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You are here: BAILII >> Databases >> Scottish Court of Session Decisions >> Scottish Ministers v McGuffie & Ors [2006] ScotCS CSIH_54 (14 November 2006)
URL: http://www.bailii.org/scot/cases/ScotCS/2006/CSIH_54.html
Cite as: [2006] CSIH 54, 2006 GWD 38-754, [2006] ScotCS CSIH_54, 2006 SLT 1166

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EXTRA DIVISION, INNER HOUSE, COURT OF SESSION

 

Lord Osborne

Lord McEwan

Sir David Edward, QC

 

 

 

 

 

 

[2006] CSIH 54

P292/04

 

OPINION OF THE COURT

 

delivered by LORD OSBORNE

 

in

 

PETITION FOR AN INTERIM ADMINISTRATION ORDER

 

in terms of the Proceeds of Crime Act 2002

 

of

 

THE SCOTTISH MINISTERS

Petitioners;

 

against

 

GEORGE McGUFFIE and OTHERS

Respondents:

 

_______

 

 

 

Act: Cullen, Q.C.; The Solicitor to the Scottish Executive

Alt: Woolman, Q.C., Shead; Wilson Terris & Co., S.S.C. (Morrison Haggerty, Dunfermline)

 

14 November 2006

 

The background circumstances

[1] In this petition at the instance of the Scottish Ministers, who are the enforcement authority in relation to Scotland for the purposes of the Proceeds of Crime Act 2002, the petitioners seek an interim administration order in terms of Chapter 2 of Part V of that Act and warrant for inhibition and arrestment. Sections 256 to 265 of the 2002 Act provide for the making of interim administration orders by the Court of Session and for certain other matters relating to such orders. The petition has been served upon the three person designed in paragraph A of Part I of the Schedule to the petition, but only the first named respondent in the petition has lodged answers to it.

[2] The factual circumstances in which the petition has been brought are set forth in detail in paragraphs 5.1 to 5.3 of it. In the prayer of the petition a number of orders are sought, including an interim administration order in terms of section 256 of the 2002 Act for the detention, custody and preservation of the property described in Parts II and III of the Schedule to the petition. On 3 March 2004 the Lord Ordinary granted an order in terms of section 256 of the 2002 Act for the detention, custody and preservation of the property mentioned, following an ex parte hearing. In outline, he granted the orders sought in paragraphs (1) to (3) and (5) to (14) of the prayer of the petition. In particular, an interim administrator was appointed. In due course, the first named respondent lodged answers, in which, for the present purposes, only answer 5.1 is pertinent. In that answer, he avers, inter alia, as follows:

"Admitted that the respondent has a number of previous convictions. Quoad ultra denied. Explained and averred that, with limited exceptions, the petition seeks recovery of property in respect of criminal offences which were alleged to have been committed by the first respondent before the Act came into force. Separatim apart from the offences which have resulted in conviction it is alleged that the first respondent has committed a number of other offences. ... In respect of the convictions referred to (with the exception of those in 2003 and 2004) the petitioners are seeking to reopen the cases after an unreasonable time has elapsed. To invite the court to make the orders sought would be for the petitioners to act incompatibly with the first respondent's rights under Articles 6(1) and 7(1) of the Convention (the European Convention on Human Rights and Fundamental Freedoms). Such an Act would be ultra vires. Reference is made to section 57(2) of the Scotland Act 1998."

The first named respondent has also tabled a number of pleas in law. The first of these was to the effect that the orders sought being ultra vires, the petition should be dismissed. The petitioners also tabled a single plea in law to the effect that the averments in answer for the first named respondent being irrelevant et separatim lacking in specification, should not be remitted to probation and the prayer of the petition should be granted de plano. In due course the petition and answers were appointed to the Procedure Roll for the purpose of consideration of these preliminary pleas in law. By an interlocutor dated 28 February 2006, the Lord Ordinary sustained the petitioners' single plea in law and repelled the first named respondent's preliminary plea, appointing the proceedings then to be called in the By Order roll. Against that interlocutor the first named respondent has reclaimed.

 

Submissions for the first named respondent

[3] When the reclaiming motion came before us, senior counsel for the first named respondent made two submissions. First, he contended that Article 7(1) of the European Convention on Human Rights and Fundamental Freedoms, hereafter referred to as "the Convention", had been engaged in this case. Secondly, he contended, in particular, that the order sought by the petitioners was contrary to that Article, because they were seeking to impose upon the first named respondent a "retrospective penalty", in contravention of that Article. The Lord Ordinary had erred in rejecting these contentions. The position of the first named respondent was more fully set out in the grounds of appeal, which are in the following terms:

"1. The Lord Ordinary erred in holding that Article 7(1) of the European Convention on Human Rights is not engaged in this case.

2. The present proceedings are penal in nature because the petitioners seek to impose a heavier penalty than the one that was applicable at the time of the alleged unlawful conduct by the respondent.

3. The concept of a 'penalty' is an autonomous Convention concept (Welch v The United Kingdom 1995 20 EHRR 247). Whether a particular measure is a 'penalty' for the purposes of Article 7 depends upon the following:

·        Is it imposed following a criminal conviction?

·        What is the nature of the purpose of the measure?

·        What are the procedures involved in the implementation of the measure?

·        What is its severity?

4. The present proceedings, so far as retrospective, are penal in that:

(a) A recovery order can only be made in respect of property obtained

through unlawful conduct. That involves the court making a finding that the respondent is guilty of such conduct.

(b) If it is satisfied that property is recoverable, the court must make a

recovery order, subject to a very limited discretion.

(c) A recovery order would have no compensatory function, because

payment would be made to the petitioners, not to any victim.

(d) The respondent would not have the safeguards available to an accused

person at a criminal trial.

(e) The petitioners seek to recover all property obtained by unlawful

conduct, not just any actual enrichment or profit.

(f) The powers available to the petitioners go beyond those available to

civil victims.

5. More generally, recovery orders are punitive in nature given that they may relate to property derived from conduct (a) in respect of which a respondent has been acquitted many years before; or (b) where the Crown, after conviction, chose not to seek a confiscation order.

6. Looked at objectively, proceedings under Part IV are in substance penal in nature."

[4] Senior counsel went on to explain that it was a matter of agreement that, if the court were minded to grant the reclaiming motion, the case should be heard in the By Order roll, to enable the petitioners to seek a more limited form of order than that which they currently sought. If the reclaiming motion were to be refused, the petitioners would apply for a full recovery order in terms of a separate petition for that remedy lodged on 19 January 2005, but sisted on 6 April 2005, pending the determination of the present challenge.

[5] Senior counsel continued his submissions by drawing our attention in detail to the provisions of the 2002 Act, which had received the Royal Assent on 24 July 2002. It had come into force in accordance with provisions made by the petitioners and the Secretary of State. Chapters 1 and 2 of Part V of the Act had come into force on 30 December 2002 and 24 February 2003 respectively (S.I. 2002 No. 3015 and S.I. 2003 No. 120). The provisions of the relevant parts of the Act had been helpfully quoted in the Opinion of the Lord Ordinary. Section 240 of the 2002 Act provided for recovery by the enforcement authority in civil proceedings before the Court of Session of property which was, or represented, property obtained through unlawful conduct. These powers were exercisable in relation to any property, whether or not any proceedings had been brought for an offence in connection with the property. Section 241 defined "unlawful conduct" as conduct unlawful under the criminal law of that part of the United Kingdom in which it occurred. The court had to decide on a balance of probabilities whether it was proved that any unlawful conduct had occurred. Section 244 of the 2002 Act provided for the range of persons against whom proceedings for recovery might be taken. Section 245 defined "associated property" for the purposes of the Act. Sections 256 to 265 made provision in relation to applications for interim administration orders and associated matters. It was not necessary to consider those provisions in detail since the present reclaiming motion was concerned only with the issue of principle outlined. Section 266 was important. It provided that, if the court was satisfied that any property was recoverable, it had to make a recovery order subject to the limited qualifications set out in subsection (3) and following subsections. Section 288 of the 2002 Act made provision for a new section 19B of the Prescription and Limitation (Scotland) Act 1973, creating a limitation period for actions for recovery of property obtained through unlawful conduct, it being provided that such proceedings should not be commenced after the expiration of the period of 12 years from the date on which the Scottish Ministers' right of action accrued. Finally, section 316 of the 2002 Act was an interpretation section. It was evident from subsection (3) of that section that it was intended that the legislation should have retrospective effect.

[6] Senior counsel went on by drawing attention to the provisions of Article 7 of the Convention. He explained that his argument depended upon his showing that the second part of paragraph (1) of that Article was inconsistent with section 316(3) of the 2002.

[7] Senior counsel explained that the Lord Ordinary had helpfully narrated the submissions of the first named respondent in detail at paragraph [38] and following of his Opinion. It was important to note that the petitioners averred that the first named respondent had obtained property through unlawful conduct during a period from 1981 to 2004. Accordingly, the interim administration order in this case was retrospective in effect and any recovery order would also be retrospective. The orders granted and to be sought were contrary to Article 7(1) of the Convention, since the petitioners sought to impose a heavier penalty than that which was applicable at the time that any criminal offence was committed. The concept of a "penalty" was an autonomous Convention concept. It was for the court to assess whether any particular measure amounted to a "penalty", as appeared from Welch v The United Kingdom. It was submitted that the present proceedings were penal in nature having regard to seven factors. First, the orders made under the Act involved a finding, direct or indirect, of guilt on the part of the first named respondent. That occurred in the absence of all of the safeguards available to an accused person in criminal proceedings. Second, if the court was satisfied that any property was recoverable, it required to make a recovery order, subject to a very limited discretion. Third, orders might relate to property allegedly derived from conduct in respect of which the first named respondent had been acquitted many years before. It might also relate to conduct resulting in a conviction, where the Crown had chosen not to seek a confiscation order. Fourth, orders sought had no compensatory function because payment under a recovery order was made to the petitioners, not to the victim of any criminal activity. Fifth, the property was recoverable because it derived from crime, not because anyone was unlawfully deprived of the property in the first place. Sixth, the enforcement agency sought recovery of all property obtained by unlawful conduct, not just any actual enrichment or profit obtained from such conduct. Seventh, the powers which could be exercised against the first named respondent by the petitioners went beyond those which would be available to civil victims. While it had to be acknowledged that the 2002 act classified such proceedings as the present as civil proceedings, that was the least important factor. Any other view would mean that domestic law could deprive individuals of the protection of their Convention rights.

[8] Senior counsel for the first named respondent went on to consider the effect of such authorities as were pertinent to the issue involved. He frankly recognised that the single case that supported his position was Welch v United Kingdom. He referred to paragraphs 22 and 23 of the report as showing the submissions of the applicant, paragraphs 23 and 24 as demonstrating the position of the United Kingdom Government, paragraph 25 as showing the position of the Commission and paragraphs 26 to 36 as containing the decision of the court, which was to the effect that the confiscation order in question, which, in the particular circumstances, was retrospective in effect, amounted to a penalty. There had therefore been a breach of Article 7(1) of the Convention. It was contended, following the approach in that case, that the recovery order contemplated here was of the nature of a penalty because the first named respondent faced a more far reaching detriment than that which he faced when committing the offences in question.

[9] Senior counsel recognised that there were certain differences between a confiscation order, such as had been in issue in that case, and a recovery order, such as was contemplated here. In particular, there was little discretion involved in the latter kind of order, in distinction to a confiscation order; further, there was no sanction of imprisonment capable of being imposed in connection with a recovery order , whereas the position was different in connection with a confiscation order.

[10] Senior counsel very properly drew our attention to a number of other cases which were relevant to the issue before the court. The first of these was the Assets Recovery Agency v Walsh [2004] NIQB 21. In that case, a full recovery order had been sought. The circumstances of the case were described in detail in the Opinion of the Lord Ordinary at paragraphs [102] to [109]. The judge of first instance, Coghlin J. had considered in detail the three tests identified in Engel v The Netherlands (No. 1) (1976) 1 EHRR 647. These tests were set out in paragraph [105] of the Lord Ordinary's Opinion. The conclusion of Coghlin J. at paragraph [21] of his Opinion was that civil recovery proceedings within the meaning of Part V of the 2002 Act ought to be classified as civil rather than criminal.

[11] The decision was appealed to the Court of Appeal in Northern Ireland. The decision of that court was to be found in Walsh v Director of the Assets Recovery Agency [2005] NICA 6. The conclusion of the court was that the Part V provisions were designed to recover the proceeds of crime, rather than to establish, in the context of criminal proceedings, guilt of specific offences. The proceedings were civil in nature. An application had been made for leave to appeal that decision to the House of Lords, but the application was refused.

[12] A further relevant case was Belton v The Director of the Assets Recovery Agency [2006] NICA 2. The conclusion of the court, in paragraph [17] was that none of the provisions in Part V of the 2002 Act imposed a penalty, criminal or civil. Accordingly, Convention rights were not engaged.

[13] Certain English decisions were relevant. The first of these was Regina v Jia Jin He and Dan Dan Chen [2004] EWHC 3021. The issue was whether the provisions of Part V of the 2002 Act were to be construed as criminal with the result that Articles 6 and 7 of the Convention would apply. Collins J. considered that the observations of Coghlin J. in The Director of the Assets Recovery Agency v Walsh were correct, as was his decision that proceedings under Part V of the 2002 Act were civil proceedings.

[14] Senior counsel also drew attention to the Director of the Assets Recovery Agency v Commissions of Customs & Excise and Others [2005] EWCA Civ 334. The Court of Appeal concluded that the Opinions of Coghlin J. in Director of Assets Recovery Agency v Walsh and of Collins J. in Regina v Jia Jin He and Dan Dan Chen were entirely right.

[15] Senior counsel also referred to Regina v Ashton [2006] E.W.H.C. 1064, where it was contended that the civil recovery procedure in Part V of the 2002 Act offended against Article 7 of the Convention. Newman J., in the light of the weight of existing authority and other considerations, decided that the recovery procedure was not incompatible with Article 7 of the Convention.

[16] Finally, in Scottish Ministers v Buchanan and Others [2006] CSOH 121, Lord Penrose, in the light of the authorities cited to him, concluded that proceedings under Part V of the 2002 Act were not penal. Senior counsel concluded his submissions by recognising that the weight of authority stood in the way of their success. However, he contended that the court should take the view that, in the various authorities cited, an erroneous view of the recovery provisions in the 2002 Act had been given effect. Welch v The United Kingdom had been misconstrued. In all the circumstances the reclaiming motion should be allowed.


Submissions of the Scottish Ministers

[17] Senior counsel for the petitioners moved us to refuse the reclaiming motion and to affirm the Lord Ordinary's interlocutor. He submitted that the petitioners' submission was that the civil recovery provisions in the 2002 Act provided for civil proceedings, which were fundamentally different from criminal proceedings, because the aim of the former proceedings was not to establish that some particular offence had been committed and to impose an appropriate penalty; rather the purpose was to effect the seizure or recovery of property derived from unlawful conduct. The civil recovery proceedings were not concerned with issues of guilt or innocence and they lacked the features of punishment and retribution, which were characteristics of the criminal law. As a matter of domestic law, the civil recovery provisions were not to be regarded as criminal in character. They did not relate to any particular offence, even though the Scottish Ministers might be required to prove that some person had committed an offence and thus acquired property. To effect recovery was not to impose punishment, but rather to remove property from the "criminal economy" and thus prevent the beneficiaries of that economy from acting as role models to others.

[18] Recovery proceedings had to be seen as proceedings in rem, so there could be a situation in which there was an acquittal in criminal proceedings, but recovery proceedings based on the same criminal activity might succeed according to the civil standard of proof involving a balance of probabilities. The basic response to the reclaimers' submissions was the simple contention that the purpose of recovery proceedings differed fundamentally from that of criminal proceedings. In the former type of proceedings there was no question of retrying an individual in respect of some criminal offence.

[19] Senior counsel drew our attention to what was said by the Lord Ordinary in paragraph 133 of his Opinion. He wished to make clear that it was not wholly accurate. The position in fact was that the Civil Recovery Unit acted on behalf of the Scottish Ministers in the exercise of their functions under Part V of the 2002 Act. The position had been outlined to the Scottish Parliament by the Scottish Justice Minister when the Bill which resulted in the 2002 Act, introduced into the United Kingdom Parliament, had been debated in the Scottish Parliament. It had been made clear that the Lord Advocate would remain responsible for the system of criminal confiscation in Scotland, while the responsibility for civil recovery would be imposed upon the Scottish Ministers. However, the day to day administrative responsibility for civil recovery was to be delegated to the Lord Advocate in his capacity as a Scottish Minister. The intention was that there should be a clear demarcation between the function of the Lord Advocate, as public prosecutor, and his performance of civil recovery responsibilities on behalf of the Scottish Ministers. In practice, steps had been taken to establish a demarcation between the two functions. The Civil Recovery Unit reported to the Lord Advocate, as a Scottish Minister, not as head of the prosecution service. Administrative arrangements had been established to support the independence of the Civil Recovery Unit.

[20] Turning to the provisions of the 2002 Act, senior counsel drew attention to section 244(1). It authorised the taking of proceedings for recovery against "any person who the authority thinks holds recoverable property." That was possible even though the person from whom recovery was sought had not been guilty of any unlawful conduct. The significance of section 244(1) was to demonstrate that the process of civil recovery did not involve the imposition of a penalty. It was certainly true that the existence of criminal convictions against an individual might be relied upon in part, but that was a distraction. It was fallacious to conclude from the existence of criminal convictions that what was happening in recovery proceedings was a retrial of the issues determined prior to such convictions. Putting the matter in another way, the legislation provided the means whereby the State might recover property which the holders were not entitled to hold, because that property had been derived from criminal conduct. It had to be recognised that the enforcement authority might prove the necessary factual ingredients for recovery by means of inference from evidence quite separate from the existence of criminal convictions.

[21] It was illuminating to consider further features of the 2002 Act. Section 266(3) and (5) set out certain qualifications and exceptions to the recovery procedure. The full characteristics of civil recovery proceedings had been correctly recognised by the Lord Ordinary in paragraph 134 of his Opinion, although what he said in paragraph 136 might be misconceived. In the circumstances, a balancing exercise was not required; the question was whether in a particular set of factual circumstances there was a right to make recovery. Section 278 of the 2002 Act imposed certain limits on recovery; the language of that section demonstrated that Parliament's intention was to focus upon the recovery of recoverable property, rather than impose a penalty. Section 305 of the Act provided for the tracing of property through transactions affecting it, although section 266 provided for limits on the tracing of recoverable property, based on considerations of equity. The rules were designed to ensure that there would be recovery only to the extent necessary to ensure recovery of the original property unlawfully obtained.

[22] Senior counsel went on to draw attention to relevant Scottish jurisprudence, in particular S. v Miller 2001 S.C. 977, a case concerned with the character of the children's hearing system. In paragraphs [32] to [34], at page 1041 and following, Lord Macfadyen discussed the criteria derived from Engel v The Netherlands. Plainly if proceedings were classified as criminal by domestic law, that determined their character; if they were classified as civil by that law, then other factors had to be considered. An important consideration was whether the public prosecutor was involved in the proceedings. That was not so in recovery proceedings, in any meaningful respect.

[23] Senior counsel went on to consider other authorities. Belton v The Director of the Assets Recovery Agency was precisely in point in relation to the present case. The first named respondent had contended that that case should not be followed. However, it would be most undesirable for United Kingdom legislation to be differently interpreted in different parts of the United Kingdom, unless there was very good reason to take that course, which there was not. The court ought to follow the reasoning in that case, particularly what was said between paragraphs [11] and [16] in relation to the case of Welch v The United Kingdom. There was no sound analogy between confiscation orders and civil recovery orders. The reasoning of Lord Penrose in Scottish Ministers v Buchanan was soundly based. While senior counsel had made his submissions in relation to a civil recovery order, the position was the same in relation to an interim administration order. The reasoning in Regina v Ashton, particularly in paragraphs [41] to [43], was also commended.

 

The decision

[24] Article 7 of the Convention, headed No Punishment Without Law, provides as follows:

"1. No one shall be held guilty of any criminal offence on account of any act or omission which did not constitute a criminal offence under national or international law at the time when it was committed. Nor shall a heavier penalty be imposed than the one that was applicable at the time the criminal offence was committed. ... ".

At the outset of the debate before us, senior counsel for the first named respondent made it clear that he was inviting the court to decide a single and strictly limited issue of principle, whether the provisions of Part V of the 2002 Act, concerned with the civil recovery of the proceeds of unlawful conduct, invoked against the first-named respondent, would involve the infliction of a "penalty", within the meaning of Article 7.1 of the Convention. If they did, then the present proceedings would fall foul of the prohibition on retrospectivity contained in the second part of Article 7.1. Counsel frankly conceded that this issue had come before courts in the different parts of the United Kingdom and had been decided in a manner inimical to his submissions. Yet he invited us not to follow those decisions, but to prefer the approach that was taken by the European Court of Human Rights in Welch v The United Kingdom, a case concerned with the issue of whether the confiscation order imposed upon Mr. Welch constituted the imposition of a retrospective criminal penalty, thus violating the provisions of Article 7 of the Convention. It should be recorded that senior counsel for the petitioners conceded that the imposition of a confiscation order upon an individual did amount to a criminal penalty, but, of course, argued that that was not what was involved in the present case; rather here the proceedings were fundamentally different from proceedings relating to a confiscation order, being for the civil recovery of the proceeds of unlawful conduct.

[25] We have had the benefit of the comprehensive quotation of the relevant statutory provisions from Part V of the 2002 Act and the extensive consideration of the relevant case law to be found in the Opinion of the Lord Ordinary. Again, before us, the relevant statutory provisions and authorities were the subject of detailed submissions. In these circumstances, we do not intend to replicate what the Lord Ordinary helpfully has done in his Opinion. What we intend to do is to examine briefly certain of the crucial decisions taken in other parts of the United Kingdom and draw attention to the implications of certain parts of the statutory provisions in Part V of the 2002 Act.

[26] The issue of principle before us and certain other issues were the subject of consideration by Collins J. in Regina v Jia Jin He and Dan Dan Chen. That case was concerned with the implications of the grant of an interim receiving order. It was submitted that proceedings under Part V of the 2002 Act ought to be construed in such a way that they are to be regarded as criminal, or, if not, that the criminal standard of proof should apply. It was also contended that Articles 6 and 7 of the Convention applied to proceedings under Part V. Collins J. agreed with the view taken by Coghlin J. in the first instance proceedings in Walsh v The Director of the Assets Recovery Agency. Collins J. considered that Coghlin J's conclusion was entirely consistent with and supported by both domestic and Strasbourg jurisprudence. In paragraph [69] of his decision, Collins J. expressed his view thus:

"The authorities to which I have already referred make it plain that there is no question of any penalty involved in these proceedings. Furthermore, there has been no conviction of a criminal offence leading to a penalty. Of course, property cannot be recoverable unless, at the time it was acquired, it was obtained through unlawful conduct. That conduct must have been criminal at that time. To that extent, the prohibition against retrospectivity will apply, but only because the Act says that the property must be property which was obtained by criminal conduct. In those circumstances, it is quite clear that Article 7 has no application."

[27] In Walsh v The Director of the Assets Recovery Agency the decision of Coghlin J. came before the Court of Appeal in Northern Ireland. The central question in the appeal was whether the Agency should be required to establish unlawful conduct on the basis of the criminal standard of proof, beyond reasonable doubt. In that case Kerr L.C.J., delivering the Opinion of the Court, was satisfied that all the available indicators pointed strongly to the case being classified as a form of civil proceeding. He recognised a clear distinction between confiscation orders and recovery proceedings. In paragraph 41 of the Opinion he said:

"The essence of Article 6 in its criminal dimension is the charging of a person with a criminal offence for the purpose of securing a conviction with a view to exposing that person to criminal sanction. These proceedings are obviously and significantly different from that type of application. They are not directed towards him in the sense that they seek to inflict punishment beyond the recovery of assets that do not lawfully belong to him. As such, while they will obviously have an impact on the appellant, these are predominantly proceedings in rem. They are designed to recover the proceeds of crime, rather than to establish, in the context of criminal proceedings, guilt of specific offences. The cumulative effect of the application of the tests in Engel is to identify these clearly as civil proceedings."

[28] In Belton v Director of Assets Recovery Agency, also a decision of the Court of Appeal of Northern Ireland, the issue of principle was again considered. Once again, the court concluded that none of the provisions of Part V of the 2002 Act imposed a penalty criminal or civil. As Nicholson L.J., in delivering the Opinion of the Court, in paragraph 15 said of those provisions:

"The aim is to recover property, not to pursue an individual. As the property has been obtained by criminal conduct, it appears to us that it must be in the public interest to recover the property for the benefit of the public."

[29] Finally, in Regina v Ashton Newman J. was concerned with an issue identical to that involved in this case in respect that it was contended that the civil recovery procedure in Part V of the 2002 Act offended against Article 7 of the Convention governing retrospectivity. As it happens, the decision of the Lord Ordinary in the present case was cited. Newman J., in paragraph 39 and following of his Opinion agreed with the conclusions of the Lord Ordinary in this case. It is pertinent to note that in paragraph 43 of his judgment Newman J. said:

"Equally I see no force in the suggestion that simply because it involves deprivation, that in itself means that the result of an order has to be regarded as penal vis-à-vis the person who holds the property and against whom the director obtains an order ... in my judgment the deprivation of this property carries no penal character to it. The fact of the matter is that the person who is in possession of the proceeds of crime has, in accordance with the purpose and intention of Parliament, no right to hold that property. It is not a deprivation of anything. Parliament has said that such proceeds are not the entitlement of anyone. That is not to deprive anybody of anything."

[30] In the light of these and the other authorities cited to us we have reached the conclusion, which we find irresistible, that the issue before us must be determined in conformity with the submissions of the petitioners. There is now a formidable body of authority to the effect that proceedings brought under Part V of the 2002 Act do not involve the infliction of any penalty in the sense of the autonomous concept of penalty embodied in Article 7.1 of the Convention. We are in complete agreement with the cases to which we have referred. Although, of course, they are not binding upon us, they constitute strong persuasive authority. In this case it is to be recognised that we are dealing with the effects of a United Kingdom statute, the 2002 Act. In our opinion, it would be most undesirable if this court were to reach an interpretation of that Act which conflicted with its interpretation in Northern Ireland and England and Wales.

[31] Before parting with the case, we wish to make clear that the interpretation of Part V of the 2002 Act reached in the various cases to which we have referred appears to us to be sound having regard to another consideration, which arises out of the terms of section 244(1) of the 2002 Act. That subsection provides:

"(1) Proceedings for a recovery order may be taken by the enforcement authority in the Court of Session against any person who the authority thinks holds recoverable property".

In our opinion, this provision reinforces the view that we have formed on the basis of consideration of the foregoing authorities that recovery proceedings are concerned with the recovery of property unlawfully obtained, not the infliction of a penalty. It is apparent from section 244(1) that Parliament contemplated that proceedings might be brought against "any person who the authority thinks holds recoverable property", regardless of whether that person had any responsibility for the obtaining of the property through unlawful conduct. That view is reinforced by the provisions of section 305 of the Act which provides for the tracing of property. That section contemplates, in subsection (3) that: "the property may be followed into the hands of the person who obtains it ... ". In other words, the recovery proceedings must be seen as proceedings in rem, the purpose of which is the recovery of property obtained through unlawful conduct, for the benefit of the public. It is plain from these provisions that the wrongdoer who may have unlawfully obtained the property in the first place is treated no differently and, in particular, no more harshly, than any other person into whose hands the property may have come, even if that person be entirely guiltless. That situation, in our opinion is inconsistent with the notion that a penalty is involved in recovery under the Part V provisions.

[32] In all the circumstances, we consider that the decision of the Lord Ordinary is correct and must stand. The reclaiming motion is refused.


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