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You are here: BAILII >> Databases >> England and Wales Court of Appeal (Civil Division) Decisions >> The Law Society of England and Wales v Schubert Murphy (A Firm) [2017] EWCA Civ 1295 (25 August 2017) URL: http://www.bailii.org/ew/cases/EWCA/Civ/2017/1295.html Cite as: [2017] EWCA Civ 1295, [2017] WLR(D) 583, [2017] 4 WLR 200 |
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ON APPEAL FROM HIGH COURT, QUEENS BENCH DIVISION
MR JUSTICE MITTING
Strand, London, WC2A 2LL |
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B e f o r e :
LADY JUSTICE GLOSTER, VICE PRESIDENT, CIVIL DIVISION
and
LORD JUSTICE BEATSON
____________________
The Law Society of England and Wales |
Appellant |
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-and – Schubert Murphy (A Firm) |
____________________
Charles Dougherty QC, Matthew Thorne (instructed by XL Catlin Services SE) for the Respondent
Hearing dates : 13 July 2017
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Crown Copyright ©
Lord Justice Beatson :
I Overview
II The legislative and regulatory framework:
"(a) Entries on the Roll under (a), (c), (d), (e), (g) and (h) must be available for inspection by any member of the public during office hours without charge, except that the SRA may in exceptional circumstances, and if it considers that to do so would be in the public interest, withhold the address of a solicitor's principal place of business.
(b) The date on which a solicitor's name was
(i) removed from or
(ii) struck off
the Roll must be made available to a member of the public on request."[4]
"Where application is made under regulation 2 for a practising certificate or for replacement of a practising certificated the SRA must grant the application if:
(a) the applicant's name is on the Roll of solicitors;
(b) the applicant is not suspended from practice as a solicitor;
(c) the applicant has supplied satisfactory evidence that he or she will comply with or be exempt from the Solicitors' Indemnity Insurance Rules; and
(d) the application is made in accordance with these Regulations,
and the SRA must not grant the application unless conditions (a) to (c) are met."
"(a) The SRA may grant an application under regulation 4 if the applicant:
(i) will be practising as a sole practitioner from an office in England and Wales;
(ii) is not, and is not about to be made, subject to a condition on his or her practising certificate or registration which would prohibit practice as a sole practitioner;
(iii) has adopted a name under which his or her firm is to be recognised, and which complies with rule 7 of the Solicitors' Code of Conduct; and
(iv) complies with (or has a waiver of) rule 5.02 of the Solicitors' Code of Conduct; and
(v) complies with the Solicitors' Indemnity Insurance Rules in respect of his or her firm."
"Identify other solicitors or conveyancers. Fraudsters may pose as a solicitor or a conveyancer acting for either party to add greater legitimacy to the transaction. If you do not know them, you should check the recognised directory of their professional body.
- The Law Society…".
The glossary to the Practice Note states that the use of the word "should" denotes "good practice for most situations in the Law Society's view", and also that:
"If you do not follow this, you should be able to justify to oversight bodies why the alternative approach you have taken is appropriate, either for your practice or in the particular retainer."
"…If the identity of the other party's solicitor is not known, his or her status should be checked with the Law Society."
III The factual background:
"Find a Solicitor. This section contains our searchable database to help you find a solicitor, advice on what to expect, guides to common legal problems and what to do if things go wrong."
On the same page, it is also stated that:
"When choosing a solicitor, you can be confident they are professionally qualified and properly regulated. Regulation is carried out by the Solicitors Regulation Authority. To check the SRA record of a solicitor or regulated entity, call 0870 606 2553 or email [email protected]."
Mrs Murphy relied upon the information obtained as confirmation that Mr Dobbs was a genuine solicitor and that Acorn was a genuine legal practice.
IV The decision below:
"All that [the Law Society] are said to have done is to have entered his name on the Roll and Register of solicitors as entitled to practise when, if they had exercised proper care, they would not have done so and, having done so, told the claimants and through them Mr Christofi that he was so entered."
"… [A]t least the following facts would need to be established: (i) What are the defendants required to do and what in fact do they do to check the identity of an applicant for entry on the Roll or Register and his entitlement to be so entered? Whether the decision involves an exercise of judgment or is simply a box-ticking exercise or semi-automatic. Whether there are circumstances which should alert those responsible for making checks to anomalies in applications which require investigation. What resources are available to the defendant to permit them to make checks to a satisfactory standard? (ii) What, if any, additional financial burden would be imposed by carrying out checks sufficient to eliminate or more likely minimise the risk of fraudulent entry on the Roll. (iii) What is the scale of the problem? How many fraudulent applications are detected each year and what would be the financial exposure of the defendant if it were to be held liable for careless failure to carry out adequate checks? (iv) What insurance is available and at what cost to the defendant and/or those practising as solicitors in the conveyancing market if liability for carelessness on the part of the defendant is acknowledged or disavowed. (v) To what extent, if at all, can the defendant escape a liability which it might otherwise have for an erroneous answer given personally by an employee by telephone or by letter or by email by relying on an automated response given by a page on its website?
He concluded (at [15]) that "it is only if those questions can be answered in a manner unequivocally favourable to" the Law Society that its application could succeed "unless, however answered, no duty of care could be held to exist".
"… is accordingly encouraging ordinary members of the public to rely on its published information about who is a solicitor. If an ordinary member of the public reliant on that information consults an imposter operating an office on a high street near him and entrusts that person with money, as people are [apt] to do with solicitors, then if he loses it, he might well be rather shocked to find that he had no recompense against the representative and regulatory body that held out that person as a solicitor on its website." ([26])
V The submissions of the parties:
(a) He failed to start his analysis with the fact that the direct and immediate cause of the loss was the fraud of a third party, the supposed "Mr Dobbs" and not the Law Society.(b) He concluded that the decision in Yuen Kun Yeu v Attorney-General of Hong Kong [1988] AC 175 could be distinguished and was of limited assistance. He did not recognise that the registration of Mr Dobbs and Acorn by the SRA did not suffice to give rise to a duty of care on the part of the SRA. Moreover, he did not find that, because the information provided by the FAS facility in response to online requests was only that which the Law Society is obliged to provide pursuant to its statutory regulatory functions, providing such information does not give rise to a duty of care on the part of the Law Society.
(c) In relation to the threefold test in Caparo Industries Plc. v Dickman [1990] 2 AC 605 (also a strike out/summary judgment case),
(i) He held that Schubert Murphy had a prospect of establishing that there was a sufficient relationship of proximity to give rise to any duty of care merely because the Law Society provided information through the FAS facility, and(ii) He concluded that the question of whether it was fair, just and reasonable to impose the alleged duty of care could not be resolved in favour of the Law Society without a trial.(d) He held that Schubert Murphy had a real prospect of establishing that the Law Society had made a representation by providing through the FAS facility the information (i) about Mr Dobbs and Acorn, and (ii) that Mr Dobbs and Acorn were listed on the Roll of solicitors and other registers.
VI Analysis:
"What can be deduced from the Hedley Byrne case, therefore, is that the necessary relationship between the maker of a statement or giver of advice ("the adviser") and the recipient who acts in reliance upon it ("the advisee") may typically be held to exist where (1) the advice is required for a purpose, whether particularly specified or generally described, which is made known, either actually or inferentially, to the adviser at the time when the advice is given; (2) the adviser knows, either actually or inferentially, that his advice will be communicated to the advisee, either specifically or as a member of an ascertainable class, in order that it should be used by the advisee for that purpose; (3) it is known either actually or inferentially, that the advice so communicated is likely to be acted upon by the advisee for that purpose without independent inquiry, and (4) it is so acted upon by the advisee to his detriment."
Gloster LJ:
The Master of the Rolls:
Note 1 These were made pursuant to power in section 28 of the Solicitors Act 1974 (before 19 August 2003) by the Master of the Rolls with the concurrence of the Lord Chancellor and the Lord Chief Justice, and since that date by the Master of the Rolls with the concurrence of the Secretary of State and the Lord Chief Justice. [Back] Note 2 These were made by the SRA Board pursuant to powers in the Solicitors Act 1974 and Schedule 14 to the Courts and Legal Services Act 1990, with the approval of the Legal Services Board under paragraph 19 of Schedule 4 to the Legal Services Act 2007. [Back] Note 3 The Solicitors (Keeping of the Roll) Regulations 2011 and the SRA Practising Regulations 2011 were made by the SRA Board, under sections 28, 79 and 80 of the Solicitors Act 1974, with the approval of the Legal Services Board under paragraph 19 of Schedule 4 to the Legal Services Act 2007. [Back] Note 4 See also Regulation 10.3 of the SRA Practising Regulations 2009.
. [Back] Note 5 [2014] EWHC 4561 (QB). [Back] Note 6 See Yuen Kun Yeu v Attorney-General of Hong Kong [1988] AC 175 at 195, discussed at [34] and [36] below. [Back]