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You are here: BAILII >> Databases >> Scottish Sheriff Court Decisions >> Scottish Ministers v. Wrigley [2005] ScotSC 91 (28 November 2005)
URL: http://www.bailii.org/scot/cases/ScotSC/2005/91.html
Cite as: [2005] ScotSC 91

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SHERIFFDOM OF GLASGOW AND STRATHKELVIN AT GLASGOW

 

PC15/05

 

INTERLOCUTOR

 

in causa

 

THE SCOTTISH MINISTERS, Civil

Recovery Unit, PO Box 2002, Edinburgh

 

APPLICANTS

 

against

 

STUART DAVID WRIGLEY, 11

Balshagray Avenue, Jordanhill, Glasgow

G11 7EG

 

RESPONDENT

 

Act: Crawford, Advocate

Alt : Brabender, Advocate

 

 

 

 

GLASGOW, 28 November 2005

The Sheriff, having heard Counsel on the unopposed oral motion of the respondent to receive at the Bar a Minute of Amendment tendered on behalf of the respondent, open up the record and allow it to be amended in terms of the said Minute, and close of new, Grants same and in so doing Allows the Minute to F I form number 12 of process: thereafter, having heard Counsel in debate, Repels the respondent's first, second and third pleas in law, and Allows both parties a

 

 

 

proof of their respective averments: Assigns 7th, 8th, 9th & 101h March 2006 within the Sheriff Court House, 1 Carlton Place, Glasgow as a diet thereof: having heard Counsel on the issue of the expenses occasioned by the diet of debate, Finds the respondent liable to the applicants in those expenses and Allows an account thereof to be given in and Remits same when lodged to the Auditor of Court to tax and to report thereon.

 

 

NOTE

 

[1] In this summary application, brought under section 298 of the Proceeds of Crime Act 2002 ("the Act"), the applicants seek an order under and in terms of that section for the forfeiture of the sum of £17,010.00 Sterling ("the sum of money") together with any interest accrued thereon seized and detained by a Detective Constable of the Financial Investigation Unit of Strathclyde Police. The respondent opposes that request. In his answers he seeks dismissal of the application.

 

 

The scope of the debate

 

[2] After sundry procedure the application was assigned to a diet of debate on the applicant's pleadings. The pleas-in-law to be debated were the respondent's first, second and third. All three were supported by a Note of Basis of Preliminary Pleas, number 8 of process. At the outset of the debate Counsel for the respondent indicated that she did not wish to insist in the respondent's third plea-­in-law, which accordingly should be repelled. In addition she tendered a Minute of Amendment and asked for leave to have it received as number 12 of process and thereafter amend the Record number 11 of process in terms thereof Counsel for the applicants did not oppose that motion and I granted it. The debate then

 

 

 

 

 

 

 

 

proceeded on the respondent's remaining two preliminary pleas. They each sought dismissal: the first on the ground that the application was incompetent; and the second that the applicants had failed to comply with the terms of section 295.

 

[3] At the conclusion of the debate I gave my decision orally and ex tempore. I then dealt with the questions of expenses and further procedure as contained in my interlocutor of 28 November 2005. Subsequently I was asked by the applicant's law agent to prepare a written Note, not for the purposes of appeal, but in the hope that it might be of some general assistance to those working in this area of the law. I was happy to oblige in the full knowledge that this Note necessarily confines itself to the issues canvassed in the debate and is not intended to do service for any more general purpose.

 

The averments for the applicants

 

[4] The pleadings of the applicants set out the background to the action. The respondent is a self-employed tattoo artist who trades as Terry's Tattoo Studio from premises at 23 Chisholm Street, Glasgow. On 11 February 2003 officers of Strathclyde Police Drugs Squad went to the premises for the purpose of searching them. They had in their possession a search warrant obtained on the suspicion that the respondent was concerned in the supplying of drugs controlled under the Misuse of Drugs Act 1971. In execution of that warrant they conducted a systematic search of the premises, in the course of which they found two safes. In one they found one hundred tablets of the controlled drug commonly known as "Ecstasy" and the sum of money in cash. In addition they found three tablets of "Ecstasy" in a drawer at a workstation used exclusively by the respondent. The applicants describe the quantity of Ecstasy found in the safe as being in excess of what is used for personal consumption and consistent with a dealer amount.

 

[5] On completion of the search the officers detained the respondent under section 14 of the Criminal Procedure (Scotland) Act 1995 and took him to Stewart Street Police Station, Glasgow where he was interviewed under caution. During the course of that interview the respondent admitted ownership of both the drugs and the sum of money but denied any involvement in supplying drugs. When

 

 

 

 

 

 

 

 

 

 

 

interviewed under caution regarding the sum of money he maintained that he ran "cash business" and declined to bank his takings so as to avoid "the V A T people" accessing his account. He further stated under caution: "I am running a personal business. I'm just a wee businessman here. I'm creaming the top but I'm not fucking Rockerfeller". The respondent maintained under caution that his income arose legitimately from his business as a self-employed tattoo artist. The applicants found upon the whole terms of the transcript of the interview which a held to be incorporated brevitatis causa.

 

[6] He was subsequently indicted to appear in Glasgow Sheriff Court charged with, inter alia, being concerned in the supplying of class A drugs (contrary section 4(3)(b) of the Misuse of Drugs Act 1971). He went to trial on that indictment in January 2005 and the jury returned a verdict of not proven on February 2005. The sum of money seized during the search had been retained and lodged as a Crown production in that trial. It remained with the Production Keeper of Strathclyde Police Drugs Squad until 10:00 hours on Tuesday 10 May 2005 when it was seized by Detective Constable Robert Noble of the Financial Investigation Unit of Strathclyde Police in terms of section 294 of the Proceeds Crime Act 2002.

 

[7] The applicants aver that the respondent maintains a lifestyle and expenditure which substantially exceeds the extent of his income declared to the Inland Revenue. They found upon a financial profile prepared on behalf of the Crown on about 9 June 2005 whose whole terms are held to be incorporated brevitatis causa. That profile concludes from an examination of the respondent's financial accounts that in the years 1997/98 to 2002/03 he benefited from criminal conduct to the extent of £427,953. In that same period his total expenditure was £564,871.90. His known income for that same period was £136,918.32. There are no business accounts available for the business of Terry's Tattoo Studio. Notwithstanding his acquittal on a charge under section 4(3)(b) of the Misuse Drugs Act 1971 the presence of the sum of money taken together with the substantial quantities of class A drugs on his premises indicate an involvement with controlled drugs on the part of the respondent. Moreover, keeping

 

 

 

 

 

 

 

 

substantial sum of cash in the manner condescended upon avoids normal banking procedures, and that avoidance is consistent with involvement in controlled drugs. Separatim the respondent admitted under caution to running a "cash business", to avoiding normal banking procedures so as to prevent access by "the V A T people" to his banking records and that: "I'm creaming the top". He therefore admitted to evasion of both Value Added Tax and Income Tax. That evasion constitutes offences under statute punishable, inter alia, by imprisonment. In the event that the sum of money arises from the respondent's involvement with controlled drugs, it is recoverable property. In the event that it arises from his evasion of Value Added Tax and/or Income Tax it is also recoverable property. In either event the sum of money is recoverable property in terms of Section 298 (2) of the Proceeds of Crime Act 2002, having been obtained through unlawful conduct, and as such is liable for forfeiture under Section 298 of the said Act as sought in the application.

 

The respondent's answers

 

[8] The respondent admits that the sum of money was seized as averred from the premises from which he conducts his business as a tattoo artist and that he maintained under caution that his income arose legitimately from that business. He avers that the sum of money has been unlawfully detained since 13 February 2003 and that requests for the return of that sum to him dated 12 February 2003, 11 February 2005 and 4 April 2005 have been unlawfully refused thereby rendering the application incompetent. Moreover, he explains that he leased premises at 24-25 Grey Place, Greenock, that during January and February 2003 those premises were in the process of being renovated and that he intended to fund those renovations with the sum of money.

 

The submissions for the respondent

 

[9] Counsel for the respondent supported the two remaining preliminary pleas in a submission that fell into three parts: the background to the application, the relevant provisions of the Act and an analysis of the history of detention of the sum of money after it was seized in the search. She invited the conclusion that there was no lawful authority for the detention of the sum of money since

 

 

 

 

 

 

2 February 2005 by what she consistently and repeatedly described as "the State" and that the purported seizure and detention on 10 May 2005 was unlawful. She did not volunteer any further explanation or definition of what she meant by that entity. The action was incompetent and the respondent's first and second pleas-in-law should be sustained, the application dismissed and an order made to release the sum of money.

 

The background to the application

 

[10] The background to the application consisted of a chronology of events culled (for the most part) from the pleadings. Counsel's starting point was the search on 11 February 2003. The following day law agents acting on behalf of the respondent wrote Strathclyde Police in the terms found in production number 6/1 of process asking them for the return of the sum of money found in the course of the search. Counsel commented that the agents received no response to that letter albeit this is not in the pleadings. On 12 September 2003 the Court granted a petition warrant in the name of the respondent (this fact is not in the pleadings but nothing turned on this for either party as the debate was argued). On 2 February 2005 the defender was acquitted following trial. The sum of money had formed part of the productions in that criminal case. On 11 February 2005 the respondent's law agents wrote to the office of the Procurator Fiscal in the terms set out in Production No 6/2 of process requesting return of the cash. That did not occur. On 4 April 2005 the respondent's law agents wrote again as set out in production number 6/3 of process with the same negative response. Thereafter, on 10 May 2005 the sum of money was seized. The present application was lodged in court the following day. The date of service on the respondent was 23 May 2005. It was only then that the respondent became aware of that act of seizure.

 

The relevant provisions of the Act

[11] Turning to the relevant provisions of the Act, Counsel submitted that the application was governed by Part 5 of the Act which came into force on 30 December 2002. Section 240 set out the general purpose of that Part. Subsection (2) directed that the powers conferred by Part 5 were exerciseable in

 

 

 

 

 

 

 

relation to any property (including cash) whether or not any proceedings had been brought for an offence in connection with the property. Chapter 3 of Part 5 dealt with the recovery of cash in summary proceedings. Section 289 conferred on a customs officer or constable a power of search for cash which inter alia fell within the statutory definition of recoverable property. Section 293(1) obliged the applicants to make a code of practice in connection with the exercise by constables in relation to Scotland of the powers conferred by section 289. They had complied with that requirement by promulgating a "Code of Practice for Constables in Scotland under the Proceeds of Crime Act" by means of Scottish Statutory Instrument 2002/569. Section 294(1)(a) provided that a customs officer or constable may seize any cash if he had reasonable grounds for suspecting that it was recoverable property. Section 295(1) provided that the initial detention period for such seized property was 48 hours. That section also made provision for extending that period for a period of up to two years if either one of the two conditions set out in subsections 295(5) and 295(6) were met. Counsel confirmed that for present purposes she was founding only upon 295(5). Section 296 made provision for the treatment of interest and directed that any cash detained under section 295 for more than 48 hours must be paid into an interest-bearing account and the interest accruing on it added to the cash on its forfeiture or release, unless the cash fell within 295(3). This dealt with the situation where the cash was required as evidence of an offence or evidence in proceedings under Chapter 3. Section 297 dealt with the release of cash detained under section 295. It could be released on the application of the person from whom the cash had been seized. Section 298 dealt with the forfeiture of cash. Subsection (4) provided that where an application for the forfeiture of any cash was made under section 298, the cash was to be detained and not released under any power conferred by Chapter 3 until any proceedings in pursuance of the application were concluded, including an proceedings on appeal.

 

The periods of detention

 

[12] For the third part of her submission Counsel said that there were four periods of detention. The first ran from 17 February 2003 to 2 February 2005, the

 

 

second from 2 February 2005 to 10 May 2005, the third from 10 May 2005 to 23 May 2005 and the fourth from 23 May 2005 to the date of the debate.

 

[13] For the first period, the original seizure and detention required to be seen within the context of the relevant provisions of the Act and the background to the application. Prior to 30 December 2002 when Part 5 of the Act came into force the state could only seize and detain cash without the existence of a previous conviction if the cash were being imported or exported to or from the United Kingdom. The provisions of Part 5 of the Act represented the first opportunity for the state to recover cash within the United Kingdom. Part 5 envisaged that civil proceedings would, as she put it, "cross over" with criminal proceedings. Section 294 did not preclude seizure whilst acting under a different statutory authority. She found support for this proposition in the provisions of the Code of Conduct and, in particular paragraph 2 of it. Accordingly, a constable could seize cash under other legal provisions. Section 295 allowed the state to seize cash whilst an investigation was ongoing and section 296(3) to hold cash as a production in proceedings. Although all relevant provisions of the Act were in force at the commencement of the first period, no seizure had been made in terms of section 294. Because of that there was no application made under section 295 and therefore the respondent could not apply under section 297 for the release of the sum of money. The respondent did not dispute that the state had the power to hold on to the cash for the first period of detention, but on his acquittal the sum of money ought to have been returned to him. The state had no lawful authority to continue to detain that sum from the date of his acquittal.

 

[14] For the second period, from 2 February 2005 if a constable had had reasonable grounds for suspecting that the sum of money was recoverable property then it ought to have been seized under section 294. If the applicants had been unable to lodge an application under section 298 within 48 hours of that seizure they could have applied under section 295 to continue the period of detention in order to allow for the raising of the present application. If they had done that then the respondent could have applied for the release of the sum of money. However, for the entire duration of this second period no such seizure

 

 

was made and the respondent was therefore denied the opportunity given by the Act to seek its return. The applicants state on record that an officer of Strathclyde Police detained the sum of money for the whole of the second period of detention. If this were a seizure of cash under section 294 then the state had failed to seek an extension of the period of detention beyond the 48 hours that had begun on 2 February 2005. In failing to apply for such an extension the state had failed to comply with the statutory scheme and had failed to provide him with the statutory opportunity under section 297 to apply for release of the detained cash. It could not be contended that the seizure on 10 May 2005 cured any earlier irregularity because the statutory scheme was specific and unambiguous. It allowed for seizure pending proceedings raised under section 298. It did not allow for either detention without any lawful authority for a period of some three months or seizure purportedly under section 295 three months after the cash had been seized. For all these reasons, Counsel submitted the state had no lawful authority to hold on to the cash from and after 2 February 2005 and the purported seizure on 10 May 2005 was therefore, unlawful.

 

[15] Counsel submitted that in light of her analysis of the first and second periods of detention, what she had to say about the third and fourth periods was presented on an esto basis. If that analysis found favour then she invited the conclusion that the respondent's second plea-in-law should be sustained. If not, but the esto case found favour, then the respondent's first plea-in-law should be sustained.

 

[16] For the third period, the applicants aver in article 2 of condescendence that the sum of money was seized at 10.00 hours on 10 May 2005. The respondent received no notification of that seizure. He was entitled to such notification in order to apply for release of the cash but was denied any such opportunity by the applicants' failure to notify him of the seizure. The applicant's failure to notify rendered the seizure unlawful. It could not be said that the applicants were unaware of whom it was that the sum of money belonged to. The unlawful nature of the fourth period followed automatically from the third if the esto case were accepted.

 

 

 

 

The submissions for the applicants

 

[17] Counsel for the applicants began her submissions by inviting the conclusion that the respondent's first and second pleas-in-law be repelled and the parties allowed a proof on the applicants' first plea-in-law and the respondent's fourth. She took no issue with the fact that the respondent's preliminary pleas were not pled on an esto or separatim basis.

 

[18] Counsel's submission was that the respondent's submissions were based upon a fundamental misunderstanding of Part 5 of the Act, which rendered the respondent's argument misconceived. Part 5 of the Act was divided into four chapters. Its general purpose was set out in section 240(1)(a). The "enforcement authority" there referred to was defined for Scotland in section 316(1) of the Act as meaning the applicants which was why they had brought the present proceedings. The applicants were not the Crown or "the state" as Counsel for the respondent had constantly referred to. Section 241 defined "unlawful conduct" and established the standard of proof. In particular, subsection (1) defined unlawful conduct occurring in any part of the United Kingdom as conduct unlawful under the criminal law of that part. Subsection (3) required the sheriff to decide on a balance of probabilities whether it was proved (a) that any matters alleged to constitute unlawful conduct had occurred, or (b) that any person intended to use any cash in unlawful conduct. Proof was accordingly on the civil, not criminal, standard. The applicants did not seek to prove that the respondent had committed a crime, but did offer to prove to the required standard that he had involved himself in unlawful conduct. The present proceedings were civil in nature: they did not involve the Lord Advocate or the Procurator Fiscal bringing criminal proceedings. For present purposes it did not matter whether or not criminal proceedings had taken place and, if they had, that they resulted in an acquittal. Criminal proceedings were entirely irrelevant for the purposes of Part 5 which concerned itself with civil recovery. For these reasons, it was misconceived to submit that there was a "cross over" between the civil law and the criminal law. For criminal features of the Act she turned to Part 3 (which deals with the provisions for Scotland of the confiscation of the proceeds of

 

 

 

 

 

 

 

 

 

 

 

crime) and in particular pointed out that section 92 required the court to act and made this action mandatory. Confiscation followed on the motion of the prosecutor on conviction or on a disposal. The Crown could move for a restraint order under section 119 and such an application was made by the prosecutor. Parts 3 and 5 of the Act were different. Reading the Parts together highlit [sic] the distinction that had to be drawn between criminal and civil matters and between the applicants and the Lord Advocate.

 

[19] Within Part 5 of the Act, Chapter 2 related to civil recovery in the Court of Session and Chapter 3 to the recovery of cash in summary proceedings. The powers of search set out in section 289 were granted in relation to civil proceedings under Chapter 3 provisions and did not involve the use of criminal powers. The Code of Conduct related to searches conducted under section 289.

 

[20] It was no part of the present application that the search in February 2003 had been conducted under section 289. That search followed on the grant of a warrant under the criminal law either at common law or under the Misuse of Drugs Act and as such it was not conducted under section 289. The present application was presented under section 298. Section 304 defined "recoverable property" in Chapter 4 which was headed "General". Section 298 invited the court to permit the forfeiture of cash that represented the proceeds of unlawful conduct. The application sought such forfeiture. It was an action in rem, not an action for payment of the sum sought by the respondent. Section 295 dealt with the detention of seized cash. Subsection (4) gave the applicants or the Procurator Fiscal the right to apply to the sheriff. Under subsection (5) the existence of the criminal proceedings involving the respondent was irrelevant because the cash under the Act was not seized under the power given by section 294 until 10 May 2005. Subsection (8) provided that an order under section 295(2) must provide for notice to be given to persons affected by it. It did not make provision for such notice to be given within the initial 48 hour period. Counsel was unable to speculate why that was so but pointed out that the Act was designed to recover the proceeds of crime and to give notice of an intention to do that might prejudice the intended purpose of the Act. The date of first deliverance of the present

 

 

 

 

 

 

 

 

 

 

 

 

 

 

proceedings was 11 May 2005 which was within the 48 hour period following the seizure of the cash. The fact that service was effected after the end of that period was irrelevant. The applicants' averments supported seizure under the Act being effected on 10 May 2005 and it was no part of the applicants' case that there was seizure on an earlier date. It did not fall within the knowledge of the applicants whether the respondent had been acquitted on 2 February 2005 but for present purposes they did not doubt that fact. Prior to 10 May 2005 the sum of money was not detained under any of the provisions of the Act. The applicants therefore disputed the contention of the respondent that in fact there was an earlier detention under section 295 detention. The fact that further detention may be allowed under the Act pending criminal proceedings did not trench against that submission. The Act might allow a constable to seize cash on the occurrence of an acquittal or pending further criminal proceedings but it did not require the C I constable to do that. With regard to the productions numbered 6/1, 6/2 and 6/3 of process, Counsel commented that the applicants had no record of receiving any of these letters. This was not surprising because 6/1 bore to having been sent to Strathclyde Police and 6/2 and 6/3 to the office of the Procurator Fiscal. In any event it was irrelevant to say that the respondent had sought release from either of those authorities. If it were said that following the acquittal of the respondent the police should have released the sum of money to him, and counsel expressly made no concession in respect of that hypothesis, then he might have a right of relief against the police, for example, for loss of interest on the sum of money.

 

The response for the respondent

 

[21] In response, Counsel for the respondent made two points of substance. Firstly, she did not dispute that the application had been lodged within 48 hours of the seizure on 10 May 2005, but said that section 297 contained no provision that the sum of money be detained under section 295(2). Section 297 was simply a protective measure while cash was detained under section 295. The protection was therefore to cash seized immediately and the respondent needed to know that a seizure and detention had taken place. He received no such notification until 23 May 2005. She was unable to point to any statutory provision that required notification or service of the fact of seizure within the 48 hour period.

 

 

 

[22] Secondly, under reference to section 294, it was incorrect of the applicants to say that the police were acting in a criminal capacity between 2 February 2005 and 10 May 2005. They were acting then either under statute or at common law.

 

My decision

 

[23] I prefer the submissions for the applicants. The application is neither incompetent nor irrelevantly pled. Accordingly I repel the first and second pleas­-in-law for the respondent as well as his third plea in which he did not insist. As a consequence I allow parties a proof of their respective averments grounded in the remaining pleas-in-law.

 

[24] The plea to the competency of the application rests upon the proposition I that the applicants have failed to comply with the terms of sections 294 and 295 of the Act and are therefore prevented from requesting an order under section 298. As presented in her submissions, Counsel grounded her attack on the fact that the respondent had been acquitted of the criminal charge that had followed upon the original seizure of the sum of money. As a consequence the sum of money ought to have been returned to him on that acquittal or alternatively ought to have been seized under section 294 and the appropriate procedure set in train then. Neither occurred and the failure to comply then with the statutory scheme of the Act could not be cured by the subsequent purported seizure on 10 May 2005.

 

[25] It seems to me that the starting point for deciding whether this attack is well founded raises a matter of statutory interpretation. The right to bring the present application is given to the applicants by the Act, and the remedy sought is a creature of the Act. It is therefore to the Act that one must look to determine what powers have been granted and how, by whom and in what circumstances they may be invoked. The researches of Counsel were unable to find any judicial authorities that might assist in this task.

 

[26] The principal and broad purpose of the Act is to prevent persons benefiting from criminal conduct. This can be determined readily from the terms of its long

 

 

 

 

 

 

 

 

 

title which provides inter alia that the Act is "to provide for confiscation orders in relation to persons who benefit from criminal conduct and for restraint orders to prohibit dealing with property, to allow the recovery of property which is or represents property obtained through unlawful conduct or which is intended to be used in unlawful conduct, to make provision about money laundering, to make provision about investigations relating to benefit from criminal conduct or to property which is or represents property obtained throught [sic] unlawful conduct or to money laundering".

 

[27] The power to confiscate assets is central to how Parliament intended the Act to operate. In furtherance of that the scheme of the Act provides for detailed provisions delineating the power to confiscate and the mechanism whereby that may be achieved which are self-contained for each of the separate legal jurisdictions comprising the United Kingdom. For Scotland they are contained in Part 3 which runs from section 92 to section 155. The way in which those provisions have been framed signals that Parliament intended the confiscation of assets determined to be the proceeds of crime to be an aspect of the criminal law. In particular, as was mentioned in the course of the debate, section 92 entrusts to the prosecutor the responsibility of asking the court for a confiscation order. In addition I note that subsection (13) provides that the court which must entertain such a request is either the High Court of Justiciary or the sheriff, who must in this context be construed as exercising his criminal jurisdiction. Moreover a confiscation order is a sentence for the purposes of any appeal or review (subsection 11). Admittedly, as was pointed out, subsection (9) directs that the standard of proof required to decide any question arising in a confiscation order is on the balance of probabilities rather than beyond reasonable doubt, but I do not construe that as altering the character of the remedy.

 

[28] While the confiscation order is central to the operation of the Act it is by no means the only weapon in its arsenal. One of the other available ones is the recovery of cash under Part 5. This Part applies to the whole of the United Kingdom with express variations for each separate legal jurisdiction. For Scotland section 240(1)(b) directs that cash which is, or represents, property

 

 

 

 

 

 

 

 

 

obtained through unlawful conduct, or which is intended to be used in unlawful conduct, may be forfeited, that an application for forfeiture is presented to the sheriff and that the proceedings are directed to be civil in nature. This jurisdiction is taken up again in Chapter 3 of Part 5, comprising sections 289 to 303. This Chapter gives to a customs officer or constable the right and the power to search premises for cash (section 289). It also sets out detailed provisions regarding the exercise of that power (sections 290 and 291), and directs for Scotland that the applicants were required to make a Code of Practice in connection therewith by constables (section 293). Parties agreed that the applicants fulfilled this requirement by making the Code of Practice referred to in the course of the debate. Chapter 3 also details the necessary concomitant powers of seizure (section 294) and detention (section 295) of cash, the circumstances in which it had to be placed in an interest-bearing account (section 296), and the conditions on which subsequently it may be released (sections 297 and 301). Of particular importance for the present application is the power granted to the applicants under section 298 to make application to the sheriff for an order forfeiting the whole or part of the cash seized. The parties did not dispute that the applicants had made the present application under that section and that the sum of money could be construed as recoverable property as defined in Chapter 4 of Part 5.

 

[29] Counsel for the respondent submitted that Part 5 envisaged that civil proceedings would "cross over" with criminal proceedings. She did not elaborate on what she understood by this but from the content of her submissions I surmise that it seemed to carry the idea that the two were interrelated and interwoven in some unexplained way. I disagree. I do so on the ground of the construction of the Act urged by Counsel for the applicants. The Act has been framed in a way that permits recourse to certain of its powers by the application of the specific provisions laid down in the body of the Act for each individual power. One such remedy is the power to seek forfeiture of cash seized under section 294 and detained under section 295. Put shortly, Chapter 3 of Part 5 creates provisions which are self-contained and free-standing whose purpose is to expedite the recovery of cash by way of summary civil proceedings.

 

 

 

 

 

 

 

[30] In light of this approach I find no support in the scheme or terms of Chapter 3 for the respondent's attack. Firstly, I agree with the submission of Counsel for the applicants that as presently pled the original seizure of the sum of money was not made under section 289 of the Act. It was made either a common law or under another statutory power, unspecified in the averments of fact but likely to have been under the Misuse of Drugs Act 1971. Accordingly although the provisions of Part 5 of the Act were in force as at the date of that seizure, they were not invoked. From this it follows that on the eventual acquittal of the respondent whatever legal right he had to request or require the release of the sum of money, it was not under the Act.

 

[31] Secondly, the respondent's submission is predicated upon the requirement that the sum of money be seized under the Act on the acquittal of the respondent. I find no support for this requirement in the Act. The initiating act that sets in motion the statutory scheme of Chapter 3 is a seizure of cash under section 294. That occurs, read short for present purposes, with an exercise of discretion by a constable who has reasonable grounds for suspecting that the cash involved is recoverable property. The Act does not indicate when or in what circumstances a constable may exercise that discretion beyond saying that it must be on reasonable grounds. I do not find it in the least bit surprising that the Act is silent on any such indication. Parliament enacted the Act to prevent persons benefiting from criminal conduct. In order to achieve that laudable aim Parliament has inter alia vested a constable with a broad discretion to invoke the statutory power of seizure of such cash. To have directed when and in what circumstances would have fettered that discretion with the attendant risk that in an individual situation the intention of Parliament might be thwarted. While the discretion is broad the power is limited by the requirement that the initial period of detention is restricted to 48 hours and by the various powers of oversight granted to the sheriff if there is a desire to extend that initial period. Whether any given seizure is made under section 294 is in each case a matter of fact and circumstance. The respondent therefore is ill founded in submitting that the absence of a seizure of the sum of money under sections 294 and 295 on his acquittal renders the present application

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

incompetent, there being no statutory requirement for that to occur. For the foregoing reasons I repel his first plea-in-law.

 

[32] In the present application, the applicants' aver as a fact, and offer to prove, that the seizure of 10 May 2005 was made under section 294. Whether there ought to have been an earlier seizure, as the respondent urged, is for present purposes not a live issue given my analysis of the scheme of Chapter 3. Moreover, I specifically make no comment one way or the other on the hypothesis adverted to by Counsel for the applicants without making any concession in that regard that the respondent might have a right of relief against Strathclyde Police. In the context of the debate it was a pure hypothesis and I do not need to address it in reaching my decision on what was argued in the debate. On one matter of nomenclature I will make a comment: the regular adoption by Counsel for the respondent during the debate of the phrase "the State". She did not volunteer a definition of what she meant by that entity for the issues debated. I do not find that phrase used anywhere within those sections of the Act that featured in the debate, nor do I find it defined for any of those purposes. I prefer, and find much more helpful, the approach of Counsel for the applicants who confined herself to using the designations of those legal entities, including the applicants, specifically referred to in the Act.

 

[33] Turning to the respondent's submission that he was entitled to notification of the seizure on 10 May 2005 and that its absence rendered the seizure unlawful, I conclude that this too is ill founded. If by notification on the respondent Counsel intended to convey an entitlement to advance notice of the fact of search then the Act does not require such notification. I do not find this surprising, for the reasons referred to above on the purpose and intention of the Act. As for the suggestion that the respondent was entitles to notification of the fact of that seizure within the period of 48 hours beginning with the act of seizure, I am satisfied that it is sufficient for compliance with the provisions of the Act regarding notice to the respondent as the person affected by continued detention that he received such notification on service of the application. For the foregoing reasons I conclude that the respondent's attacks on the relevancy of the applicant's

 

 

 

 

 

 

 

 

 

 

 

 

 

pleadings are without foundation and therefore I repel his second plea-in­-law. The parties are accordingly entitled to an opportunity to prove their respective averments and that enquiry is by way of proof prout de iure.

 

[34] Lastly, I wish to express my gratitude to both Counsel. Their submissions clearly focused the issues in controversy in the debate and made it a pleasure to preside over the debate.

 

Expenses

 

[35] At the conclusion of the debate I heard Counsel on the question of expenses of the diet. Counsel for the applicants moved for an award of expenses in respect that the first and second pleas-in-law for the respondent had been repelled. Counsel for the respondent moved that there be no expenses due t by either party because the basis of the pleas had only become clear, consequence of a Minute of Amendment lodged by the applicants on or about November 2005. Counsel for the applicants responded to that by saying that the Minute dealt with the issues of relevancy raised by the respondent's Note of Basis of Preliminary Pleas and that Note had only come to hand after pressure had been applied to obtain it. In the exercise of the discretion I had I awarded the expenses of the debate to the applicants in respect that they had been successful in seeing off the challenges of the respondent.

 

Further procedure

 

[36] Both Counsel were agreed that the diet of proof ought to be assigned for four days and this was done.


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