apply.
2. Any Party may, at any later time, by a declaration addressed to the Secretary General of the
Council of Europe, extend the application of this Protocol to any other territory specified in
the declaration and for whose international relations it is responsible or on whose behalf it is
authorised to give undertakings. In respect of such territory, this Protocol shall enter into force
on the first day of the month following the expiration of a period of three months after the
date of receipt of the declaration by the Secretary General.
3. Any declaration made under paragraphs 1 and 2 of this article may, in respect of any
territory specified in such declaration, be withdrawn by a notification addressed to the
Secretary General of the Council of Europe. The withdrawal shall become effective on the
first day of the month following the expiration of a period of three months after the date of
receipt of such notification by the Secretary General.
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Article 41 – Denunciation
1. Any Party may, at any time, denounce this Protocol by means of a notification addressed to
the Secretary General of the Council of Europe.
2. Such denunciation shall become effective on the first day of the month following the
expiration of a period of three months after the date of receipt of the notification by the
Secretary General.
3. Denunciation of the Convention automatically entails denunciation of this Protocol.
Article 42 – Relationship to other conventions and agreements
1. This Protocol does not affect the rights and undertakings of Parties derived from
international multilateral instruments concerning special matters.
2. The Parties to this Protocol may conclude bilateral or multilateral agreements with one
another on the matters dealt with in this Protocol, for the purposes of supplementing or
strengthening its provisions or facilitating the application of the principles embodied in it.
3. If two or more Parties have already concluded an agreement or treaty in respect of a subject
which is dealt with in this Protocol, or if they have otherwise established their relations in
respect of that subject, they shall be entitled to apply that agreement or treaty or to regulate
these relations accordingly, in lieu of this Protocol, if it facilitates international co-operation.
4. Parties which are members of the European Union shall, in their mutual relations, apply
European Community and European Union rules insofar as there are Community or European
Union rules governing the particular subject concerned and applicable to the specific case,
without prejudice to the object and purpose of this Protocol and without prejudice to its full
application with respect to other Parties.
Article 43 – Declarations and reservations
1. Any State or the European Union may, at the time of signature of this Protocol or when
depositing its instrument of ratification, acceptance, approval or accession, make one or more
of the declarations provided for in Article 19, paragraph 5, and Article 40, paragraphs 1 and 2,
of this Protocol.
2. Any State or the European Union may, at the time of signature of this Protocol or when
depositing its instrument of ratification, acceptance, approval or accession, by a declaration
addressed to the Secretary General of the Council of Europe, declare that it avails itself of one
or more of the reservations provided for in Article 3, paragraph 2; Article 4, paragraphs 2
and 3; Article 5, paragraph 3; Article 10, paragraph 6; Article 20, paragraph 5; and Article 28,
paragraph 4, of this Protocol. No other reservation may be made in respect of the provisions
of this Protocol.
3. Any Party which has made a reservation under this article may, at any time, wholly or
partly withdraw it by means of a notification addressed to the Secretary General of the
Council of Europe. The withdrawal shall take effect on the date of receipt of such notification
by the Secretary General.
4. A Party which has made a reservation in respect of a provision of this Protocol may not
claim the application of that provision by any other Party; it may, however, if its reservation is
partial or conditional, claim the application of that provision insofar as it has itself accepted it.
Article 44 – Notifications
The Secretary General of the Council of Europe shall notify the member States of the Council
of Europe, the non-member States which have participated in the elaboration of this Protocol,
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the European Union, any signatory, any State Party and any other State which has been
invited to accede to the Convention of:
a. any signature;
b. the deposit of any instrument of ratification, acceptance, approval or accession;
c. the date of entry into force of this Protocol in accordance with Article 38;
d. any declaration, reservation or withdrawal of reservation made in accordance with
Article 43;
e. any declaration made in accordance with Article 14, paragraph 3, and Article 29,
paragraph 5;
f. any other act, notification or communication relating to this Protocol.
In witness whereof the undersigned, being duly authorised thereto, have signed this Protocol.
Done at xxx, this xxx day of xxx, in English and in French, both texts being equally authentic,
in a single copy which shall be deposited in the archives of the Council of Europe. The
Secretary General of the Council of Europe shall transmit certified copies to each member
State of the Council of Europe, to the non-member States which have participated in the
elaboration of this Protocol, to the European Union and to any State invited to accede to the
Convention.
Appendix
The following paragraph is added to the appendix to the Convention:
v cybercrime.