The recent High Court decision in Mazur v Charles Russell Speechlys LLP [2025] has sent shockwaves throughout the legal profession, particularly for aspiring solicitors preparing for the Solicitors Qualifying Examination (SQE). The judgment has created significant uncertainty about whether unqualified legal professionals, including paralegals, trainees, and legal assistants, can conduct litigation under the supervision of a qualified solicitor. For decades, law firms have operated under the assumption that supervised unqualified staff could manage certain litigation tasks, such as filing court documents, drafting pleadings, and corresponding with clients and courts, without breaching regulatory obligations. The Mazur case challenges that assumption and clarifies that the statutory right to conduct litigation resides solely with solicitors and other authorised persons, and that supervision alone does not confer this right. The High Court’s restrictive interpretation has left law firms reconsidering internal workflows, delegation of litigation tasks, and training practices for trainees. For aspiring solicitors, this case highlights the importance of understanding professional boundaries and the scope of reserved legal activities under the Legal Services Act 2007. This ruling is particularly significant for SQE candidates, as it directly intersects with the learning outcomes of both SQE1 and SQE2, and impacts the type of experience that can be counted towards Qualifying Work Experience (QWE). The decision also has ethical implications, raising questions about the responsibilities of supervising solicitors and the potential consequences if unqualified staff overstep their limits. It highlights that law students, trainees, and paralegals must always operate within their legal authorisation, even when tasked with complex litigation responsibilities. From a regulatory perspective, the case reinforces that adherence to the SRA Principles and the SRA Code of Conduct is non-negotiable. Moreover, it underscores the necessity of maintaining meticulous records of all work undertaken, clarifying which tasks fall within the bounds of permissible activity. Law firms may now need to introduce stricter oversight procedures, detailed training on reserved activities, and more explicit guidance for trainees on what they can and cannot do. For SQE candidates, Mazur provides a real-world example of how statutory rules, regulatory compliance, and professional ethics intersect in litigation practice. It also demonstrates the potential career consequences of misunderstanding or ignoring the limits of one’s legal authority, including reputational damage, liability to clients, and even disciplinary action. Aspiring solicitors need to appreciate that technical competence alone is insufficient; they must also demonstrate ethical awareness and professional judgment in all litigation matters. This case has sparked widespread discussion in law firms, training providers, and online forums about how to safely involve unqualified staff in litigation tasks while remaining compliant. The ruling also serves as a reminder that the law evolves, and the SQE exams are designed to test candidates on current and practical knowledge of these changes. Understanding the Mazur decision is essential not just for exams but for developing a career in litigation law, as it illustrates the delicate balance between supervision, responsibility, and the right to conduct litigation.
What Was the Issue in Mazur v Charles Russell Speechlys?
At the heart of Mazur v Charles Russell Speechlys was the fundamental legal question of whether an unqualified legal professional can conduct litigation if working under the supervision of a qualified solicitor. The case arose when a trainee solicitor and paralegal were involved in managing litigation for a client, performing tasks that traditionally had been delegated by supervising solicitors. The High Court had to determine whether these tasks, which included filing documents, drafting pleadings, and corresponding with the court, could legally be performed by unqualified staff without violating the Legal Services Act 2007. For years, legal practitioners assumed that supervision alone allowed trainees and paralegals to conduct these tasks without risk, provided a solicitor was ultimately responsible. However, the court clarified that the right to conduct litigation is a reserved legal activity that cannot be transferred, delegated, or shared simply through supervision. This means that any litigation conducted by an unqualified professional, even under close oversight, could be deemed unauthorised and potentially unlawful. The judgment also highlighted the regulatory risks for supervising solicitors who allow unqualified staff to undertake tasks that fall within reserved activities. Beyond the legal technicalities, the case raises practical questions for law firms regarding task allocation, risk management, and the design of trainee programs. It also forces candidates preparing for the SQE to consider the distinction between “learning by doing” and actually conducting litigation without authorisation. The decision demonstrates that supervision, while vital for training, does not equate to legal authorisation, and therefore trainees must be extremely cautious. This has implications not only for litigation but for other reserved activities, such as probate, conveyancing, and certain regulatory procedures. The ruling challenges the notion of informal delegation that has long existed in law firms, calling for formalised processes and clear documentation of supervisory responsibility. It also sets a precedent for interpreting reserved legal activities more strictly, which may influence regulatory guidance in the coming years. For SQE candidates, the Mazur case serves as an important study in understanding how regulatory frameworks interact with everyday legal practice. It shows that theoretical knowledge of law must be paired with an understanding of professional boundaries. The case also underscores the SRA’s focus on client protection, as allowing unqualified individuals to conduct litigation could jeopardise clients’ legal rights and outcomes. Moreover, it provides a lens through which candidates can examine the ethical and practical dimensions of law, bridging exam theory with real-world application. Future solicitors must appreciate that competence in litigation requires both knowledge and strict adherence to regulatory limits. The Mazur case is, therefore, not just a technical point of law but a vital professional lesson.
Why This Case Matters for SQE Candidates
SQE Overview and Its Purpose
The Solicitors Qualifying Examination (SQE) is designed to ensure that all new solicitors enter the profession with consistent, demonstrable competence, combining knowledge, skills, and ethical awareness. This competence is assessed through three key pillars: SQE1, SQE2, and Qualifying Work Experience (QWE), each focusing on different aspects of solicitor competence. SQE1 tests functioning legal knowledge (FLK) in areas including dispute resolution, contract law, tort, criminal litigation, and professional ethics, ensuring candidates understand both the substantive and procedural law. SQE2 is a practical, skills-based assessment, requiring candidates to demonstrate legal research, drafting, advocacy, client interviewing, and case analysis abilities in realistic scenarios. Qualifying Work Experience (QWE) requires candidates to gain at least two years’ equivalent experience across up to four organisations, covering all core competences of a solicitor under real-world supervision. The Mazur judgment is significant because it directly affects how trainees and paralegals can engage with litigation tasks, which are central to both SQE2 and QWE. Understanding the implications of the Mazur decision helps candidates see the boundaries between observation, supportive tasks, and conducting litigation independently. It also illustrates how the law, ethics, and supervision intersect in practice, which is a recurrent theme in SQE assessments. For example, in SQE1, candidates may face multiple-choice or scenario-based questions about whether unqualified staff can undertake reserved legal activities, including litigation. SQE2 scenarios often require candidates to simulate advocacy or drafting work while remaining within lawful limits. Mazur shows that supervision alone does not authorise unqualified individuals to conduct litigation, a nuance that is exam-relevant and professionally critical. QWE is similarly impacted, as firms may restrict certain tasks to qualified solicitors, reducing direct hands-on experience for trainees. Accurate record-keeping and reflection on QWE are therefore essential to demonstrate compliance with the SRA’s competence framework. Candidates must understand that supportive tasks, such as drafting under supervision or assisting in research, are permissible, while reserved activities are restricted. Proactive clarification from supervising solicitors becomes vital to ensure all tasks undertaken during QWE remain lawful. The case also highlights that ethical awareness and professional judgment are inseparable from practical competence, aligning closely with the aims of the SQE. Trainees must balance the need to gain litigation experience with the obligation to operate within their authority, which is a key learning point for exam preparation. Mazur ultimately underscores that understanding the law theoretically is insufficient without applying it correctly in professional contexts. For SQE candidates, this case is a live example of how law, regulation, and ethics converge in everyday practice. Finally, it prepares candidates to handle similar dilemmas in both exams and their future legal careers, reinforcing the principle that competence is multidimensional and bound by statutory and ethical rules.
1. Impact on SQE1 (Functioning Legal Knowledge)
SQE1 candidates must have a detailed understanding of the legal services framework, including the distinction between authorised and unauthorised persons in relation to reserved legal activities. Conducting litigation is a reserved legal activity, meaning it can only be performed by solicitors or other authorised individuals under the Legal Services Act 2007. The Mazur case directly illustrates this point, as the High Court confirmed that supervision does not allow unqualified staff to conduct litigation. SQE1 assessments often present scenario-based multiple-choice questions where candidates must decide whether tasks performed by paralegals or trainees are permissible. Understanding the implications of Mazur allows candidates to answer such questions accurately, recognising the limits of authority under statutory law. The case also teaches that technical competence is insufficient without awareness of professional boundaries. Candidates must differentiate between lawful supportive tasks, such as research or drafting under supervision, and actions that constitute unauthorised litigation. The judgment reinforces that regulatory compliance is a core aspect of legal knowledge, not just a procedural formality. Candidates may be tested on ethics and conduct questions that reflect scenarios similar to Mazur, where delegation and supervision intersect with statutory limitations. This includes recognising potential breaches of the SRA Code of Conduct or Principles when tasks are performed without authority. Mazur provides a practical context for understanding the consequences of overstepping boundaries, both for trainees and their supervising solicitors. It also demonstrates the importance of knowing which tasks are examinable under SQE1, especially regarding litigation procedures and reserved activities. Candidates should be able to explain why supervision does not equate to authorisation. They must understand how liability and responsibility rest with the qualified solicitor, not the unqualified trainee. The case reinforces the principle that practical understanding must be integrated with legal knowledge. SQE1 questions may also test comprehension of the Legal Services Act, SRA regulations, and the consequences of unauthorised practice. Candidates should be prepared to apply these principles in a variety of fact patterns, reflecting real-world litigation situations. Finally, Mazur emphasises that thorough legal knowledge includes not only substantive law but also the regulatory and professional context in which law is practised.
2. Impact on SQE2 (Practical Legal Skills)
SQE2 assesses practical skills, including advocacy, drafting, client interviewing, and case analysis, which require candidates to simulate real litigation scenarios. The Mazur judgment highlights the tension between practising litigation skills and the legal limits on unqualified individuals performing litigation in reality. Candidates must therefore approach SQE2 tasks with a clear understanding of professional boundaries, distinguishing between tasks performed under supervision and those requiring independent authority. The case reinforces that practical competence cannot be assessed in isolation from regulatory compliance or ethical obligations. For example, drafting a statement of case may be permissible if done as a supportive task, but issuing proceedings independently is unauthorised. SQE2 exercises often involve role-play or simulations where candidates act as trainee solicitors, and understanding Mazur ensures these exercises are completed within professional limits. The judgment illustrates that supervision, while crucial for skill development, does not transfer legal rights, which is essential knowledge for realistic scenario performance. Candidates should demonstrate the ability to perform tasks ethically, safely, and within the law, reflecting the interplay of competence and regulation. The case also highlights the importance of reflective practice, as candidates must evaluate their role and limitations in each exercise. It encourages critical thinking, requiring candidates to consider how to gain experience without overstepping authority. Understanding Mazur helps SQE2 candidates navigate scenarios where ethical dilemmas arise, such as balancing client interests with regulatory compliance. The judgment also reinforces the SRA’s expectations for professional judgment, risk awareness, and careful task allocation. Candidates should be able to identify tasks that are permissible for trainees, ensuring they avoid unauthorised practice while still demonstrating competence. Mazur illustrates that even routine litigation tasks can carry regulatory implications, reinforcing the need for diligence and awareness. Candidates are expected to reflect on supervision, escalation, and delegation in their assessments, applying these principles practically. The decision also serves as a reminder that mistakes in unqualified practice can affect both clients and supervising solicitors. For SQE2, the case provides a real-world framework for integrating ethical reasoning, regulatory knowledge, and practical litigation skills. Candidates must be able to articulate why certain actions are restricted, even if performed under supervision. Finally, Mazur underscores that SQE2 is designed to test not just what candidates can do, but what they may lawfully and ethically do, making awareness of professional limits essential.
3. Impact on Qualifying Work Experience (QWE)
The Mazur judgment has profound implications for Qualifying Work Experience (QWE), which requires aspiring solicitors to gain at least two years’ equivalent experience covering core solicitor competences. Many candidates currently gain litigation exposure through supervised paralegal roles or training contracts, but Mazur may restrict what tasks law firms allow trainees to perform. Tasks such as filing pleadings, issuing proceedings, or corresponding directly with courts may now be reserved for qualified solicitors, limiting hands-on experience. This makes it essential for candidates to record QWE carefully, ensuring alignment with the SRA competence framework and accurately reflecting permissible work. It also highlights the need to distinguish between supportive litigation tasks and reserved activities, so candidates can demonstrate competence without overstating authority. Proactive clarification from supervisors becomes critical to understand what tasks may lawfully be undertaken. Mazur teaches that QWE is not just about accumulating experience but about gaining lawful, ethically sound, and supervised exposure. Candidates must also reflect on their work to ensure compliance with professional standards and regulatory requirements. The judgment reinforces the need for accurate documentation of all delegated tasks and supervision provided. Firms may need to adjust QWE structures to ensure compliance while still offering meaningful learning opportunities. Candidates should seek tasks that build litigation competence without violating the statutory limitations highlighted in Mazur. The case demonstrates that practical experience is inseparable from ethical and regulatory awareness. Understanding the boundaries of what can be performed safely prepares candidates for scenario-based exam questions that test judgment, ethics, and law simultaneously. It also illustrates that trainees are accountable for understanding their own limitations, even under supervision. Mazur encourages candidates to actively engage with supervising solicitors, asking questions about permissible tasks. QWE should therefore be seen as a structured learning process, integrating legal, ethical, and practical development. The case highlights the importance of reflective practice, ensuring that all experience contributes to demonstrable competence. It also underscores that professional development requires awareness of evolving case law and regulatory guidance. Ultimately, Mazur equips candidates with a framework for navigating the legal, ethical, and practical dimensions of QWE, ensuring they gain experience that is compliant, meaningful, and professionally credible.
Professional Ethics: The Core Connection
The Mazur decision is deeply intertwined with professional ethics, making it particularly relevant for all SQE candidates. The case illustrates that understanding the law is only part of a solicitor’s professional responsibility; ethical and regulatory compliance are equally critical. Conducting litigation without proper authorisation, even under supervision, is not merely a technical breach of the Legal Services Act 2007, but it can amount to serious professional misconduct. Trainees and paralegals who overstep their authority may unintentionally expose themselves, their supervising solicitors, and their law firms to regulatory sanctions. For SQE candidates, this reinforces the importance of mastering the SRA Principles, including acting with integrity, upholding the rule of law, and protecting client interests. The judgment demonstrates that supervision is not a shield against ethical breaches, highlighting that responsibility ultimately rests with the supervising solicitor. This case can be used as a live scenario in SQE1 or SQE2 exam questions to test candidates’ ability to identify ethical and regulatory breaches in complex litigation scenarios. It also illustrates the practical application of the SRA Code of Conduct, which governs conduct in every area of legal practice. Candidates must understand that ethical practice involves recognising the limits of their authority and knowing when to escalate issues to a qualified solicitor. The Mazur case reinforces that lawyers must act in the client’s best interests at all times, even when performing delegated or support tasks. It also underscores the importance of professional judgment: trainees must balance learning opportunities with adherence to legal and ethical boundaries. Moreover, this case provides a real-world example of how legal knowledge, practical skills, and ethics intersect in litigation. Understanding Mazur allows SQE candidates to anticipate situations where ethical dilemmas may arise and apply regulatory principles effectively. The case also highlights that compliance is proactive: it is insufficient to simply follow instructions; trainees must actively ensure they are authorised to act. It demonstrates that breaches can occur inadvertently, which is why continuous professional education and awareness are critical. For SQE2 candidates, who must demonstrate advocacy and litigation skills in simulated exercises, Mazur serves as a reminder to respect professional boundaries in all practical tasks. The decision also stresses documentation and supervision: thorough records of delegated tasks are essential to demonstrate compliance. Aspiring solicitors must recognise that ethical awareness is as examinable as legal knowledge, and scenario-based questions often combine both elements. Finally, the Mazur ruling exemplifies the SRA’s commitment to upholding public confidence in the legal profession, showing that ethical compliance protects clients, firms, and the profession as a whole.
Wider Implications for the Legal Profession
The impact of Mazur v Charles Russell Speechlys extends beyond individual trainees or law firms and has profound implications for the wider legal profession. Law firms are now reconsidering how they structure training programs, allocate litigation tasks, and delegate responsibilities to unqualified staff. The decision has sparked debate about whether existing frameworks for trainee exposure to litigation are sufficient or require reform. There are questions about whether the Legal Services Act 2007 should be reinterpreted to accommodate modern practice, particularly as legal technology and alternative business structures expand. Many law firms may now implement stricter compliance procedures, ensuring that only authorised solicitors perform tasks that fall within reserved activities. This has the potential to reduce hands-on litigation experience for trainees, impacting the practical skills they can gain before qualification. The ruling also raises concerns about access to the profession: if firms limit trainee responsibilities, candidates may struggle to fulfil Qualifying Work Experience (QWE) requirements. For aspiring solicitors, Mazur illustrates that regulatory developments can directly affect career pathways, training opportunities, and the acquisition of practical skills. The case also demonstrates that the SRA is likely to continue interpreting reserved activities strictly, prioritising client protection and professional integrity over convenience or tradition. In practice, this may require firms to redesign internal workflows, allocate tasks differently, and provide additional supervision for trainees. Law schools and SQE preparatory courses may now incorporate Mazur-based scenarios to teach candidates about the practical limits of litigation work. Moreover, the judgment highlights the importance of continuous professional development: lawyers must stay current with case law and regulatory updates to maintain compliance. The case encourages trainees to develop a proactive approach to professional boundaries and supervisory obligations. It also reinforces that law is not static: statutory interpretation, High Court rulings, and regulatory guidance constantly evolve, affecting day-to-day practice. Future solicitors must be adaptable, ethically aware, and knowledgeable about regulatory limits, especially when handling litigation. Mazur has prompted discussions about how technology and delegation can safely integrate into litigation without breaching the law. It may also lead to more structured pathways for trainees to gain exposure to litigation under controlled conditions, such as simulation exercises and formal mentorship programs. The ruling has been widely discussed in legal publications, webinars, and law firm training sessions, signalling its relevance to both education and practice. Finally, it provides a live example for SQE candidates of how case law can shape professional behaviour, practical training, and regulatory expectations simultaneously.
Key Takeaways for SQE Candidates
For all aspiring solicitors, the Mazur case provides a series of essential lessons that directly relate to the SQE exams and professional practice.
First, conducting litigation is a reserved legal activity, and only admitted solicitors or other authorised individuals may perform it.
Second, supervision does not confer the right to act; trainees, paralegals, and other unqualified staff cannot rely on a supervising solicitor’s oversight to justify performing litigation tasks.
Third, the decision highlights the intersection of ethics, professional responsibility, and statutory compliance, reinforcing the importance of mastering SRA Principles for both SQE1 and SQE2.
Fourth, the case emphasises that trainees must carefully distinguish between support tasks and independent conduct of litigation, ensuring that all activities remain within legal bounds.
Fifth, QWE must be recorded accurately, reflecting the nature and extent of tasks undertaken without overstating the trainee’s authority.
Sixth, Mazur is a practical example of how breaches of authority can have consequences for both the individual and the supervising solicitor, including regulatory investigation and reputational risk.
Seventh, the case reinforces the importance of professional judgment, requiring trainees to ask questions, seek clarification, and escalate issues when necessary.
Eighth, it underscores that ethical awareness is as important as legal knowledge, particularly in practical skills assessments in SQE2.
Ninth, candidates should recognise that litigation experience can be gained safely through observation, drafting, and simulation exercises, without conducting unauthorised proceedings.
Tenth, the case demonstrates the SRA’s commitment to protecting clients and maintaining public confidence, showing why compliance and supervision are central to solicitor training.
Eleventh, Mazur provides an example of how law and regulation evolve, highlighting the need for continuous learning and awareness of current case law.
Twelfth, the decision may affect law firm workflows, potentially limiting hands-on litigation exposure for trainees, which is crucial for planning QWE opportunities.
Thirteenth, the ruling encourages candidates to consider the broader context of professional practice, including risk management, delegation, and supervision.
Fourteenth, it serves as a reminder that scenario-based exam questions often integrate legal, ethical, and practical considerations simultaneously.
Fifteenth, the judgment illustrates that understanding the law theoretically is insufficient without applying it correctly in professional contexts.
Sixteenth, Mazur exemplifies the practical implications of reserved legal activities, making it highly relevant to dispute resolution, advocacy, and litigation topics within the SQE syllabus.
Seventeenth, the case reinforces the need for thorough documentation and evidence of supervision for all tasks undertaken during training.
Eighteenth, candidates should use Mazur as a framework to assess professional boundaries in any legal context, not just litigation.
Nineteenth, the decision demonstrates that legal skills, ethical judgment, and regulatory awareness are inseparable in modern solicitor practice.
Twentieth, ultimately, Mazur equips SQE candidates with a live, practical example of how law, ethics, and supervision converge, preparing them to navigate complex professional scenarios confidently while maintaining compliance and protecting client interests.
Questions & Answers: Mazur v Charles Russell Speechlys and SQE Relevance
Q1: Can a trainee solicitor conduct litigation under supervision according to Mazur?
A1: No. The High Court confirmed that the statutory right to conduct litigation is reserved for qualified solicitors and other authorised individuals. Supervision alone does not confer this right, and any litigation performed by a trainee without authorisation could be deemed unauthorised practice.
Q2: How does Mazur affect SQE1 preparation?
A2: Mazur is highly relevant for SQE1 because candidates must understand who is entitled to carry out reserved legal activities under the Legal Services Act 2007. Multiple-choice or scenario-based questions may test whether paralegals, trainees, or other unqualified staff can legally perform litigation tasks and the limits of supervision.
Q3: How should SQE2 candidates apply Mazur in practical exercises?
A3: SQE2 candidates must demonstrate litigation skills ethically and lawfully. They should simulate tasks like drafting, case analysis, or advocacy within the limits of what an unqualified individual may do, recognising that issuing proceedings or conducting litigation independently is restricted to solicitors.
Q4: What impact does Mazur have on Qualifying Work Experience (QWE)?
A4: QWE may be affected because firms might limit the tasks that trainees can perform, particularly those involving direct litigation with courts. Candidates must carefully document tasks performed and ensure they remain lawful, distinguishing between supportive activities and reserved litigation functions.
Q5: Why is Mazur important from an ethical standpoint?
A5: The case highlights that ethical and regulatory compliance are inseparable from practical competence. Allowing unqualified staff to conduct litigation could breach SRA Principles, harm clients, and expose both trainees and supervising solicitors to disciplinary risk.
Q6: Can observing or assisting in litigation still count for QWE after Mazur?
A6: Yes. Supporting tasks, observing court proceedings, drafting documents under supervision, and assisting in research are all permissible activities that help build competence without breaching the limits on conducting litigation. Proper documentation ensures this experience is valid for QWE purposes.
Q7: How should trainees approach supervision after Mazur?
A7: Trainees should proactively seek clarification from supervising solicitors regarding which tasks are permissible. They should reflect accurately in their QWE logs and ensure all work complies with regulatory boundaries, recognising that supervision does not transfer authority.
Q8: How does Mazur prepare SQE candidates for real-world practice?
A8: The case provides a live example of how law, regulation, and ethics intersect in litigation practice. Understanding Mazur equips candidates to handle professional dilemmas, recognise their own limits, and gain litigation experience safely while adhering to the SRA Code of Conduct.
Prepare with confidence and bridge the gap between theory and practice. Our online SQE courses provide realistic scenarios, up-to-date content, and practical exercises designed to strengthen your knowledge, skills, and professional judgment. Equip yourself to face both the exams and real-world challenges with clarity and competence – because your future as a solicitor deserves structured, reliable preparation.
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