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You are here: BAILII >> Databases >> England and Wales High Court (Administrative Court) Decisions >> MacPherson v Law Society [2005] EWHC 2837 (Admin) (09 November 2005) URL: http://www.bailii.org/ew/cases/EWHC/Admin/2005/2837.html Cite as: [2005] EWHC 2837 (Admin) |
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QUEEN'S BENCH DIVISION
DIVISIONAL COURT
Strand London WC2 |
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B e f o r e :
MR JUSTICE PENRY-DAVEY
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ALLAN MACPHERSON | (CLAIMANT) | |
-v- | ||
THE LAW SOCIETY | (DEFENDANT) |
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Smith Bernal Wordwave Limited
190 Fleet Street London EC4A 2AG
Tel No: 020 7404 1400 Fax No: 020 7831 8838
(Official Shorthand Writers to the Court)
MR JONATHAN GOODWIN (instructed by The Law Society) appeared on behalf of the DEFENDANT
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Crown Copyright ©
"1) He retained client's monies in office account, other than as permitted by the Solicitors Accounts Rules 1991 and 1998;
2) Contrary to Regulation 64 of the Civil Legal Aid General Regulations 1989, he properly obtained monies for costs from legally aided clients;
3) Contrary to 16(5) of the Legal Aid Act 1988, he did fail to pay to the Legal Aid Board, now the Legal Services Commission, sums recovered by virtue of an order or agreement for costs made in favour of a legally aided person with respect to the proceedings;
4) Contrary to Regulation 90(1)(a) of the Civil Legal Aid General Regulations, he did fail to inform the area director of property recovered or preserved for an assisted person and send him a copy of the order or agreement by virtue of which the property was recovered or preserved;
5) Contrary to Regulation 90(1)(b)... he did fail to pay all monies received by him under the terms of an order or agreement made in the assisted person's favour to the Legal Aid Board;
6) He provided misleading information to the Legal Aid Board;
7) He retained monies for costs without delivering to the client a bill or other written intimation thereof and;
8) He made use of a letterhead which was misleading, contrary to principle 1(c) of the Solicitors Publicity Code 1990."
"In relation to the allegations arising from Mr Sage's report, however, the Tribunal were satisfied having considered the submissions of the applicant in relation to the case of Twinsectra v Yardley that the respondent's conduct was dishonest. It was clear from the report that this was a dishonest course of conduct, not an isolated incident. This was conduct of a most serious nature.
"In addition to his dishonest conduct in relation to the Legal Aid Board, the respondent had taken money for costs from the damages of legal aided clients, this was in itself prohibited. The respondent had further not delivered bills or written intimations of costs to the clients. The respondent's dishonest conduct undermine the confidence which the public should be able to have in every member of the profession. The public had to be protected from such conduct both in respect of their own client funds and in respect of the funds of public bodies, such as the Legal Aid Board. It was right that the ultimate sanction be imposed upon the respondent."
"Proceedings before the Solicitors Disciplinary Tribunal are criminal in nature.
"The manner of operation of the SDT is such that article 6 of the European Convention on Human Rights is breached with the non-availability of effective legal representation to those appealing before the SDT.
"The manner of operation of the SDT, by way of the selection and appointment of Tribunal members, their terms of appointment, means of funding, the overall appearance of the proceedings and the lack of safeguards against influence or interference by the prosecution are such that the SDT cannot be regarded as an independent or impartial Tribunal, within the terms of article 6.
"The manner in which the prosecution investigated the matters referred to the SDT in this matter involved the appellant being compelled to contribute potentially incriminating evidence to be used in prosecuting the case against him. The use of this evidence was oppressive and substantially injured the appellant's ability to defend himself against the charges brought by the respondent, thereby depriving the appellant of a fair trial.
"The manner of investigation that matters leading to an appearance before the SDT breached the rules of legal professional privilege.
"Prior to proceeding with these matters, the respondent had intervened in the appellant's law practise, thereby depriving him of the means to pay for his defence, this is a serious aggravating aspect of the respondent's conduct.
"The penalties and costs imposed by the SDT are disproportionate to those imposed even on those subjects who have committed criminal offences and are overtly biased in favour of the respondent.
"The overall standard of justice offered to those appearing before the SDT was substantially less than that offered to those investigated, charged and tried on the criminal justice system and below that required for it to be ECHR compliant."
Those are broadbrush allegations. Unfortunately for Mr Macpherson, they are the subject of existing authority in these courts, all of it, as far as I can see, adverse to the points that he seeks to make. It is simply not the case that the proceedings before the SDT are criminal in nature. That was accepted by the Court of Appeal in Pine v The Law Society 25 October 2001, case number C/2000/35/61 and 35/61A.
"... fanciful to suggest that it was obviously unfair to Mr Pine not to provide him with legal advice or representation."
It was added:
"The procedure was not complex, the relevant facts were within the knowledge of Mr Pine, Mr Pine was a solicitor experienced in commercial litigation. Mr Pine had ample opportunity to indicate any defences he wished to advance. In my judgment, neither the seriousness of the likely consequences, nor the emotional involvement of Mr Pine, which is not apparent from his letters to have been a debilitating factor anyway when considered in the light of the absence of legal advice or representation, gave rise to any unfairness."
All that, in my judgment, is equally referable to the case of Mr Macpherson, albeit it seems that his experience may be of litigation other than commercial litigation.
"Standing back and bearing in mind the statutory scheme of the Disciplinary Tribunal, I see no reason to doubt its independence or impartiality. It is independent of the Law Society, there is no indication that the Law Society can influence its decisions, except in the sense of making submissions to the Tribunal as a party before the Tribunal. No evidence or suggestion has been made that the particular Tribunal demonstrated any impartiality in any way. In my judgment, the submission that the SDT does not meet the test of being an independent and impartial Tribunal is not made out."
That again, in my judgment, meets the point which Mr Macpherson seeks to make about independence and impartiality. It is equally referable to the present case, Mr Macpherson's attack is one which takes issue with the system, rather than with the processing of his particular case and, in all the circumstances, he is wholly unable to sustain the criticism of the independence and impartiality of the Tribunal. I agree with the observations of Crane J, to which I have just referred.
"When a person enters a profession he accepts its duties and liabilities as well as its rights and powers. Similarly, he may acquire or surrender privilege and immunities. Nevertheless, the principle that privilege is not to be regarded as having been abrogated, except by express words or necessary implication, applies also to waiver. In my judgment, acceptance of a duty to provide information demanded of an accountant constitutes a waiver by the member concerned of any privilege from disclosure. It is plainly in the public interest, as well as the interests of the profession, that the Institute should be enabled to obtain all such information in the profession of its members as is relevant to complaints of their professional misconduct."
That was applied in the context of a solicitor by this Court, in the case of Holder v The Law Society 26th July 2005, [2005] EWHC, 2002/3 Admin, see the judgment of McCombe J.
"The striking off of any solicitor found to have acted dishonestly in relation to clients' monies had now to be seen as all but automatic."
There is absolutely no doubt that the striking off in this case was entirely consistent with the normal sanction imposed in cases of this sort. It is utterly unarguable that that normal sanction is inappropriate or was disproportionate or unfair. It is equally unarguable that it breaches any rights a solicitor has either under the statutory scheme, or by reference to the ECHR.
"I have now received a schedule in respect of the appeal. I should feel compelled to point out that it does not comply with the CPR in a number of obvious respects, it does not say what period the bill covers, it is not certified by anybody, let alone the solicitors on the court record, and it clearly lacks the detail envisaged by models in the CPR. It includes a charge for overheads, including copying, it includes a charge for travel and accommodation and there are clearly local advocates available in abundance. I submit that it would be wholly inappropriate to assess costs based on such a schedule."