Saturday, May 28, 2011

STEPHEN WARNE - BARRISTER - BLOG ABOUT LAWYERS PROFESSIONAL LIABILITY

Lawyers’ false attestation of documents and fraudulent certificates of advice

April 10th, 2011 · 24151 Commenthttp%3A%2F%2Flawyerslawyer.net%2F2011%2F04%2F10%2F2415%2FLawyers%27+false+attestation+of+documents+and+fraudulent+certificates+of+advice2011-04-10+05%3A14%3A47stephenhttp%3A%2F%2Flawyerslawyer.net%2F%3Fp%3D2415

What’s the going rate by way of penalty for lawyers successfully prosecuted for falsely attesting the execution of documents? As usual in the law of professional discipline, the cases are all over the place — what is analysed below is a collection, not a line of, authorities — but I am unaware of any case in which a lawyer’s practising certificate has been interfered with solely for purporting to sign as witness a document they did not witness the execution of or for falsely giving a certificate that advice about the document was given.  And you would have to say that a fine of a few thousand dollars and a reprimand is the going rate. Justice Kirby, then President of the Court of Appeal, adverting to the Court’s role as fixing the standards to be observed in determinations by disciplinary tribunals, overturned a disciplinary tribunal’s decision to strike off a solicitor who gave a false certificate of advice in relation to a mortgage, exacerbated the wrongdoing by oral representations to the mortgagee’s solicitor and was not frank in the disciplinary investigations.  The Court substituted a fine and a reprimand: Fraser v Council of the Law Society of NSW [1992] NSWCA 1992.
Because of the dishonesty inherent in this species of disciplinary wrong, the cases have traditionally been clear that it amounts to professional misconduct rather than to unsatisfactory professional conduct.  But the New South Wales Court of Appeal’s decision in Xu v Council of the Law Society of NSW [2009] NSWCA 430 bucks the trend and characterised one such instance as unsatisfactory professional conduct.  All of the other cases need be re-evaluated in light of the Court of Appeal’s decision.
Below are my notes of reading the cases, for a disciplinary prosecution in which I recently acted.  I was put onto some of them by readers of this blog, for which many thanks.

Law Society of NSW v Martin [2010] NSWADT 245
The practitioner had been in practice for 11 years.  He acted for a purchaser of property.  He purported to witness her signature on five related documents: a mortgage of that property granted to Oakland Investments, a Declaration by Borrower, a Loan Repayment Declaration by Borrower, an ‘Acknowledgment, Authority, Directions and Undertaking’, and an ‘Acknowledgement of Legal Advice by Borrower’.  The documents bore what appeared to be the client’s signatures.  The solicitor believed them to be signed by the client, but he did not witness the signing.
The Law Society and the practitioner agreed on the orders which were made.  The practitioner submitted that he had been trying to assist the client, that he was contrite, and that he had been tricked into signing the documents by the fraud of a mortgage broker whom he trusted.  The mortgage broker said the client would be borrowing money through her, was embarrassed because the practitioner had previously advised against obtaining mortgage finance, and when the practitioner asked when he could see her, the broker said the client was unable to attend the practitioner’s office due to work commitments, and provided to him the apparently already signed documents, which she said the client needed witnessed urgently.
In fact the broker was a fraudster.  The practitioner cooperated with the police and was audited by the Law Society.  They concluded he was an innocent victim of the fraud.  The mortgagee sued the client for the return of the funds successfully.  The solicitor paid the mortgagee’s costs of that action of $19,000.
The Tribunal noted that the fine was at the lower end of the range but did not interfere with the parties’ joint submissions as to penalty.
Result:
  • Reprimand;
  • Fine of $6,000 stayed 6 months;
  • Costs $2,500 stayed 6 months;
  • To be suspended in default of compliance.
Xu v Council of the Law Society of NSW [2009] NSWCA 430
(This was also the case which determined that it is not improper for a solicitor to retain a client’s passport pursuant to a possessory lien.) Handley AJA wrote the leading judgment, so far as the false attestation issue is concerned, and Tobias JA and Basten JA both agreed with it.
The solicitor saw a man who wanted to buy a property.  The man brought with him the contract.  The solicitor explained it to him and the man signed it.  The man took it away with him. He came back some days later and told one of the solicitor’s staff that his wife wanted to purchase along with him and that she had signed it.  The solicitor overheard that conversation, but did not thereafter see the contract.  Some weeks later, he signed a certificate that he had explained the contract to the purchasers, and that he had explained that by the certificate, they were renouncing their right to a cooling off period.  In fact, he had not explained the cooling off period to the wife. The solicitor said that he did not read the certificate, that he signed it carelessly.  In fact, the wife had been in China when her signature had been written on the contract by someone else.  The certificate had a space for the purchasers’ names to be inserted, but it was left blank.  The Court of Appeal said that was irrelevant.
Handley AJA said:
‘40 In this state of the evidence the Tribunal was entitled to find, as it did in substance (Red 18), that the solicitor’s failure to check the contract after he had learned that the client’s wife had signed it and her name had been added as a purchaser, reinforced by his signature of the incomplete s.66W certificate, was a representation (holding out) to the vendor and its solicitors. This representation, on which they were entitled to rely, was that the wife was also a purchaser and, after being properly advised, had knowingly waived her right to a cooling off period. The solicitor would have been liable for negligent misrepresentation and misleading and deceptive conduct if the vendor had suffered significant loss and brought proceedings. To that extent he has been let off lightly.
41 The findings of the Tribunal, so understood, do not establish “a substantial”, let alone “a consistent” failure to reach or maintain a reasonable standard of competence and diligence. However that conduct was within the definition of unsatisfactory professional conduct in s.496 (“conduct … that falls short of the standard of competence and diligence that a member of the public is entitled to expect”).
42 As a result of the solicitor’s acts and omissions an exchange of contracts between solicitors with a s.66W certificate failed to create a clearly enforceable contract for this simple transaction. However regardless of their consequences, these were momentary and isolated lapses.
43 A finding of unsatisfactory professional conduct, though not charged, was available to the Tribunal under s 562(6), and this Court has power to substitute that finding under ss.75A(6) and (10) of the Supreme Court Act and this should be done.
58 … The Tribunal’s decision that the first two charges were established should be confirmed but the finding that they constituted professional misconduct should be set aside and there should be substituted a finding that they constituted unsatisfactory professional conduct by the solicitor.
59 The solicitor’s conveyancing work in the Zhang matter was incredibly sloppy and his signing of the incomplete s.66W certificate was irresponsible. Although, by themselves, they were not acts of professional misconduct, repeated acts of this character would properly be characterised in that way. Although the acts were isolated and there is no evidence that they had been repeated in other transactions the solicitor should nevertheless be publicly reprimanded for them as acts of unsatisfactory professional conduct.
60 The fine imposed by the Tribunal for the third charge must be quashed, but the solicitor’s conduct reflected in the other charges still merits a fine which should be fixed at $1500.’
Result:
  • Tribunal’s finding of professional misconduct set aside and Court of Appeal’s finding of unsatisfactory professional conduct substituted;
  • Fined $1,500 (reduced from $2,500 fine imposed by Tribunal);
  • Reprimanded;
  • Costs (but set off against costs of passport matter in which he was successful, so no order as to costs).
Council of the Law Society of NSW v Beverley [2008] NSWADT 251
The solicitor did debt collection work for a company.  He knew its credit manager well, and had seen her signature many times.  She was on maternity leave and worked only a couple of days a week.  He also knew a commercial agent who acted for the company well.  He took instructions from and liaised with both.  The agent was sloppy with affidavits.  The sloppiness has occasioned difficulties, including adjournments.  Fearful that if he had the agent attend to the witnessing of the credit manager’s affidavit, he would not do it properly and by virtue of the credit manager’s part-time status the problem would not be cured in time, the solicitor emailed a draft affidavit to the credit manager and asked her to sign it and send it back undated and unwitnessed.  Upon receipt of such a document, he dated it and signed as witness.  He relied on it in obtaining a debtor’s bankruptcy.  Unbeknown to him, though, the credit manager had advised the commercial agent to accept a compromise and not proceed with the bankruptcy.  The solicitor became personally liable to pay solicitor-client costs of $47,000 in those proceedings.
The solicitor had been a sole practitioner for 20 years at the time of the wrongful conduct, practising exclusively in commercial debt recovery.  He had retired from law in favour of real estate about a year after the conduct, but wished to return to a different area of law, namely insolvency.  He had an income of $30,000 to $40,000 a year at the time of the hearing.
He was found guilty of professional misconduct.
Result:
  • Reprimanded;
  • Fined $2,500
  • Costs $3,500.
Law Society of NSW v Georgas [2008] NSWADT 82
A woman, her husband, and his parents were listed as borrowers on a loan document for $600,000.  The solicitor purported to witness the signatures of each borrower on the loan agreement and on the mortgage.  The borrowers purported to certify, by writing their signatures on another page of the loan agreement that they had obtained from the solicitor legal advice on the nature and effect of the loan contract and all securities to be granted, that they understood the nature and effect of the documents and that they understood the obligations and risks involved in signing the documents, and that they did so freely voluntarily and without pressure from any person.
The solicitor said that he had conducted a file review and realised that there were signed original mortgage documents on the file ‘and nothing had been done about them’.  He recalled that about 6 weeks previously, he had attended in his reception to an Indian family of two adults and two elderly parents, to witness mortgage documents.  He did not want to appear silly by ringing them to check that it was them whom he had attended on, and that he relied on his memory of the attendance to sign, belatedly, as witness.  He could not be sure that the Indian family in question had been the borrowers, because his practice was mainly conveyancing and he did many similar transactions.  There was no pressure of time to complete the transaction at the time when the solicitor signed as witness.  He could have had them rewrite the signatures.
More than three months later, the woman came to the solicitor’s office and told him that he had not witnessed her signature.  The solicitor said she admitted nevertheless that it was her signature and that she wanted to proceed with the loan, and that her concern was that her in-laws were included on the documents.
The woman contended that her signature had been forged, but the Tribunal declined to make that finding.
The Tribunal found that the conduct was professional misconduct within the Allinson test – disgraceful and dishonourable, but that it was at the lowest end of the scale.  In view of the fact that the solicitor recognised the error of his ways, and was unlikely to offend again.
Result:
  • Reprimand;
  • Fined $1,000;
  • Costs to be assessed.
Legal Services Commissioner v Flynn [2007] NSWADT 186
The practitioner had been admitted for about 5 years when the relevant conduct occurred, in June 2002.  The matter proceeded as a plea, with the Commissioner and the practitioner filing affidavits, neither requiring the other for cross-examination.  The solicitor made full and frank admissions from the outset, acknowledging the wrongfulness of his conduct.  He said at the relevant time ‘my singular focus, perhaps obsessively so, became to acquire and process as much work as possible.  It was at this point that I began to be absent from the office on a more regular basis as a result of taking instructions from all over Australia and, although I found that my levels of stress were increasing significantly, I thought I could simply work through it’.  He had lost $100,000 and foregone a lot of fees when a complex case he punted was lost.  His practice was affected by changes to the law in 2002 in relation to civil liability. He had been working at least 76 hours a week, sometimes only sleeping 4 hours a night.  His marriage had been under strain. In 2006, he sought psychological, and subsequently medical assistance in relation to his mental state.  His prognosis was good, and he had decided not to take on cases except from clients in his local area.
The solicitor had drawn a will, and a power of attorney and enduring appointment of guardian in favour of the client’s daughter.  He had seen his clients in his office in Northern NSW, but sent the documents to Northern Queensland where he claimed to have witnessed them (though it is unclear whether the will was one of these documents).
Subsequently, the solicitor acted in the face of a conflict of duties in the transfer of the client’s home to the attorney.  The Protective Commissioner successfully obtained an order to manage her affairs.  Through the Commissioner, the client lodged a caveat over her former property, claiming a beneficial interest.  The solicitor gave advice to the attorney registered proprietor about having the caveat removed.  Then the solicitor paid his bill out of trust, having obtained permission to do so from the client, when by virtue of the protective order, she was not competent to give such permission.
The Protective Commissioner had sued the practitioner for their costs of the protection application.  The solicitor had paid those costs in the sum of $63,000.
Result:
  • Reprimand;
  • Fined $4,000 stayed 3 months;
  • To be suspended in default;
  • Costs $2,500.
Legal Services Commissioner v Turner [2007] VCAT 1986
This was a decision of Judge Bowman.  The barrister signed a bank guarantee in three places, witnessing it as a legal practitioner, allegedly employed by the complainant who was the guarantor. The document contained a certification that he had explained the effects of the guarantee to her and that she appeared to understand it.  In fact, none of those things were true, and he had not witnessed the complainant’s signature.  He was a close friend of the complainant’s husband. Unbeknown to him, their relationship was rocky. But the husband assured the barrister that all was well. The barrister thought he was obliging both his friend and the complainant in doing what he did.  He signed it in a social situation.
The barrister was a practitioner of 20 years’ standing.  He had many impressive character witnesses and had done many good works.  He was deeply remorseful. The barrister ‘admitted his guilt’ from the outset, and cooperated completely and frankly with the Commissioner and the Tribunal.  He had a young daughter and a mortgage.
Result:
  • Reprimand;
  • $5,000 fine stayed 3 months;
  • $5,030 costs.
Legal Services Commission v Nguyen [2005] LPT 007 (PDF)

This was a decision of Queensland’s Legal Practice Tribunal, presided over by Chief Justice de Jersey.  The solicitor was a 35 year old with a busy suburban practice, who did a lot of community work.  This was his first ethical breach resulting in a disciplinary finding.  He purported to witness his firm’s client’s signature on a first home transfer concession form and lodged it with the revenue authorities. In fact, he did not witness the writing of the signature and did not check with the client that it was hers.  Initially, he claimed that the signature was the client’s, but later conceded that it must have been written by someone else within his firm.  Two counts of misconduct were found to be established: the false witnessing and the submission of the document to the revenue authorities.
Result:
  • Reprimand;
  • Fined $4,000 stayed 3 months;
  • Costs to be assessed.
Law Society of NSW v Shad [2002] NSWADT 236
The solicitor purported to witness the signature of the wife of a man he had known for more than two years.  Someone other than the wife signed the wife’s signature on a guarantee associated with a mortgage, a second mortgage and guarantee by companies of which she was director and shareholder, and a mortgage of a third property of which she was co-owner with her husband, and a guarantee.  The securities were associated with a loan of $910,000 from the Bank of Melbourne.
The solicitor had met the man’s wife only once, about two years before he witnessed signatures on the controversial documents. He had no recollection of what she looked like, except that she was Asian. The man, Mr Maniam, attended at the solicitor’s office and introduced his companion as ‘Jan Maniam’.  The solicitor assumed that she was the wife.  He explained the documents to the couple for 20 minutes, and then, as there were many documents to be signed, he excused himself after he had witnessed each of the man and the woman sign their signatures once.  He returned after they had finished, and signed the documents as witness.  In doing so, he represented that the document had been signed in his presence when it had not been, and that the signatory of what purported to be the wife’s signature was the signature of the wife, who was personally known to him.
The solicitor had been a sole practitioner for 25 years and had established a successful practice in the fields of conveyancing, estates and wills, employing 27 people.  He worked 12 hour days and conducted about 20-30 interviews a day.  He called 19 character witnesses by affidavit, including solicitors, barrister, senior churchmen, a law agent, and the principal of a real estate agency.  He did charitable work for the Church.  He readily acknowledged the foolishness of his conduct.  He had for a long time regretted the matters and said he would continue to do so for the rest of his life.
The prosecutor relied on a letter under cover of which the solicitor sent the mortgages to the lender’s solicitor.   In it the solicitor described them as having been duly signed and stamped.  The Tribunal said:
‘Although technically the description may be regarded as misleading, in the Tribunal’s view it does not warrant separate consideration as aggravating the misconduct evidenced by the false attestation.  This letter should properly be seen as bound up with the false allegations, it being remembered, of course, that with the letter came the very mortgages which included them.’
He was found guilty of professional misconduct.  He was also found guilty of professional misconduct in swearing a false affidavit with intent to mislead the Stamp Duties Office, and he produced a contract which had in fact been prepared in 1992 but backdated to 1987 and which he had deliberately prepared in accordance with the standard form current in 1986.  In litigation, he gave a false affidavit in relation to the same matters, and the Tribunal disbelieved the solicitor’s plea that the dishonesty was inadvertent.
Result (with no apportionment between the two charges):
  • Fine $35,000
  • Costs to be taxed.
Law Society of NSW v Andreone [1999] NSWADT 14
The solicitor, of 28 years’ standing, purported to witness a signature on an affidavit and take an oath when he was not present when the affidavit was signed and the oath was not taken in the proper manner.  It was an affidavit of documents. The representative of the client had signed the affidavit and faxed it to the solicitor.
The solicitor prepared a statement of claim for a client who instructed him to commence proceedings but failed to file them for years.  He frequently told her that they were filed and proceeding well.  There was similar conduct in another two matters as well.  In one of them, the solicitor made time recording entries which were false to suggest he had been to court when he had not.
The solicitor failed to commence proceedings for another client within the limitation period and then applied to extend the time without instructions from the client and without having advised the client of the failure.
The solicitor failed to file a document within time, with the result that an application was made to strike his client’s proceedings out.  The solicitor failed to advise the client, obtained adjournments several times without instructions, and consented to the strike out and an adverse costs order without instructions to do so.
Result:
  • Reprimand;
  • Fined $25,000;
  • Ordered to be paid costs to be taxed.
Matter of M / In the matter of Lynette Robyn McLardy [1998] 3 LPDR 23 (I have a copy)
This was a decision of the NSW Legal Services Tribunal.  The solicitor acted for the wife in Family Court proceedings.  The court ordered the husband to transfer a property to the wife.  The solicitor posted a transfer for the husband’s signature to his solicitor.  The husband said she was not to send further correspondence to his solicitors.  She re-sent the transfer directly to him for his signature.  She received it back from the husband, signed but not witnessed.  The solicitor repeatedly tried to have the husband re-sign the form in her presence as witness.  She even dropped in at his house several times.  Under pressure from the wife who needed the signed transfer in order to settle a loan, the solicitor signed as witness.  The form contained a representation on behalf of the witness that the transferor had signed in the witness’s presence, and that he was personally known to her.  The solicitor said she knew the husband’s signature, but acknowledged that the husband had never made any representation to her that he had signed the transfer.
The solicitor had many good works to her credit, and many glowing character references.  She was remorseful and had admitted her wrongdoing from the outset.  The conduct was characterised as fraudulent.  It appears to have been accepted that specific deterrence was not necessary, but general deterrence required a fine rather than just a reprimand and a costs order.
Result:
  • Reprimand;
  • Fine $2,000 stayed for four months, in default of payment: suspension until paid;
  • Costs: $3,433.
Fraser v Council of the Law Society of NSW [1992] NSWCA 1992
The solicitor applicant had been struck off the roll of practitioners at first instance, and successfully appealed.  The Court of Appeal substituted a reprimand and a fine of $7,000.  The solicitor had worked from a cubicle within a conveyancing company at Woollongong.  An employee of the Wagga Wagga office of the conveyancing company rang him. He knew and trusted this employee.  The employee told him that two clients of the conveyancing company urgently needed a certificate of advice.  He was told that a lawyer whose abilities he respected had already been given the advice the subject of the certificate, but had declined a certificate from the lawyer because he did not hold a practising certificate and could not establish that he held professional indemnity insurance.  The solicitor signed the certificate, falsely representing that he had personally advised the clients, whom he had never met.  Later, the mortgagee’s solicitor rang, and the solicitor told him that he had signed the certificate and held a full practising certificate.  The mortgagee’ solicitor telephoned again, and specifically enquired whether the solicitor had explained the mortgage documents by phone or in person.  The solicitor said ‘You have got the certificate of explanation.  You can rely on that.’  Pressed by the mortgagee’s solicitor about his personal attendance, the solicitor said:
‘You’ve got the certificate of explanation. You can rely on that and that’s all that need’s to be said.’
When investigated by the Law Society, the solicitor said he had difficulty remembering the case, but felt sure that this particular transaction was conducted by telephone.  At the disciplinary hearing, the solicitor resisted a finding that he had engaged in fraud, but later came to recognise that that was an appropriate characterisation of it.  The Law Society pressed for a substantial fine. The disciplinary Tribunal struck him off.
Result:
  • Fine $7,000 stayed;
  • Costs on a solicitor-client basis to be paid by solicitor.


See also:

Tags: "disgraceful and dishonourable" · common law · Discipline · Misconduct · Unsatisfactory conduct

24151 responsehttp%3A%2F%2Flawyerslawyer.net%2F2011%2F04%2F10%2F2415%2FLawyers%27+false+attestation+of+documents+and+fraudulent+certificates+of+advice2011-04-10+05%3A14%3A47stephenhttp%3A%2F%2Flawyerslawyer.net%2F%3Fp%3D2415 so far ↓

  • 1 Brian // Apr 13, 2011 at 7:08 pm
    If my recollection serves me correctly, there was a case in Queensland sometime in the late 1990s / early 2000s involving a young practitioner in one of the larger firms in Brisbane who was struck off for falsely attesting to having witnessed a signature on a mortgage document. I think the story was that she felt pressured into signing the document after having been asked to do so by her supervising partner. For the life of me though, I can't seem to locate a copy of the case.

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Wednesday, May 25, 2011

MY LETTER TO THE LISTINGS OFFICER GIVING MY REASONS AS TO WHY THE VEXATIOUS PROCEEDINGS BY THE PRINCIPAL REGISTRAR IN CIV 1689 OF 2011 IS NOT AVAILABLE TO BE HEARD ONLY AFTER THE 11.10.2011.

Our Ref: CIV1689 OF 2011.  
Your Ref: CIV1689/11

May 25, 2011

The Listings Officer
Supreme Court of Western Australia
Stirling Gardens,
Barrack Street
Perth WA 6000.
Phone: 08 9421 5333 Fax: 08 9221 4436   BY FACSIMILE
Atten: Peter

Dear Sir

CIV 1689 OF 2011: THE PRINCIPAL REGISTRAR OF THE SUPREME COURT OF WESTERN AUSTRALIA V NICHOLAS NI KOK CHIN

Thank you for your telephone call this morning.  As per your request, I am giving you the reasons why I want the above matter to be listed after the 11.10.2011:

a)       I believe the State Administrative Tribunal of WA under His Honour Judge Sharp is now prepared to conduct the trial of my case in VR87 of 2009 in a manner that is fair and just to me, having regard to the most recent transcript of the directions hearing dated 8.4.2011 that is made available by me at my blogspot which you can access by Googling NICHOLASNCHIN.  That hearing is scheduled to be heard on 11.10.2011 and I will have to prepare a written submission for it.   I therefore do not want CIV 1689 of 2011 to precede it (the Vexatious Proceedings).
b)       The Vexatious Proceedings is misconceived by the Principal Registrar of the Supreme Court of WA in that it (the Vexatious Proceedings) itself is vexatious in that it tries to abrogate a non-vexatious proceedings in CIV 1981 of 2008. The latter case was filed by me since the 28.6.2010 which has so far not been heard and yet you want the Vexatious Proceedings to be heard so soon.  There must be something fishy here?  The latter is my Application for Mandamus Orders against His Honour Ken Martin J who had refused to recuse himself from hearing Michelides No.2 which has since caused me a lot of heartache.  The reason for this Application is that His Honour refused to answer my questions put to him in writing as to why he had refused to recuse himself when it is plain and clear to everyone that His Honour was biased and prejudiced against me and did not accord me with fair justice. 
c)       Michelides No.2 had resulted in my Appeal in CACV 75 of 2010, my High Court Application for Special Leave in P50 of 2010, another application in CIV 1491 of 2011 before Allanson J that was heard on 11.5.2011.  Most recently, it had caused me to write a complaint to the Chief Justice and the Chief Judge of the District Court in relation to Registrar Wallace having falsified the court records in making her Security Costs Order on 9.5.2011 for my payment of $100.00 which was “extorted” from me for no apparent reason and which I had inadvertently paid into the District Court in DC Appeal No.6 of 2008 on 24.1.2008. 
d)       Registrar Wallace’s Order is reasonably seen as a clandestine effort to regularize the improper Security Costs order of Ken Martin J in Michelides No.2 so as to put the “cart back after the horse” so as to accord with the reasoning of the High Court in P50 of 2010. (We must not have any adverse feelings about the High Court dismissing my application for special leave to appeal as it is the norm).  
e)       I have made three Applications for Leave to Appeal to the High Court namely P36 of 2009, P1 of 2010 and P50 of 2010 and they are in relation, respectively, to my dispute with the usurping regulator (of the Practice Board of Western Australia who are its Pseudo Members, which unlawfully restrained my independent legal practice for no other reason than to protect their cronies and its all happened through the conspiracies of the former Presidents of the Law Society of WA who are Chaney J, Judge Eckert and Mr. Pino Monaco) David Taylor Solicitor and Timothy Robin Thies Solicitor. It is very clear from the proceedings with regard to Taylor and the Thies cases that they have done me great injustice and great wrongs.  There is a mystery behind the Pseudo Board having persistently pursued me for “deficiency of professional knowledge” culminating in Justice Chaney pre-designed judgment in VR87 of 2009 in the aftermath of the  Consent Judgment entered into between myself and the LPB in CACV 43 of 2008 to set aside Judge Eckert Judgment in VR137 of 2006.   I do not understand why there is a conspiracy to pursue me for “deficiency in my professional knowledge” under unjustifiable circumstances and if this is not vexatious, what is?   
f)        They are infecting the members of the judiciary who are “reasonably seeming to be” protecting them or their cronies in terms of Taylor, Thies and the Pseudo Board, namely: Registrar Powell, Pullin, Newnes, Owen JJA and Heenan, Allanson and Le Miere JJ.  They are reasonably not observed to be exercising their independence and they are not exercising their duties and their respective oaths of office as judges in accordance with the law by evading the issues that are before them.  Unless and until I receive statements of reason that are delivered by the judges precisely on the issues that I have pleaded before them, will I then stop from accessing justice and be satisfied with their verdicts. 
g)       If it were otherwise, I am not barred by the principles of res judicata to continue my pursuit for justice, which I know is elusive and illusive.  In the process, many people or members of the public are being swindled by a failing justice system.  My cases include CACV 105 of 2008, CACV 75 of 2010, CIV 1604 of 2010, CIV 1019 of 2010 and CACV 41 of 2010 and also VR 107 of 2008 and VR137 of 2006.  It is strange that Judge Eckert in VR137 of 2006 had decided on the same issues that I am not guilty of professional misconduct or unsatisfactory conduct but only guilty of “deficiency of my professional knowledge” and that the LPCC is pursuing me on the same matter vexatiously and maliciously again in VR87 of 2009. 
h)       On the other hand, I have been defending myself on non-res judicata matters only but I am being claimed by the Principal Registrar in CIV 1689 of 2011of having abused the court process or is considered to be a vexatious litigant.  I have written to the State Solicitor who is the solicitor for the Principal Registrar requesting for a response to my queries as to why the State Solicitor is not respecting his own duties and obligations to be candid and not to abuse the process of court by filing a malicious prosecution against me in CIV 1689 of 2010 which is causing me undue hardship and stress.  I have not received any response to my letters which are available at my blogspot as indicated earlier. I do not intend to spend a lot of time fighting this uphill battle if the courts are already preset to do me injustice.  All the evidence that need to be used as my defence are already filed and it is for the simple reason that they are not being looked at by the Justice and not being explained in the statement of reasons that I have to fight an uphill battle.   My blogspot is replete with examples of injustice to me only if the Justices are willing to read and digest them and look at one side of the story.  So far I have only found Justice Hasluck, Justice Barker, Justice Simmonds and Judge Sharp, Buss JA, McLure JA who are righteous in their ways and conduct.  Justice Heenan, Justice Allanson and Justice Le Miere are prepared to do justice only if only they could avoid the risk of offending their peers.  Laws are supposed to be administered without fear and fervour but this is not true in practice but only true in theory.   

In the circumstances as explained, I am therefore not a vexatious litigant.  I await the answers of the State Solicitor to my letters which deal directly with this point.   I want to get away from the stressful circumstances arising directly by the respective Justices refusing to do justice to me in accordance with the law by evading the issues to be decided by them.  I have never abused the courts process by having the same issues re-litigated as they are issues that will never go away as long as the Justices refuse to have them litigated and have them settled once and for all.   As a consequence, I am only available after the 11th day of October, 2011 for the hearing of CIV 1689 of 2011, if I am required to do so by then.  

Yours faithfully


NICHOLAS N CHIN

Saturday, May 21, 2011

MY FACSIMILE LETTER DATED 22.05.2011 TO LPCC RESPONDING TO MY LETTER REGARDING THE REFUSAL OF MR. ANTHONY PRIME TO RETURN MY LEGAL FEES AS SALVOR OF NANCY HALL ESTATE

Your Ref: 85/11
Our Ref: APRIME CACV107/2008
Sunday, May 22, 2011

The Legal Practitioners Complaints Committee
Atten: Ms. B Chandran
Legal Officer Rapid Resolution Team
2nd Floor, Colonial Building, 55 St. Georges Terrace, PERTH WA 6000
Phone: 08 9461 2299 Fax: 08 9461 2265   BY FACSIMILE (22 PAGES)

Dear Sir

MY COMPLAINT ABOUT MR. A PRIME

I refer to the above matter and to your letter dated 16.5.2011 responding to my complaint dated 20.4.2011.

In relation to paragraph 3 of your letter, I wish to state the following:
a)                  Mr. Anthony Prime made the undertaking through Ms. Audrey Hall that the sum of $20k is to be paid into the trust account of his legal firm of McCallum Donovan Sweeney to be held in trust for me (the trust account).
b)                  The sum of $20k is to be paid into the trust account upon the one of the triggering events: either the Mt. Lawley property be sold or the Hazelmere Property be sold.
c)                  He knows that the monies is to be held in the trust account is for me as the beneficiary and its payment to me cannot be contingent upon the outcome of the appeal in CACV 107 of 2008 (but is contingent upon the sale or transfer of the two properties and both properties have now been transferred to the name of parties who are other than Mrs. Audrey Frances Hall herself) on the ground the purpose of its payment is for my solicitor works done for Nancy Hall Hall in CIV 1142 of 2005 to remove the Caveat of Spunter Pty Ltd. 
d)                  I refer you to paragraph  4  of Mr. Anthony Prime’s letter to me dated 16.5.2011 responding to my letter to him dated 8.4.2011, a copy of which is attached for your retention (marked NNC1-1 to NNC1-3).  The Court of Appeal issued an Order of Pullin JA delivered on 13.2.2009 in the Order issued by the Court of Appeal Registrar dated 16.2.2009 that my application dated 27.1.2009 for stay of execution of Master Sanderson’s Order in CIV1775 of 2008 dated 29.10.2008 be dismissed (NNC2-1 to NNC2-2).  Please compare the two documents and see if Mr. Anthony Prime is misleading me in stating that Pullin JA dismissed my application for stay of execution of Master Sanderson’s Order or is it that Pullin JA exchanged the stay of execution for the undertaking of Ms. Audrey Hall to pay the $20k for me as the beneficiary into the trust account of her solicitors Mc Callum Donovan Sweeney.  There is no doubt that you would reasonably find the latter is the proposition of Pullin JA and that Mr. Anthony Prime is wrong in making that statement. The fact that her solicitors is holding the trust monies for me as the beneficiary is equivalent to an undertaking of Mrs. Audrey Hall herself to pay me those monies when I demanded for it.  A breach of this undertaking is therefore a serious misconduct on the part of Anthony Prime as a solicitor for all intents and purposes of the dealings entered into between the parties. 
e)                  If you were to look at the contents of my email letter dated 7.4.2011 at 6.37 pm responding to Mr. Anthony Prime’s earlier email of the same date at 11.31 am, you would have realized that the latter is in the know about the seriousness of my allegations against him that is being summarized by paragraph 2(a) to (e) of your letter.  I am providing you a copy of this email correspondence marked as NNC3-1 to NNC3-2).   You will also note that both NNC2 marked as pages 78 to 79 and NNC3 marked as pages 83 to 84 referred to above in 4 pages are contained in my Yellow Appeal Book as marked.  They are therefore within the knowledge of Mr. Anthony Prime and if he had failed to alert Owen JA to those effects and had allowed His Honour to make that material decision in error, the fault can only be pin-pointed to Mr. Anthony Prime.  He continues to do this by paragraph 5 of his letter dated 16.5.2011 by stating that the Court of Appeal dismissed my appeal in CACV 107 of 2008 on 9.12.2009 when he should be one to prevent Owen J from committing this material fresh evidence mistake which is being continued to be made by Pullin JA for which I had to point that out in my letter dated 14.4.2011 found at my website http://nicholasnchin.blogspot.com/2011/04/disparity-in-enforcements-of-rules.html and my second letter to explain why Justice Pullin JA is wrong in his judgment on 1.4.2011 found at:
f)                   Please find attached my email response to the Registrar of Titles and to Maurice Law when I received the Court of Appeal Registrar facsimile letter to me dated 18.2.2009 containing the Order of the Court of Appeal Registrar dated 18.2.2009 which refers to the Order of Pullin JA dated 6.2.2009 which was not what it seemed to be i.e. my application for the stay order of Master Sanderson Order be reserved but not be stayed. See NNC4-1 to NNC4—3).  The reversal of Pullin JA decision stems from the dispute that Anthony Prime who was not willing then to give that undertaking to the court himself that he himself to pay that $20K to me pending the finalization of the Appeal in CACV 107 of 2008 (the Reversal of Pullin JA decision).  
g)                  The Reversal of Pullin JA decision is being evidenced by email correspondence between the Registrar of Titles, Registrar Eldred and the Research Associate of Pullin JA Ms. Rachel Mounsey as contained in my email correspondence dated 6.4.2009 in 4 pages marked as NNC-5-1 to NNC5-4 as attached. 
h)                  Further correspondence between Mr. Anthony Prime, the Associate of Pullin JA and the Registrar of Titles dated 10.2.2009, 11.2.2009 and 17.2.2009 indicate that the parties have agreed for the impugned caveat to be removed and that Anthony Prime is to pay me the sum of $20k with interests pending the finalization of the appeal but that payment was not to be made contingent on the success of my appeal in CACV 107 of 2008 which occurred on 9.12.2009.  Notwithstanding, the matter of my final success of the Appeal now being in the hands of Commissioner Sleight in CIV 1877 of 2010. this payment of my legal fees of $20k with interests to me should therefore be paid to me as soon as I have made a proper demand for them as from the 8.4.2011 (See Attached documents marked NNC-6-1to NNC-6-6).    

I have received some documents from Mr. Maurice Law with regard to his complaint against Mr. Anthony Prime with regard to the way the estate of Nancy Hall has been defrauded by her sister in law Mrs. Audrey Frances Hall who is the client of Mr. Prime.  This fraud occurs in the after-math of the death of Nancy Hall on 13.1.2008.  It has so transpired that when Mr. Law sought to be joined as a party to the Appeal of the one Mrs. Michele Marie Gannaway as administrator of the estate of Nancy Hall in CACV 53 of 2007 bringing with him the evidence of how the fraud of Mrs. Audrey Hall had taken place, the latter in her guilty-flee conduct had now “thrown back” the estate of Nancy Hall which she had achieved through that fraud back into the laps of the Mrs. Gannaway, who is the rightful heir of Nancy’s estate., by virtue of the latter being the only daughter of Nancy Hall   

Yours faithfully
NICHOLAS N CHIN