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You are here: BAILII >> Databases >> England and Wales High Court (Administrative Court) Decisions >> Tinkler v Solicitors Regulation Authority [2012] EWHC 3645 (Admin) (19 December 2012) URL: http://www.bailii.org/ew/cases/EWHC/Admin/2012/3645.html Cite as: [2012] EWHC 3645 (Admin) |
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QUEEN'S BENCH DIVISION
ADMINISTRATIVE COURT
ON APPEAL FROM THE SOLICITORS
DISCIPLINARY TRIBUNAL
IN THE MATTER OF THE SOLICITORS ACT 1974
Cathays Park Cardiff CF10 3PG |
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B e f o r e :
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RICHARD JOHN TINKLER - and - |
CO/10485/2010 Appellant |
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SOLICITORS REGULATION AUTHORITY |
Respondent |
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- and – LEE TERRANCE HAYWARD - and – SOLICITORS REGULATION AUTHORITY - and – JANIE HAYWARD - and – SOLICITORS REGULATION AUTHORITY |
CO/2515/2011 Appellant Respondent CO/2617/2011 Appellant Respondent |
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Lee Terrance Hayward appeared in person
Janie Hayward appeared in person
Geoffrey Williams QC (instructed by Russell Jones & Walker) for the Solicitors Regulation Authority
Hearing date: 24 October 2012
Further written submissions received 2 November 2012 & 22 November 2012
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Crown Copyright ©
Mr Justice Wyn Williams:
Introduction
Background facts common to each appeal
"1. Fail to comply with Solicitors' Account Rules ("SAR") contrary to Rule 1 SAR and Rules 5.01 Solicitors' Code of Conduct 2007 ("SCC");
2. Failed to keep accounts records properly written up, contrary to Rule 32(1) SAR;
3. Maintained a client account shortfall;
4. Permitted withdrawals from client account otherwise than in accordance with Rule 22(1) and 23(1) SAR;
5. Failed to remedy breaches of SAR promptly, upon discovery, contrary to Rule – SAR;
6. Made improper inter-ledger transfers between unrelated clients, contrary to Rule 30(1);
7. Misled clients as to the nature of their partnership, contrary to Rule 1(a) Solicitors' Practice Rules 1990 ("SPR") and Rules 1.01 and 1.06 SCC;
8. Permitted unadmitted persons to influence and/or control the practice; contrary to Rules 1(a), 1(c), 1(d), 1(e) and Rules 1.03, 1.04, 1.05 and 1.06 SCC;
9. Failed to adequately supervise client matters, contrary to Rule 13 SPR and Rule 5 SCC;
10. Failed to act in clients' best interests;
11. Misled clients upon the transfer of their matters from Wisemove solicitors to Tinkler solicitors, contrary to Rules 1.02 and 1.06 SCC."
The appeal of the First Appellant
"I am not alleging dishonesty; I am simply saying they misled lenders, misled clients. The Tribunal can legitimately take notice of the fact that lenders are more reluctant to deal with sole practitioners who can take proper notice of this because you are aware from your practice, and therefore there is, between some solicitors, a tendency to hobble together, if I may say, a partnership, which gives an impression to the world and potential clients that the business is run by two partners with cross disciplines which occur. Whereas, in fact, this partnership the way it was structured, obviously did nothing of the sort.
I therefore submit that you can find that allegation proved that by relation to the fact that they did what they did in the partnership agreement that they had with Wisemove and indeed with Tinklers, there was a benefit for both parties, both partnerships and by the structure of that partnership agreement, it was inevitable what they were representing to the world was in fact not the case because there was no sharing of confidence, but more importantly, you may think, that anyone looking at this as a client or a prospective client, would believe that they were operating together. Whereas you may come to the conclusion or should, in my submission, come to the conclusion that this partnership in effect was and the way it operated demonstrated this that Mr Tinkler played no part in Wisemove at all, hardly ever turned up; there would be some evidence that he did turn up once in a while, he wasn't on the client's mandate, they had no offices in each other's office premises and, indeed, conversely although Mr Kemp, had, it appears, a client mandate with Tinklers what does appear is that he wasn't able to properly run the practice of Wisemove, never mind become a partner or appear, to work as a partner with Tinkler's.
I can put it no higher than that, sir. I have no evidence at all that any lenders, or clients, were misled. All I can say is that on the structure of it, you can probably come to the conclusion that the purpose of it was to mislead clients and if you take into account the knowledge that you have, which is to the effect that many lenders are very reluctant and indeed will not instruct, as indeed Mr Tinkler has said in his interview with Mrs Guile, [the officer of SRA] to instruct a firm of solicitors where there was just the sole practitioner."
"In relation to allegation 7, misleading clients as to the nature of their partnership, the Tribunal did not accept the submission made on behalf of Mr Tinkler and Mr Kemp, that evidence from lenders, who had in fact been misled, was necessary to prove the allegation. The Tribunal was satisfied, so that it was sure, from the evidence of both Mr Tinkler and Mr Kemp that they had entered into partnership in each other's firm in order to ensure that their firms would be or would continue to be on the panels of sub-prime mortgage lenders. In reality, following the establishment of their new partnerships, both of their businesses had carried on as before, but each with a "sleeping partner"."
"The Tribunal will consider the following in determining the appropriate level of Fine or combination of Fine to be imposed:
- There is no limit to the level of Fine the Tribunal may impose. In deciding the level of Fine, the Tribunal will consider all the circumstances of the case, including aggravating and mitigating factors. The Tribunal will fix the Fine at a level which reflects the seriousness of and is proportionate to the misconduct.
- The Respondent shall be entitled to adduce evidence that the ability to pay a Fine is limited by his means."
"From this review of authority I conclude that the statements of principle set out by the Master of the Rolls in Bolton's case remain good law, subject to this qualification. In applying the Bolton principles the Solicitors Disciplinary Tribunal must also take into account the rights of the solicitor under Arts 6 and 8 of the Convention. It is now an overstatement to say that 'a very strong case' is required before the court would interfere with the sentence imposed by the Solicitors Disciplinary Tribunal. The correct analysis is that the Solicitors Disciplinary Tribunal comprises an expert and informed Tribunal, which is particularly well placed in any case to assess what measures are required to deal with defaulting solicitors and to protect the public interest. Absent any error of law, the High Court must pay considerable respect to the sentencing decisions of the Tribunal. Nevertheless if the High Court, despite holding such respect, is satisfied that the sentencing decision was clearly inappropriate, then the court will interfere. It should also be noted that an appeal from the Solicitors Disciplinary Tribunal to the High Court normally proceeds by way of review; see CPR 52.11(1)."
The appeal of the Second Appellant
"The Tribunal orders that as from 15 September 2010 except in accordance with Law Society's permission:-
i) No solicitor shall employ or remunerate, in connection with his practice as a solicitor [the Second Appellant]
ii) No employee of the solicitor shall employ or remunerate, in connection with the solicitor's practice [the Second Appellant]
iii) No recognised body shall employ or remunerate the [the Second Appellant]
iv) No manager or employee of a recognised body shall employ or remunerate [the Second Appellant] in connection with the business of that body
v) No recognised body or manager or employee of such a body shall permit [the Second Appellant] to be a manager of the body
vi) No recognised body or manager or employee of such a body shall permit [the Second Appellant] to have an interest in the body."
SDT was empowered to make such an order given its finding that the Second Appellant had exerted influence over and/or controlled a solicitor's practice.
The appeal of the Third Appellant
Conclusion