Case Law[2022] ZAGPPHC 129South Africa
South African Legal Practice Council v Moleko (66719/2020) [2022] ZAGPPHC 129 (16 February 2022)
High Court of South Africa (Gauteng Division, Pretoria)
16 February 2022
Headnotes
the respondent indicates that he hasn't been practising as an attorney due to ancestral and/or spiritual calling and that his practice was dormant. He further states that he didn't have an active trust account. He was unable to pay membership fees as he didn't have money.
Judgment
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# South Africa: North Gauteng High Court, Pretoria
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## South African Legal Practice Council v Moleko (66719/2020) [2022] ZAGPPHC 129 (16 February 2022)
South African Legal Practice Council v Moleko (66719/2020) [2022] ZAGPPHC 129 (16 February 2022)
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sino date 16 February 2022
IN THE HIGH COURT OF SOUTH
AFRICA,
GAUTENG DIVISION, PRETORIA
(1)
REPORTABLE:
NO
(2)
OF
INTEREST TO OTHER JUDGES: NO
(3)
REVISED:
NO
16
February 2022
Case No: 66719/2020
In the matter between:
South
African Legal Practice
Council
Applicant
And
Thabiso
Aaron
Moleko
Respondent
JUDGMENT
Thupaatlase AJ (Munzhelele J
concurring)
Introduction
[1]
This is an
application by the applicant against the respondent in terms of Legal
Practice Council Act No. 28 of 2008 (the Act). The
applicant is
established in terms of section 4 of the Act as a corporate body with
full legal capacity which it exercises over legal
practitioners as
contemplated in the Act. The powers given to the applicant by the Act
includes the jurisdiction to make rules as
to conduct that
constitutes unprofessional or dishonourable or unworthy conduct; to
enquire into any case of alleged unprofessional
or dishonourable or
unworthy conduct.
[2]
In addition,
the applicant has jurisdiction can apply for the suspension or
striking off of an attorney on the ground that the attorney
is not
fit and proper person to continue to practise as an attorney; to
prescribe the books, records certificates or other documents
to be
kept and inspection thereof; and to direct any practitioner to
produce for inspection any book, document, record or thing.
[3]
The respondent
is an admitted attorney having been admitted on 16th April 2009. He
has practised as an attorney of this court since
from the time of his
admission to date.
[4]
The applicant
avers that the respondent is no longer a fit and proper person to
practice as an attorney and seeks an order that the
defendant's name
be removed from roll of practising legal practitioners alternatively
that the respondent be suspended for a specified
period.
[5]
The applicant
seeks the following further relief:
5.1.
That the
respondent immediately surrenders and delivers to the Registrar of
this court his certificate of enrolment as an attorney
and
conveyancer.
5.2.
That in the
event of the respondent failing to comply with the terms of this
order within two weeks from the date of this order, the
sheriff of
the district in which the certificates are, be authorised and
directed to take possession of the certificates and to hand
it to the
registrar of the court.
5.3.
That the
respondent be prohibited from handling or operating on his trust
account(s).
5.4.
That Johan van
Staden, Head: Risk Compliance Officer or any person nominated by him,
in his capacity as such, remains a suitable person
to act as curator
bonis
to
administer and control the trust account(s) of respondent, including
account(s) relating to insolvent and deceased estates and
any estate
under curatorship connected with the respondent's practice as an
attorney and including also, the separate banking accounts
opened and
kept by the respondent at a bank in the Republic of South Africa in
terms of sections 86(1) and 86 (2) of the Act and/or
separate savings
accounts as contemplated by sections 86(3) and 86(4) of LPA, in which
monies from such trust banking accounts have
deposited or credited,
with the following powers and duties:
5.4.1.
immediately to
take possession of the respondent's accounting records, files and
documents and subject to the approval of the board
of control of the
Legal Practitioners' Fund, but only to the extent and for such
purpose as may be necessary to bring to completion
current
transactions in which the respondent was acting as at the date of the
order.
5.4.2.
subject to the
approval and control of the board of control of the fund and where
monies had been paid incorrectly and unlawfully
from undermentioned
trust accounts, to recover and receive and, if necessary in the
interests of persons having lawful claims upon
the trust account(s)
and/or against the respondent in respect of monies held, received
and/or invested by the respondent in terms
of section 86(3) and 86(4)
of the LPA, to take any legal proceedings which may be necessary for
the recovery of money which may be
due to such persons in respect of
incomplete transactions, if any, in which the respondent was and may
still have been concerned
and to receive such monies and to pay same
to the credit of the trust account(s).
5.4.3.
to ascertain
from the respondent's accounting records, the names of all persons on
whose account the respondent appears to hold or
have received trust
monies and to call upon the respondent to furnish him, within 30 days
of the date.
[6]
In short, the applicant is applying for the suspension or struck off
of the respondent
and to also take control of the financial affairs
of the respondent's practice. This is so that clients of the
respondent can be
saved from any form of financial embarrassment as a
result of his conduct.
[7]
The application is opposed by the respondent. The respondent has
deposed to an affidavit
in opposing the relief sought by the
applicant. He specifically denies that the conduct alleged by the
applicant can amount to the
respondent be found not fit and proper to
practice as an attorney.
[8]
In summary the
respondent indicates that he hasn't been practising as an attorney
due to ancestral and/or spiritual calling and that
his practice was
dormant. He further states that he didn't have an active trust
account. He was unable to pay membership fees as
he didn't have
money.
[9]
In support of
its application the applicant alleges various conduct of the
respondent being that it deems to be offending inter alia:
9.1.
that the
respondent practised as an attorney without being in possession of
fidelity certificates since 01st January 2019 and previously
during
2010, 2012, 2013, 2014, 2016, 2017 and 2018.
9.2.
that the
respondent failed to submit auditor's report for financial periods
ending 28th February 2018 and 29th February 2020 to the
Council.
9.3.
that the
respondent failed to submit the auditor's report for period 28
th
February 2018 timeously and that same when subsequently submitted was
qualified auditor's report.
9.4.
that the
respondent failed to pay subscription fees (membership fees) for the
period 2018 to 2020.
9.5.
that the
respondent failed to appear before the disciplinary committee of the
Council despite proper notice being given and failed
to pay a fine
imposed by the Disciplinary Committee after a hearing had found him
guilty and imposed such fine.
[10] The
approach in these applications was succinctly stated in
Law
Society of the Northern Provinces v Mogami
(588/08)
[2009] ZASCA
107
(22 SEPTEMBER 2009) that:
"Applications for the
suspension or removal from the roll require a three stage enquiry.
First, the court must decide whether
the alleged offending conduct
has been established on a preponderance of probabilities, which is a
factual inquiry. Second, it must
consider whether the person
concerned is 'in the discretion of the Court' not a fit and proper
person to continue to practise. This
involves a weighing up of the
conduct complained of against the conduct expected of an attorney
and, to this extent, is a value judgment.
And third, the court must
inquire whether in all the circumstances the person in question is to
be removed from the roll of attorneys
or whether an order of
suspension from practice would suffice
(Jasat v Natal Law Society
2000 (3) SA 44
,
[2000] 2 All SA 310
(SCA
);
Malan and
Another v Law Society of the Northern Provinces
[2008] ZASCA 90
;
2009 (1) SA 216
;
[2009] 1 All SA 133
(SCA) at para 10))".
The first Enquiry Offending Act
[11]
The affidavit
of the applicant clearly shows that from the periods 2019 and
previous periods of 2010; 2013; 2014; 2016; 2017 and 2018
the
respondent was not issued with a fidelity certificate. He appears to
suggest otherwise. He admits his inability to keep proper
records by
indicating that with diligent search he'll be able to produce
certificates for other periods that it is alleged he didn't
have
same. In terms of section 41(1) and 83(10) of the Act, it is a
serious criminal offence. It is clear from the papers that the
respondent is in the circumstances a serial offender. See
Law
Society of the Northern Provinces v Mamatho
2003
(6) SA 467
(SCA).
[12]
The respondent
failed to file annual auditor's report for the period 28
th
February 2020 and previously 29th February 2018. Upon subsequent
submission the report was qualified. According to him he expected
to
be reminded to submit such report by the applicant. The applicant
indeed reminded the respondent to submit the report. The respondent
lied on his submission when he said he was not reminded. There was
correspondence from the applicant, a copy of which is attached,
shows
that such reminder was sent to the respondent and also pointing out
the consequence of failure to submit the report.
[13] In
terms of the rules of the applicant and in particular rule 70 the
respondent is obliged to file an
annual auditor's report. The report
must not be qualified. The purpose of this rule is clear. This serves
to satisfy the applicant
as the controlling body that an attorney's
accounting records are kept in accordance with the Act and the rules,
and that an attorney
handles and administers trust money properly and
responsibly. The answer given by the respondent is that he had a
dormant trust account.
This ignores the fact that the point of the
manner is not how much money is in the account but whether there is
proper accountability
on the part of an attorney.
[14] The
fact that the 2018 report was qualified is a clear indication that
the respondent didn't handle records
in accordance with the
prescripts of the Act.
[15] The
respondent was called to a disciplinary hearing. He states that he
was not able to attend as he had
no access to internet and didn't
receive notice to appear. In terms of the rules of the applicant;
failure to answer correspondence
(rule 89.3) is breach of the
professional conduct expected of an attorney. It follows that the
respondent as an attorney and member
of the applicant, is obliged to
ensure that he is always able to be contacted by the applicant.
[16]
The
disciplinary hearing that led to a fine of R 15 000.00 being imposed
was held on 20th July 2018. The failure by the respondent
to attend
is not clearly explained by the respondent. In his affidavit the
respondent doesn't deal with this serious allegation.
The
corresponding rule is 3.11 of the Code of Conduct.
[17]
He accepts, he
received the subsequent notice to attend the enquiry on 03
rd
March 2020; but that due to lock-down regulations the meeting didn't
proceed. He doesn't say what steps he took to follow up on the
matter. This will be expected of any diligent attorney.
[18]
A further
conduct complained of is that the applicant has failed to pay
subscriptions fees to the applicant as prescribed. This in
breach of
rule 4.1 read with section 6(4) (c) and section 95(1) of the Act.
[19) It is
clear from all the above instances of breaches of conduct on the part
of the respondent that he
has been a serial offender in all matters.
I am satisfied the applicant has established that the respondent
committed offending offences
as described in terms of the Act and
Code of Conduct.
Second Enquiry: Is the
respondent fit and proper persons to continue practising?
[20]
The question
is whether given what has been described above, it can be concluded
by this court that the respondent is not fit and
proper person to
continue practising as an attorney of this court. The conduct of the
respondent indicate that the respondent is
not able to do
professional work. He has even admitted as much. He indicated that
the practice is dormant and was adversely affected
by lock-down
regulations and issues around his ancestral calling.
[21]
On the other
hand one would have expected that the respondent will have taken
steps to remove his name from a roll of practising attorneys
into the
roll of non practising attorneys. The view of this court is that
this is more incompetence and inattention on the part
of the
respondent. Whilst the court doesn't want to downplay the breaches of
conduct by the respondent, it is found that the most
serious of such
breaches is failure to submit auditor's report and the fact that he
practised without fidelity fund certificate on
numerous occasions. It
should be noted that there were instances where this happened for
shorter periods.
[22]
This court is
prepared to give the respondent the benefit of doubt and accept that
some transgressions didn't not involve element
of dishonesty on the
part of the respondent. As the court has found; these lapses were
more to do with incompetence and inattention.
This court concludes
that the respondent is guilty of unprofessional conduct but that he
is fit to continue to practise as an attorney.
The sanction
[23]
The third leg
of the enquiry is the sanction. This court exercise its discretion to
discipline the respondent based on its finding.
The sanction can take
the form of a reprimand or suspension from practise for a specified
period with or without conditions. See
Malan
and Another v Law Society of the Northern Provinces
[2008] ZASCA 90
;
[2009]
1 All SA 133
(SCA) at para 5.
[24]
It is the view
of this court that a reprimand is not appropriate in this matter. As
the court showed during the judgment; the respondent
was a serial
offender. Reprimanding the respondent will send a wrong message to
the rest of the profession. The seriousness of practising
without
fidelity certificate cannot be over emphasised, firstly the conduct
is contrary to peremptory legal requirements which makes
himself
guilty of an offence.
[25]
The second
point is that the respondent's conduct places his trust creditors who
may suffer pecuniary loss as a result of misappropriation.
In
pecuniary matter legal practitioners are expected to be punctual and
diligent. It is therefore the
view
of this
court that a conditional suspension will be an appropriate sanction.
Costs
[26] The
applicant has a statutory duty to approach the court. In light of the
sui generis
nature of these proceedings the applicant is
entitled to its costs on attorney and client.
Order
[27]
In the light
of the foregoing the following order is made:
1.
The respondent
Mr Thabiso Moleko is hereby suspended from practising as attorney for
a period of two (2) years effective from the
date of this judgment on
the following conditions as stated on the signed draft order.
2.
The draft
order marked 'x' is made an order of court.
T.T Thupaatlase
Acting Judge of the High Court
Pretoria
I agree.
M. Munzhelele
Judge of the High Court Pretoria
Virtually Heard: 11 October 2021
Electronically Delivered: 16
February 2022
APPEARANCES:
For the Applicant: Liam Groome
Instructed by: Rooth & Wessels
For the Respondent: In person
Instructed by Mthembu Attorneys
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