Case Law[2022] ZAGPPHC 537South Africa
South African Legal Practice Council v Kgaphola and Another (12379/2021) [2022] ZAGPPHC 537 (22 July 2022)
Headnotes
such proceedings are sui generis but for the purposes of appeals which would constitute civil proceedings. A three-stage enquiry is conducted where the following is ascertained:
Judgment
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# South Africa: North Gauteng High Court, Pretoria
South Africa: North Gauteng High Court, Pretoria
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## South African Legal Practice Council v Kgaphola and Another (12379/2021) [2022] ZAGPPHC 537 (22 July 2022)
South African Legal Practice Council v Kgaphola and Another (12379/2021) [2022] ZAGPPHC 537 (22 July 2022)
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sino date 22 July 2022
IN
THE HIGH COURT OF SOUTH AFRICA
GAUTENG
DIVISION, PRETORIA
CASE
NO: 12379/2021
REPORTABLE:
NO
OF
INTEREST TO OTHER JUDGES: NO
22
July 2022
In
the matter between:
THE
SOUTH AFRICAN LEGAL PRACTICE COUNCIL
Applicant
and
KGETSEPE
REVENGE KGAPHOLA
1
st
Respondent
KGAPHOLA
INCORPORATED ATTORNEYS
2nd Respondent
JUDGMENT
MNGQIBISA-THUSI
J
[1]
The applicant, the South African Legal Practice Council, is seeking
the
suspension of the first respondent, Kgetsepe Revenge Kgaphola,
from practising as an attorney of this court upon such conditions
as
the court deems necessary, alternatively, removing the name of the
first respondent from the roll of practising attorneys and
other
ancillary relief.
[2]
On 10 March 2021, the applicant launched this application in which it
seeks the suspension, alternatively the removal of the first
respondent’s name from the roll of practising attorneys mainly
on the following grounds:
2.1
that the first respondent practiced without being in possession of a
Fidelity Fund Certificate for the year
of 2020;
2.2
that the first respondent failed to pay membership fees due and
payable for the 2020/2021 financial year;
2.3
that he failed to register for a Practice Management Training Course
for the year 2021;
2.4
that his trust bank account and business account are registered in a
jurisdiction which does not tally with
where his office is
registered; and
2.5
that he brought the profession into disrepute.
[3]
Section 119(2)(b) of the Legal Practice Act 28 of 2014 (“LPA”)
provides that any rule, code, notice, order, instruction,
prohibition, authorisation, permission, consent, exemption,
certificate
or document promulgated, issued or granted and any other
steps taken in terms of any such law immediately applicable before 1
November
2018 when the LPA was promulgated, shall remain in force,
except in so far as it is inconsistent with any of the provisions of
the LPA, until amended or revoked by the competent authority under
the provisions of the LPA.
[4]
In terms of section 40(3)(a)(iv) read with Section 44(1) of the LPA,
an
attorney may be struck from the roll or suspended from practice if
he or she, in the discretion of the court, is not a fit and proper
person to continue to practice as an attorney, on a balance of
probabilities. This section allows a court, in the exercise
of
its discretion, to strike or suspend an attorney who has failed to
display the degree of honesty, reliability and integrity
expected of
an attorney.
[5]
Applications
for the striking of an attorney from the roll of practitioners are
not ordinary civil proceedings but are disciplinary
in nature and are
sui
generis
.
The court in the matter of
Solomon
v Law Society of the Cape of Good Hope
[1]
said the following:
“
Now in these
proceedings the Law Society claims nothing for itself…..it
merely brings the attorney before the court by virtue
of a statutory
right, informs the court what the attorney has done and asks the
court to exercise its disciplinary powers over
him….The Law
Society protects the interests of the public in its dealings with
attorneys. It does not institute any
civil action against the
attorney. It merely submits to the courts facts which it
contends constitute unprofessional conduct
and then leaves the court
to determine how to deal with this officer.”
[6]
In
Middelberg
v Prokureursorde van Transvaal
[2]
the court undertook a full analysis of the nature of an application
to strike a legal practitioner off the roll. The Appellate
Division as it then was held that such proceedings are
sui
generis
but
for the purposes of appeals which would constitute civil
proceedings. A three-stage enquiry is conducted where the
following
is ascertained:
(i)
whether the offending conduct has been established on a preponderance
of probabilities;
(ii)
whether the respondent is a fit and proper person to continue to
practise as an attorney,
taking into account the respondent’s
conduct; and
(iii)
whether,
and in consideration of all the circumstances, the respondent should
be removed from the attorneys’ roll or whether
an order of
suspension from practise for a specific time will suffice
[3]
.
[7]
The court’s discretion must be based upon facts before it,
which
facts must be proven upon a balance of probabilities. The
facts should be considered in their totality.
Background
[8]
The first respondent was admitted to practice as an attorney of this
court
on 28 August 2020. He is a sole practitioner practising
under the style of Kgaphola Incorporated Attorneys (the second
respondent).
[9]
The first respondent applied to the applicant for the registration of
his own law practice under the name and style of the second
respondent with effect from 9 October 2020. On 8 October 2020,
the applicant confirmed the registration of the firm subject to the
condition that a Fidelity Fund Certificate would only be issued
once
the first respondent has provided it with the following information:
9.1 the
details of the trust bank account, inclusive of: the account number;
name and address of the banking institution;
and confirmation by the
bank of the opening of the account;
9.2 a
copy of the second respondent’s incorporated registration
certificate; the firm’s postal address
and telefax numbers; and
proof of registration with the Financial Intelligence Centre; and
9.3
payment by the first respondent of outstanding membership fees for
the 2020 year.
Merits
[10]
Firstly,
the applicant contends that the first respondent practiced as an
attorney without being in possession of a Fidelity Fund
Certificate
for the period 9 October 2020 to 16 March 2021 in contravention of
section 84(1)
[4]
of the LPA
which prescribes that a practising attorney, amongst others, must be
in possession of a fidelity fund certificate.
It is the
applicant’s contention that at the time these proceedings were
launched on 10 March 2021, the first respondent
was not in possession
of a fidelity fund certificate which was only issued to the first
respondent on 16 March 2021, which certificate
was later withdrawn by
the applicant on 30 April 2021.
[11]
Secondly, it is the applicant’s contention that the first
respondent contravened
its Rule 54.16 in that he failed to
immediately inform it of the details of his trust banking account.
It is common cause
that the first respondent opened a trust banking
account on 20 November 2020. It was submitted on behalf of the
applicant
that despite having opened a trust banking account, the
first respondent failed to timeously respond to the applicant’s
queries
about the banking details and only responded on 12 February
2021.
[12]
Further,
the applicant alleges that the first respondent, in contravention of
Rule 54.34
[5]
, opened his
business accounts in Polokwane, whereas his firm is based in Gauteng.
[13]
Thirdly, the applicant contends that the first respondent failed to
comply with section
43B of the Financial Intelligence Centre Act 38
of 2001 (FICA) read with regulation 27A(3) of the FICA regulations,
in failing
to register with the Financial Intelligence Centre (FIC)
within the prescribed period. It is the applicant’s
submission
that since the first respondent opened his practice on 9
October 2020, he was obliged to have registered with the FIC by 7
January
2021, and was therefore, in contravention of the applicant’s
Rule 18.17 which expects him, as an accountable institution,
to take
all necessary steps to comply with the statutory requirements of
FICA. The applicant further complains that despite
numerous
communication to the applicant about the registration with the FIC,
the first respondent failed to respond to the former’s
enquiries.
[14]
The applicant further alleges that the first respondent failed to pay
his subscription
fees for the year 2020, which fees were due and
payable by 31 October 2021.
[15]
Finally, the applicant complains that the manner in which the first
respondent has engaged
with it throughout the process leading to the
institution of these proceedings was hostile, dismissive and
disrespectful of the
applicant, which conduct amounted to lack of
professionalism and brought the profession into disrepute.
[16]
In response to the allegations levelled from him, the first
respondent denies that he did
not practice as an attorney prior to
him being issued with a Fidelity Fund Certificate on 16 March 2020.
It is the first
respondent’s contention that the applicant has
not presented any evidence proving that before it issued the first
respondent
with a Fidelity Fund Certificate, he was practising, it
was further contended that the mere fact of seeking an auditor’s
report does not amount to actually practising as an attorney.
[17]
With regard to the failure to pay his subscription fees for the year
2020, the first respondent
has submitted that during the year 2020,
he had not started to practice and since he was not earning any
income, he was not in
a financial position to pay the subscription
fees for that year. However, it was also submitted that the
first respondent
does not have any outstanding membership fees.
Without admitting that he had not complied with the applicant’s
rule
with regard to the opening of bank accounts within the
Provincial Council in whose jurisdiction the practitioner practices,
the
first respondent alleges that the applicant never raised any
objection when he informed the applicant about his bank accounts.
Further the first respondent incorrectly contends that the FICA does
not prescribe a period within which an accounting institution
should
register with the FIC, particularly with regard to practitioners who
are not practising.
[18]
Furthermore, it is the first respondent’s contention that his
response to the applicant’s
allegation did not signify any
disrespect towards the applicant but was a means to protect himself
against allegation made by the
applicant.
[19]
It was submitted on behalf of the first respondent that the
complaints made against the
first respondent did not justify the
first respondent’s removal as an attorney, or his suspension
from practising as an attorney.
[20]
Taking into account the evidence before me, as correctly submitted by
counsel for the first
respondent, I am not convinced that the
applicant has proven on a balance of probabilities that during 2020
the first respondent
practiced as an attorney before he was issued
with a Fidelity Fund Certificate. I am further not convinced
that in defending
himself against the allegations made by the
applicant that the first respondent had shown disrespect towards the
applicant in his
response to the applicant’s allegation. The
first respondent might have been tardy in his responses to the
applicant
and /or might have used inelegant language. However,
the first respondent’s conduct is not indicative of any
intentional
disrespect towards the applicant.
[21]
I am satisfied that the first respondent’s infractions were not
that serious to warrant
a declaration that he is not fit and proper
to practise as an attorney and his removal from the roll of
practising attorneys.
[22]
Having found that the first respondent’s removal from the roll
of practising attorneys
is not an appropriate sanction for the
infractions committed, this court needs to determine, taking into
account all of the first
respondent’s infractions, whether
first respondent should be suspended from practising as an attorney.
[23]
The infractions the first respondent has committed do not entail an
element of dishonesty.
They relate mainly on tardiness in
responding to the applicant’s queries and/or compliance with
the applicant’s rules
relating to the pre-conditions for the
issuance of a Fidelity Fund Certificate. The first respondent
has shown himself to
lack experience and insight. After the
first respondent was admitted to practice as an attorney, he set up
practice as a
sole practitioner which was subject to the mentioned
conditions required by the applicant being fulfilled. There is
no evidence,
with the first respondent being a young and
inexperienced attorney, that the applicant proffered him any
guidance. Further,
the first respondent’s non-compliance
relate to being indigent rather than dishonesty, an issue facing a
lot of young entrants
into the profession. I am satisfied that
the respondent is not an inherently dishonest person. At the
time of the launching
of this application, the first respondent had
substantially complied with the applicant’s requirements.
Further, the
attendance of the training for Practice Management will
serve as a corrective measure.
[24]
I am therefore of the view that under the circumstances the
suspension of the first respondent
from practising as an attorney
would also not be an appropriate sanction.
[25]
With regard to costs, I am of the view that the applicant is not
entitled to be awarded
costs in that, taking into account the conduct
complained of, instead of launching these proceedings, the applicant
could have
considered less drastic sanctions than removal or
suspension. On the other hand, I am of the view that the first
respondent
could have timeously communicated the challenges he was
facing in complying with the applicant’s conditions, and is
therefore
not entitled to his costs even though he has succeeded in
defending himself against the applicant’s allegations.
[26]
In the result the following order is made:
1.
The application is dismissed.
2.
Each party to pay its costs.
NP MNGQIBISA-THUSI
Judge
of the High Court
I
agree
V
M NQUMSE
Acting
Judge of the High Court
Date
of hearing :18 January 2022
Date
of judgement :22 July 2022
For
Applicant: Mr
L Groome (instructed by RW Attorneys)
For
Respondent:
Adv VL Makofane (Instructed by MT Rapetwa Incorporated)
[1]
1934 AD 401
at 408-409
[2]
[2001] 3 All SA 166 (A)
[3]
In
Law
Society of the Northern Provinces v Soller
[2002] ZAGPPHC 2 (26 November 2002) the court held that a court may,
mero
motu,
initiate
steps to strike a respondent’s name from the roll of attorneys
and can do so notionally, without the reliance of
the Law Society’s
cooperation or indeed, against the Law Society’s wishes.
[4]
Section
84(1) of the LPA reads as follows: “Every attorney or advocate
referred to in section 34(2)(b), other than a legal
practitioner in
the full-time employ at the South African Human Rights Commission or
the State as a state attorney or state advocate
or who practices or
is deemed to practice- (a) for his or her account either alone or in
partnership; or (b) as a director of
a practice which is a juristic
person, must be in possession of a Fidelity Fund Certificate.”
[5]
Rule
54.34 requires that a firm’s trust and business banking
accounts should be opened within the jurisdiction of the Provincial
Council where the firm’s main office is based.
sino noindex
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