Case Law[2022] ZAGPPHC 920South Africa
South African Legal Practice Council v Dladla (5849/21) [2022] ZAGPPHC 920 (22 November 2022)
High Court of South Africa (Gauteng Division, Pretoria)
22 November 2022
Judgment
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## South African Legal Practice Council v Dladla (5849/21) [2022] ZAGPPHC 920 (22 November 2022)
South African Legal Practice Council v Dladla (5849/21) [2022] ZAGPPHC 920 (22 November 2022)
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sino date 22 November 2022
# IN
THE HIGH COURT OF SOUTH AFRICA
IN
THE HIGH COURT OF SOUTH AFRICA
# (GAUTENG
DIVISION: PRETORIA)
(GAUTENG
DIVISION: PRETORIA)
Case
number: 5849/21
REPORTABLE:
NO
OF
INTEREST TO OTHER JUDGES: NO
REVISED:
NO
22
NOVEMBER 2022
IN
THE MATTER BETWEEN:
# SOUTH
AFRICAN LEGAL PRACTICE COUNCILApplicant
SOUTH
AFRICAN LEGAL PRACTICE COUNCIL
Applicant
and
MBONGENI
DEREK DLADLA
Respondent
#
# JUDGMENT
JUDGMENT
KHWINANA
AJ
(MUNZHELELE
J.
concurring)
# INTRODUCTION
INTRODUCTION
[1]
This is an application brought by the
Legal Practice Council for striking the name of the respondent
Mbongeni Derek Dladla in terms
of Section 44(1) of the Legal Practice
Act (LPA).
1.1
That the responded be suspended from
practise as an attorney or be struck from the roll of attorneys;
1.2
That the respondent is to surrender and
deliver to the registrar his certificate of enrolment as an attorney
and a conveyancer of
this honourable court;
1.3
That the respondent in the event the
respondent fails to comply with in terms of supra paragraphs the
sheriff be authorised and
directed to take possession of the
certificates and to hand it to the Registrar of this Honourable
Court;
1.4
That the respondent be prohibited from
handling his trust account;
1.5
That Johan Van Staden, head of Risk
Compliance or any person nominated by him be the
curator
bonis
to administer and control the
trust account of the respondent including accounts relating to
insolvent and deceased estates kept
by respondent in terms of section
86(1) and 86(2) of LPA and separate savings or interest-bearing
accounts in terms of section
86(3) and 86(4) with powers act
accordingly.
[2]
The respondent has opposed this
application and request that the application be dismissed with costs.
[3]
The parties have both filed heads of
argument which are explicitly, the applicant is still persistent that
the respondent be suspended
or struck off the roll, whereas the
respondent says he has now complied with audit requirements and
membership fees have been paid
therefore he must not be suspended or
struck off the roll.
[4]
This court is therefore ceased with a
decision as to whether the offences that have been committed by the
applicant warrant that
he be suspended
or struck of the roll.
BACKGROUND
[5]
The respondent was admitted as an
attorney on this the 26
th
day
of November 2007. He has been practising as a sole practitioner
for his own account under the name and
style of Dladla (MD) Attorneys in Alberton, Gauteng.
[6]
The respondent is still in practice and
his business address is now in Northworld,
Johannesburg.
The respondent fails to mention when the
address was changed and whether he did inform Council.
[7]
The respondent has not submitted his
annual auditor's report for the periods ending 28 February 2019 and
29 February 2020 to the
Council. He admits his failure to do so. He
has since submitted these reports on the 08
th
day of November 2021 electronically to Ms. Clarissa Hetzel. The
Respondent does not dispute that the reports were late.
[8]
The respondent has failed to provide an
explanation for his failure to do so. This resulted in the respondent
not being entitled
to an FFC since the 01
st
day of January 2020 and him
practising
for his own account without being in possession of an FFC.
[9]
The respondent's conduct is serious:
9.1
The clients on whose behalf he
held/holds funds in trust were/are at risk;
9.2
The LPA confirms the seriousness of the
transgression by creating an offence for
doing so, which is punishable by a fine or imprisonment.
9.3
The respondent admits that he is not in
possession of an FFC.
He
contends that he has not taken any further instructions since the end
of 2019. He relies on section 34(1) of the LPA which says
"an
attorney may render legal services in expectation of fees,
a
commission, gain, or reward as
contemplated by this Act, or any other applicable law, upon receipt
of
a
request
directly from the public for that service"
9.4
He says he does not downplay the
seriousness of this matter however he did not take new instructions
and closed his offices in 2020.
[10]
The applicant submits there is no caveat
in the wording of section 84(1) that would relieve the first
respondent of his obligation
to be in possession of an FFC subject to
receipt of instructions, as he appears to contend.
[11]
Every legal practitioner who is admitted
and enrolled as such is required to pay an annual fee to the Council.
The respondent has
not paid his membership fees for the 2019 and 2020
years to the Council which amounts to R5 275,00 (five thousand two
hundred and
seventy0five rands).
[12)
The respondent fails to dispute the
amount in toto he says paid his membership fee for the 2020 year,
however his membership fee
for the year 2019 is R1 250,00 (one
thousand two hundred and fifty rands) which remains outstanding. The
respondent says he made
an error in the calculation of the membership
fees payable when he did his answering affidavit which he has since
corrected.
[13]
A complaint was submitted to council on
the 12
th
day of September
2017
by Jali, which appears to be a failure to handle instruction
properly, or at all. The respondent confirms that Jali terminated
his
mandate but has not addressed the complaint. The respondent says he
is not attacking the applicant however says the entire
file was given
to the complainant and the applicant has not seen the file in order
to make a finding on whether the instructions
given were handled
properly as is required of a legal practitioner.
[14]
The council says it addressed several
letters to the respondent, all of which the respondent failed to
respond to. The council addressed
three letters to the respondent
between January and June 2018 regarding Jali's complaint and
requested his comments thereto.
[15]
The respondent says he complied with the
council's request and attaches e mail correspondence
to the complaint on the 02
nd
day
of March 2018. The respondent's own annexure reveals that he received
a response from the Council, 23 minutes later querying
whether the
attached document is the response to his complaint. Council's records
confirm that no response has been received to
the complaint.
[16]
Council says it further sent two
subsequent letters to him on 02
nd
day
of May and 28
th
day of June 2018 repeating its requests for the respondent's comments
to the complaint, to which he did not respond. Council says
the
letters were sent to the respondent's postal,
e-mail, and P.O Box addresses between
the 25
th
day
of November 2019 and 18
th
day of March 2020.
[17]
The applicant says these letters related
to his failure to submit his 2019 auditor's report, that they were
summoning him to appear
before a disciplinary enquiry which he failed
to attend. They also informed him
that
charges would be brought against him in respect of the Jali's
complaint. The respondent in his reply says that he was not aware
of
the communication as his address had changed in May 2019 and that he
informed the applicant of the relocation. He says he would
have
attended and he says he is not attacking the applicant. He says he is
remorseful and is taking corrective measures.
# FIT
AND PROPER
FIT
AND PROPER
[18]
The applicant says the respondent has
failed to comply with legislative safeguards
intended to protect his clients and the
public. He shows no insight into the seriousness of his conduct nor
does he indicate any
intention of rectifying his failure. The
applicant opines that the cavalier manner in which he has addressed
the present application
reflects a dire lack of insight into the
seriousness of his misconduct.
[19)
The applicant submits that respondent's
failure to respond to correspondence addressed to him by the Council
and comply with directions
of the Council, is also serious. It is
indicative of a refusal to be regulated. The respondent denies that
he does not want to
be regulated and says he ceased taking
instructions as a sign to protect the public. He says he did not have
any active files whilst
he did not have a fidelity fund certificate.
[20]
The applicant opines that the respondent can no longer be considered
a fit and proper person
to be allowed to practise as a member of a
learned, respected and honourable profession. The respondent refutes
that and says that
he showed remorse and has taken the necessary
corrective measures.
# LEGAL
MATRIX
LEGAL
MATRIX
[21]
It is trite that applications of this
nature constitute a disciplinary enquiry by the Court into the
conduct of the practitioners
concerned, they do not constitute
ordinary civil proceedings but are sui generis in nature. The
applicant, is
custos morum
of
the profession, which places facts before the Court into the
officer's fitness to remain on the roll of attorneys. Council fulfils
the role of an amicus curiae.
Objects
of Council
[1]
5.
The objects of the Council are
to-
(self-explanatory)
(a)
facilitate the realisation of the
goal of
a
transformed
and restructured legal profession that is accountable, efficient and
independent;
(b)
ensure that fees charged by legal
practitioners for legal services rendered are reasonable and promote
access to legal services,
thereby enhancing access to justice;
(c)
promote and protect the public
interest;
(d)
regulate a/I legal practitioners
and all candidate legal practitioners;
(e)
preserve and uphold the
independence of the legal profession;
(f)
enhance and maintain the
integrity and status of the legal profession;
(g)
determine, enhance and maintain
appropriate standards of professional practice and ethical conduct of
all legal practitioners and
all candidate legal practitioners;
[22]
This court has a discretion which is not
derived only from LPA but is inherent in nature to either strike or
suspend a legal practitioner.
This
discretion is faced with a three-stage inquiry
[2]
:
(a)
the court must decide whether the
alleged offending conduct has been established on a preponderance of
probabilities; if so
(b)
it must decide in
its discretion whether the person
concerned is a fit and proper person to practise as an attorney and
this requires a value judgment;
and if not
(c)
the court must in its discretion, which
involves yet again a value judgment, determine whether the attorney
should be merely suspended
for a period or whether the attorney
should be removed from the roll.
[23]
The council's main consideration is the
protection of the public whereas legal practitioners are expected to
treat the interests
of their client's as paramount and use their best
efforts to carry out work in a competent and timely manner. They are
also expected
to perform professional work with such a degree of
skill, care or attention, or of such quality or standard, as may be
reasonably
expected of an attorney.
[24]
In
terms of the Legal Practice Code of Conduct
[3]
:
"Replying
to communications 10. An attorney
-
10.1
shall within a reasonable time
reply to all communications which require an answer unless there is
good cause for refusing an answer;
10.2
shall respond timeously and fully
to requests from the Council for information and/or documentation
which he or she is able to provide;
10.3
shall comply timeously with
directions from the Council; and
10.4
shall refrain from doing anything
that may hamper the ability of the Council to carry out its
functions."
[25]
It is the
duty of the applicant and the courts to
act where an attorney's conduct falls short of what is expected and
to curb the erosion
of values in the profession. courts are there to
uphold the law by protecting the integrity of the courts and the
legal profession.
[26]
The respondent is required to submit
annual auditor's reports to the council, reporting on his firm's
trust affairs, within six
(6) months of each financial year-end.
These reports enable the counsel to exercise its oversight function
over practitioners and
satisfy itself that the practitioner concerned
is conducting a trust banking account correctly, that trust funds are
being administered
properly, and that trust accounting
records are being kept in terms of the
LPA and the LPC Rules.
[27]
In
terms of section 84(1) of the LPA
[4]
"(1)
Every attorney or any advocate referred to in section 34(2)(b), other
than
a
legal
practitioner in the full-time employ of the South African Human
Rights Commission or the State as a state attorney or state
advocate
and who practises or is deemed to practise- (a) for his or her own
account either alone or in partnership;
or (b) as a director of
a
practice which is
a
juristic entity, must be in
possession of
a
Fidelity
Fund certificate.
(2)
No legal practitioner referred to
in subsection (1) or person employed or supervised by that legal
practitioner may receive or hold
funds or property belonging to any
person unless the legal practitioner concerned is in possession of
a
Fidelity Fund certificate.
(3)
The provisions of subsections (1)
and (2) apply to a deposit taken on account of fees or disbursements
in respect of legal services
to be rendered."
# ANALYSIS
ANALYSIS
[28]
This court considers the allegations
against Mr. Dladla very serious. It frowns at
the conduct of the legal practitioner.
The respondent in his answering affidavit does not take this court
into his confidence. He
approaches this matter as rightly pointed out
as though he is dealing with a criminal matter. The respondent
disputes allegations
without bringing any proof.
[29]
It is so that when one changes an email
that the office must do so in writing. It would be proper of the
legal practitioner to furnish
proof that depicts the communique
between himself and the applicant. It is not sufficient to simply
deny. The respondent must at
all times remind himself that the
applicant is approaching this matter with the view to exercising its
mandate.
[30]
The applicant as a regulator is
answerable to the members of the public and the profession at large.
Most importantly it is the
mandate of the regulator to ensure that
the rules and regulation of a legal practitioner in practice are
observed. It is prudent
upon the legal practitioner to be of
assistance to the applicant which could curtail the proceedings
unlike trying to outsmart
the applicant whose interest are of the
public and the profession at large.
[31]
The conduct of the respondent in the
manner he has dealt with this case lives much to be desired. The law
in relation to a legal
practitioner to practice is very clear. He
must be in possession
of
a fidelity fund certificate. If a practitioner
does not have a fidelity fund he puts
the public at risk. The applicant is clearly brushing aside the fact
that in 2020 he practised
without
a fidelity fund certificate.
[32]
The respondent does not seem to
understand that he cannot remain in practice whilst he continues to
flaunt the laws of practice.
The reason given by the respondent that
his doors were kept open in 2020 though he did not have an active
file is neither here
nor there. He does not understand that the two
are in conflict with each other. It is not about him having an active
file but it
is about him remaining in practice without a fidelity
fund certificate.
[33]
As though this was not enough the
respondent carries on saying he has subsequently submitted an audit
report therefore he has complied.
He
refuses to see the light. The respondent clearly shows a great lack
of understanding the rules that he has flaunted. It is therefore
imperative to note that as a legal
practitioner he seems not to comprehend the seriousness of the
transgression. The respondent
does not have a fidelity fund
certificate for the period 2020 to-date yet his offices remains open.
[34]
The
respondent seems to think that because there are not claims against
the firm now there is no risk. This is definitely a wrong
approach to
the matter. I must say Practice Management Training particularly with
regard to possession of a fidelity fund certificate
and who the
regulator is imperative in relation to this matter. In terms of the
objects of the applicant at section 5(h)
[5]
training must be done. The applicant must consider continuous
training which seeks to achieve its objects. The respondent is one
candidate that must receive further training. Maybe it is time that
despite the initial training received the legal practitioners
attend
a further training just to ensure that they do not rust and they keep
themselves abreast of the rules and regulations that
govern them
being in practice.
[35]
The respondent does not furnish the
reasons for his failure to submit the audited statements timeously.
The respondent merely says
he has now submitted and therefore that is
a sign of remorse and that he is correcting his actions. The
respondent is missing the
point of the fact that as a legal
practitioner, a member of the honourable profession, and one who must
uphold the law, faults
it. It is concerning that he only in his heads
of argument says he is remorseful and he has corrected his actions.
He fails to
substantiate. This court still does not know why he
flawed the procedure.
[36]
During the court proceedings the
respondent had
to
be cautioned by the senior judge as to his submissions
and it was only then that he retreated
his attack to the regulator. Again, I reiterate the respondent's lack
of insight into how
he as a legal practitioner he must conduct
himself towards the regulator is evident in his response both in his
papers and in court.
The legal practitioner must view the regulator
as an institution that has the interest of the legal profession at
large. It is
not about one legal practitioner but it is about the
profession and the public views about the legal practitioners.
[37]
It is thus imperative that legal
practitioner do their best to have matters resolved and only in worst
case scenarios that matters
I say this mindful of the fact that the
respondent would have been fined for his late submission of the audit
report without this
matter being brought to court. The courts are
inundated with matters where legal practitioners have stolen trust
funds and matters
such as the one before us could and would have been
resolved in a disciplinary hearing. I must implore on the legal
practitioners
to engage the offices of the applicant in resolving
conflicts by schooling themselves with the rules and regulations that
govern
legal practice.
[38]
A
calibre of a legal practitioner must be such that the law is at all
times particularly when it relates to remaining in practice.
Legal
practitioners must be sticklers for rules. The respondent says he has
a fidelity fund certificate for the year 2019 to the
end thereof. If
that is so the respondent
would
have taken the necessary measures in protecting the public. However,
in relation to the period 2020 he admits that he did
not have the
fidelity fund certificate and his membership fees were not paid. Now,
that is a contravention
of
the law and the members of the public are at risk
[6]
.
[39]
The respondent is quick to be defensive
and says he did not take instructions however the question is did he
notify the applicant
that he is not in practice. What happened to the
files that he had started in 2019, what became of those clients?
It is evident that the respondent did
not follow procedure in relation to him being a non practicing
attorney. It is concerning
that the respondent moved offices whilst
he says he was not taking instructions.
# SANCTION
SANCTION
[40]
The following principles have been laid
down by our courts in the determination of sanction:
1.
The question before court is whether the
respondent should be permitted to continue practising as a legal
practitioner in the prevailing
circumstances.
2.
The objectives of the court's
supervisory powers over the conduct of legal practitioners has been
described as being two-fold:
first,
disciplining and punishing errand attorneys, and secondly, to protect
the public. In deciding which course to follow, the
court is not
first and foremost imposing a penalty, the main consideration is the
protection of the public.
[41]
This
court has a discretion in determining the appropriate sanction regard
being had to rules, and precedents. The respondent's
conduct is
serious. He has failed to report the status of his trust affairs to
the Council for consecutive financial periods,
has
failed to pay his membership fees, has failed to respond to a
complaint, and continues to practise contrary to peremptory
provisions
of the LPA. He provides no indication that he intends to
rectify the
situation.
The respondent cannot continue to practise in contravention of the
LPA
[7]
.
The
imposition of immediate sanction is, therefore, warranted.
[42]
The respondent's answers fall woefully
short in providing the court with any basis upon which it could
formulate conditions of suspension
that could cater to his
rehabilitation. The respondent appears to be content to continue
unabated.
It
is respectfully submitted that the respondent ought to be suspended
pending finalisation of the application and ordered to show
cause why
his name should not be struck from the roll of legal practitioners.
This proposal, of course, does not interfere with
the honourable
court's inherent discretion in matters of this nature.
[43]
The respondent has committed
transgressions which are not strikable I therefore do not think they
warrant that he be removed from
the roll. The respondent should be
suspended from practicing for his own account until he has completed
a course in practice management
training.
The respondent should be allowed to
practise under another legal practitioner with a fidelity fund
certificate.
[44]
The punishment must be in line with the
transgression. I believe the respondent can be saved from himself
thus I do not believe
he should be taken to the guillotine.
Mr Dladla, can be rehabilitated
considering that he has already submitted an unqualified report for
the year 2020 and paid his membership
fees. He must still close his
books and account for all the creditors in his trust account, pay the
membership fees before he can
bring an application for reinstatement.
[45]
The
respondent by practising without a fidelity fund certificate conducts
a criminal offence. Section 83(10)
[8]
provides:
'Any
person who directly or indirectly purports to act as a practitioner
or to practise on his or her own account or in partnership
without
being in possession of a fidelity fund certificate, shall be guilty
of an offence and on conviction liable to a fine not
exceeding R2 000
or to imprisonment for a period not exceeding six months or to both
such fine and such imprisonment.'
[46]
In the resultant I order that the
respondent be suspended
for
a period of six months. The respondent is to register for Practice
Management Training which results he must submit to the applicant.
The respondent is however allowed to practice as an attorney provided
he do so under an attorney who has a fidelity fund certificate.
# COSTS
COSTS
[47]
The
council must not be put out of pocket as it is the regulator. The
council's interest is those of the public and the legal profession
at
large. The general rule is that the council is entitled to its costs,
even if unsuccessful, and usually on an attorney and client
scale
[9]
.
There
is no reason present in this matter to substantiate deviation from
the general rule.
[48]
The respondent's failure to engage the
applicant in this matter has exacerbated the legal costs. This could
have been avoided. There
is a lesson learned from the conduct of the
respondent, that compliance with the rules and regulations of the
applicant is key.
The applicant has a mandate that if they fail to
carry out will lead to a chaotic profession and the public will have
no regard
for the profession. It is incumbent upon the respondent to
school himself about what is required of him in order to sustain his
practice.
[49]
In
casu
I do not find any reason to deviate
from the general rule regard being had to the conduct of the
respondent in his answering affidavit
and also during the hearing of
this
matter.
I do not think this matter should have proceeded to the extend that
it did. I reiterate this could have been avoided however,
it required
that the legal practitioner concerned engage those in authority in
order to make the necessary arrangements.
[50]
The respondent is a seasoned attorney
whom one would think would have known how to deal with issues of this
nature.
The
respondent has been an attorney for over twelve years. In resultant,
I order that the respondent pay the costs of the applicant
at
attorney and client scale.
# ORDER
ORDER
[51]
In the result the following order is
made:
1.
The respondent,
MBONGENI
DEREK DLADLA,
is suspended from the
roll of attorneys (legal practitioners) of this Honourable court for
a period six months.
2.
The respondent is allowed to practice
under an attorney with the right of appearance.
3.
The respondent must register with the
practice management training course within the period of suspension.
4.
The respondent is to pay the costs of
the application on
the
attorney and client scale.
ENB
KHWINANA
ACTING
JUDGE OF NORTH GAUTENG
HIGH
COURT, PRETORIA
Heard
On:
21
st
July 2022
Electronically
delivered: 22
nd
November
2022
Appearances:
Counsel
for the Applicant Mr
L. Groome
Instructed
by Rooth
& Wessels Inc.
Counsel
for Respondent: Mr
Dladla
Instructed
by: MD
Dladla Attorneys
[1]
Legal Practice Act 28 of 2014
[2]
Malan & another v Law Society, Northern Provinces (2008] ZASCA
90; 2009 (1) SA 216 (SCA)
[3]
Code of Conduct made under the authority of
section 97(1)(b)
of the
Legal Practice Act, 28 of 2014
[4]
Legal Practice Act 28 of 2014
[5]
promote high standards of legal education and training, and
compulsory post-qualification professional development;
[6]
The primary purpose of the Legal Practitioners Fidelity Fund ('the
Fund') is to reimburse clients of Legal Practitioners who
may suffer
pecuniary loss due to the theft of money or property entrusted to an
attorney in the course of his/her practice as
such, or where an
attorney acts as executor or administrator in a deceased estate, or
as a trustee in an insolvent estate.
[7]
Law Society of the Northern Provinces v Kyle
(2015) (2016] ZASCA 120
(19 September 2016)
[8]
LPA 28 of 2014
[9]
Botha v LSNP 2009(1) SA 227 SCA 236F
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