Case Law[2023] ZAGPPHC 315South Africa
South African Legal Practice Council v Archary and Another [2023] ZAGPPHC 315; 23101/2021 (2 May 2023)
High Court of South Africa (Gauteng Division, Pretoria)
2 May 2023
Judgment
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# South Africa: North Gauteng High Court, Pretoria
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## South African Legal Practice Council v Archary and Another [2023] ZAGPPHC 315; 23101/2021 (2 May 2023)
South African Legal Practice Council v Archary and Another [2023] ZAGPPHC 315; 23101/2021 (2 May 2023)
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REPUBLIC
OF SOUTH AFRICA
IN
THE HIGH COURT OF SOUTH AFRICA
(GAUTENG
DIVISION, PRETORIA)
CASE
NO: 23101/2021
(1)
REPORTABLE: NO
(2)
OF INTEREST TO OTHER JUDGES: NO
(3)
REVISED.
DATE:
02/05/2023
In
the matter between:
THE
SOUTH AFRICAN LEGAL PRACTICE COUNCIL APPLICANT
and
SHIREEN
ELAINE ARCHARY 1
ST
RESPONDENT
ARCHARY
INCORPORATED ATTORNEYS 2
ND
RESPONDENT
(REG
NO: 20[....]21
JUDGMENT
BEFORE:
HOLLAND-MUTER AJ (COWEN J CONCURRING):
[1]
The Applicant is the South African Legal Practice Council (the
"LPC"). The First Respondent is an
admitted attorney of the
High Court and the Second Respondent is the entity used by the First
Respondent to conduct her practice
as a legal practitioner. The
Applicant has applied to this Court requesting it to remove the First
Respondent from the roll of
legal practitioners. There are multiple
alleged infractions. Most egregiously, the impugned conduct centres
on the First Respondent's
alleged conduct in connection with various
property transactions which culminated in her clients, the
purchasers, losing substantial
deposits paid in respect of the
properties. These moneys were lost when the First Respondent
allegedly paid the monies out to the
seller in the absence of any
transfer of the properties or any written instruction from her
clients.
[2]
It is trite law that applications of this nature are sui generis and
of a disciplinary nature. There is no
lis between the Applicant and
the Respondents. The Applicant, as custos morum of the legal
profession, merely places facts before
the court for consideration.
Solomon v Law Society of the cape of Good Hope
1934 AD 401
at 408-9
cited in Hassim v Incorporated Law Society of Natal
1977 (2) SA 757
(A) at 767 C-G; Law Society Transvaal v Matthews
1989 (4) SA 389
Tat
393 E-F.
[3]
The question whether a legal practitioner is a fit and proper person
to practice as a legal practitioner is
not only dependent upon
factual findings, but lies within the discretion of the Court. The
Court must exercise its direction after
considering all the facts
placed before it. Law Society of the cape of Good Hope v C
1986 (1)
SA 616
(A) at 637 C-E and Law Society Transvaal v Matthews supra at
3931-J.
[4]
There is a three-fold enquiry to be conducted by the Court in
determining whether the legal practitioner is
fit and proper to
remain enrolled as a legal practitioner, to enable the Court to
exercise its discretion. Jasat v Natal Law Society
2000 (3) SA 44
,
[2000] 2 All SA 310
(SCA) at par 10.
[5]
The Court must first decide whether the alleged offending conduct of
the practitioner has been established,
which is a factual enquiry. If
established, the Court, secondly, has to exercise a discretion to
decide whether the person concerned
is or is not fit and proper to
practice as a legal practitioner. This involves a weighing up of the
conduct complained of and the
conduct expected of an attorney and, to
this extent, is a value judgment. The nature of the conduct may be
such that it establishes
that the person is not fit and proper to
continue proper to practice. In other instances the conduct may not
be that serious and
the relevant practice council or law society may,
rather exercise its disciplinary powers, by imposing a fine or
reprimanding the
person. The Court may discipline an attorney by
suspending him or her from continuing practising with or without
conditions, or
may reprimand the attorney. Malan v Law Society of the
Northern Provinces
[2008] ZASCA 90
; 2009(1) SA 216 (SCA); [2009]
1
All SA 133
(SCA) at [5].
[6]
In the third place, if the Court decides that the person is not a fit
and proper person to practise as a legal
practitioner, the Court
must, in exercising its discretion, take into account all the
circumstances of the matter when deciding
whether the practitioner is
to be removed from the roll or merely suspended from practice,
subject to conditions set by the Court.
Whether the Court will adopt
one course or the other will depend upon such factors as the nature
of the conduct complained of,
the extent to which it reflects upon
the person's character or shows him to be unworthy to remain in the
ranks of an honourable
profession, the likelihood or otherwise of a
repetition of such conduct and the need to protect the public. It is
ultimately a
question of degree. Jasat supra at [10); Malan supra at
[4-9) and Summerley v Law Society of the Northern Provinces 2008(5)
SA
613 (SCA) at 615 B-F.
[7]
The main consideration of a court when exercising its discretion
after the three stage inquiry is the protection
of the public and the
standard of the legal profession. It is not to punish by imposing a
penalty or other sanction. It is a question
of fact in each matter
whether striking off or suspension is the appropriate sanction.
Should the Court, however, find dishonesty
on the part of the
respondent, exceptional circumstances will have to exist to persuade
the Court to suspend and not strike the
respondent. Summerley supra
at par 14- 15; Malan supra at [10].
[8]
The unconditional removing of an attorney from the roll for
misconduct is serious and has far-reaching implications.
The
overriding consideration when striking an attorney from the roll is
the belief by the Court that the attorney is not fit and
proper to
continue to practise, and in future, when re-applying will have to
satisfy the Court that his or her rehabilitation and
reformation is
of a permanent nature. Ex Parte Knox
1962 (1) SA 778
(N) at 784;
Malan supra (8).
[9]
The offending facts placed before the Court must be proven on a
balance of probabilities. When exercising
its discretion, the Court
must consider all the facts together and not in isolation. Law
Society Transvaal v Matthews supra at
393 1-J. Precedents have
limited value as facts are never identical. Malan supra at (9).
[10]
The first respondent was suspended from practice on 15 June 2021 by
Davis J after the applicant brought an urgent application
for the
striking of the respondent's name from the roll of practitioners
(referred to as the "Davis Order). The suspension
imposed
was indefinite pending the finalization of the application by the
LPC. The first respondent filed an answering affidavit
only on 24
February 2022 and the replying affidavit only found its way onto
Caselines (the electronic filing system in use in the
Gauteng
Division of the High Court) on 28 October 2022.
[11]
The matter was enrolled before this Court for 2 February 2023 and
after hearing arguments on behalf of both parties,
judgment was
reserved. The leisurely pace of the proceedings is a concern for the
Court but it did not seem to bother the parties,
whose conduct,
rather, is indicative of an absence of urgency to finalise the
matter. Both answering and replying affidavits were
filed way beyond
the time limits normally applicable to filing of affidavits as set
out in the Uniform Rules. While the first respondent
took from 15
June 2021 until 24 February 2022 to file her answering affidavit, the
replying affidavit was filed as late as 28 October
2022. This is not
a text book example of litigation on the part of either party, not
least in circumstances of a matter concerning
professional conduct.
[12]
There are certain disputes between the parties which require
attention. Some of these differences such that they cannot
be decided
on affidavit alone and oral evidence will be required as explained
below. Plascon-Evans Ltd v Van Riebeeck Paints (Pty)
Ltd
[1984] ZASCA 51
;
1984 3) SA
623
(A) at 6341-635D, 635E. Moreover, clarification and elaboration
is required on certain matters even where there is no dispute.
Without clarity and elaboration on certain aspects, the Court is not
in a position to conduct the three stage enquiry. In this regard,
the
parties agreed that the Court can call for further evidence.
[13]
In the view of the Court, the following aspects need to be resolved
and/ or elaborated upon and clarified by further
oral evidence,
subject to the directives of the Court:
13.1
The Applicant's main argument on the alleged trust shortfall is that
the First Respondent, when transferring funds from her
trust account
to outsiders, could not have done it without a written mandate or
authorization of the clients which she did not
have. The First
Respondent is adamant that she could do it on oral instructions and
that she indeed transferred the monies from
the trust account to the
sellers on the oral instructions of her clients. The alleged oral
instruction is not adequately or satisfactorily
explained and there
is a dispute between the parties as to the nature and extent of the
duties of an attorney, who is not a conveyancer,
when dealing with
trust monies received as deposits for the purchase of immovable
property. On the latter, nothing was placed before
the Court to
enable a sensible consideration of whether, and if so, the extent to
which, the First Respondent ventured impermissibly
into the realm of
work of conveyancing. Nor was any explanation given as to the nature
and source of the alleged duty when paying
out monies held in trust,
pending transfer of property. More specifically, can it only be done
on written instructions or do oral
instructions suffice? Is this to
be determined solely with reference to the agreement of sale (which
can be interpreted without
any further evidence) or is it governed by
established requirements of professional conduct? The First
Respondent's defence is
that there is no shortfall in the Trust
Account as she made payments on legitimate oral instructions by the
relevant person. Various
issues arise including as regards the First
Respondent's state of mind and whether there was negligence or
dishonesty involved.
13.2
The First Respondent conceded that she was in contempt of the Davis
order with regard to the delivery of certain documentation
to the
Applicant as set out in prayer 7 thereof. She avers that she handed
her certificate of practice to her attorney and apologises
for not
delivering other "necessary" documentation. The concession
was made baldly with no explanation provided nor any
elaboration of
her state of mind. To admit being in contempt of a court order is a
serious admission by the First Respondent painting
herself as a
person who disrespects the Court and who was willing to act In a
manner that entailed both wilful and ma/a fide breach
of a court
order. The circumstances of this conduct and the import of the
admission need to be clarified and elaborated upon by
"narrow"
oral evidence to enable the Court to conduct the three stage enquiry.
13.3
The First Respondent thirdly avers that although certain complaints
entailing non-compliance with professional duties raised
by the
Applicant were serious and she admits the conduct, she denies others
and contends that the nature of the transgressions
are not so serious
as to warrant the striking off of her name from the roll of
practitioners. However, the facts must be considered
together and the
seriousness of the transgressions can only be decided when all of the
disputed facts are before the Court. At
least for the most part, the
issues can be decided on affidavit. However, one issue requires
elaboration, being whether the First
Respondent ceased practising and
whether her practice was truly dormant during material periods of
non-compliance, circa 2020 and
2021.
[14]
None of the parties deemed it necessary to suggest any appropriate
conditions to be imposed on the First Respondent if
suspension is the
sanction considered by the Court. An attorney, who is subject to a
striking off application and who wants to
persuade the Court to
impose a lesser sanction such as suspension for practice, should
present appropriate conditions to the Court
to enable the Court to
formulate appropriate conditions of suspension. Malan supra (8).
[15]
If the Court should find dishonesty on the part of the First
Respondent when considering the requested oral evidence,
the First
Respondent should prove exceptional circumstances to persuade the
Court against the striking off from the roll and rather
to suspend
the First Respondent for an indefinite future period subject to
specific conditions. Striking off is not inappropriate
when a court
finds that the attorney was unable to administer and conduct a trust
account but where dishonesty is involved, the
Court must guard
against the erosion of the profession's ethical values. The Court is
of the view that the question whether each
or any of the actions of
the First Respondent involved dishonesty or not is paramount when
presenting oral evidence on the issues
raised above. Summerley supra
at par 15.
[16]
In the result the following order is made:
1.
The matter is referred for oral evidence on the following issues:
1.1
Whether the First Respondent transferred the trust monies to the
seller on the oral instructions of a person mandated
by the
purchasers.
1.2
Whether in holding and transferring the deposits in and from the
trust account, the First Respondent performed any
act reserved for
conveyancers or whether her conduct falls within the scope of an
attorney who is not also a conveyancer.
1.3
Whether, in transferring the various amounts from the trust account
on oral instructions and not on written instructions
as set out
above, the First Respondent transgressed any professional duty, and
if so, its nature and source.
1.4
Whether any transaction(s) in respect of the payments entailed
dishonesty.
1.5
The circumstances and state of mind of the First Respondent relating
to the admitted contempt of court in respect
of the First
Respondent's failure to hand over her Certificate of Practice and
other relevant documentation ordered by Davis Jon
15 June 2021 to the
Registrar of the Court and the LPC and whether it entailed any
dishonesty.
1.6
Whether the First Respondent's practice was dormant during 2020 and
2021and any other period thereabout relevant
to her non-compliance.
2.
The Applicant is to deliver the names of the witnesses it intends
calling, a summary of their evidence and make discovery
within 30
days from date of this order and the First Respondent must deliver
same within 30 days thereafter. The parties will not
be permitted to
call more than two (2) fact witnesses each save with the leave of the
Court which must be requested when delivering
the above documents.
3.
Should either party intend to rely on any expert witness to deal with
the respective scope and professional duties
of conveyancers and
attorneys who are not conveyancers, relevant expert notices and
summaries must be delivered simultaneously
with the above
documentation and a joint minute must be delivered within 20 days
thereafter. The parties are directed to explore
the possibility of
utilising a joint expert witness rather separate witnesses.
4.
The parties must approach the Office of the Deputy Judge President
for a special allocation for the hearing of oral
evidence after
complying with the above directives which request should not exceed a
maximum of three (3) days.
5.
The First Respondent remains suspended from practice pending the
outcome of prayer 1 above.
6.
Costs of the application will be within the discretion of the Court
hearing oral evidence in the final adjudication
hereof.
Dated
at Pretoria on this 2
nd
May 2023
J
HOLLAND-MUTER AJ
ACTING
JUDGE OF THE PRETORIA HIGH COURT
I
agree
S
J COWEN
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