11 Discip Proceedings
11 Discip Proceedings
11 Discip Proceedings
ACTUAL MACHINERY:
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Inquiry Committee to commence inquiry and
submit its findings and recommendation to the
Council
1.1 Complaints
Section 85
(1) Any complaint of the conduct of an advocate and solicitor shall in the first place be made to the Society
and the Council shall refer the complaint to the Chairman of the Inquiry Panel.
- Process: Complaint to Law Society Council refers to Chairman of Inquiry Panel
- Very impt: A “complaint” must be one touching upon the conduct of an advocate and solicitor
Complaint – a complaint that concerns a civil dispute simpliciter, unaccompanied by any allegation of
misconduct, does not constitute a ‘complaint of the conduct’ within s. 85(1): Re Cashin Howard [1989] 3
MLJ 129
Cashin - Facts:
The respondent was an advocate and solicitor of the Supreme Court and a senior partner of the law firm of
Murphy and Dunbar. In the present proceedings, an order nisi was made to discipline him under s 80 of the
Legal Profession Act (Cap 161) (the Act) and he was ordered to show cause why he should not be dealt with
accordingly. The facts as far as they were undisputed were as follows. The complainant instructed the
respondent to act for a company (the company) of which the complainant was, at all material times, a director
and principal shareholder. The respondent was instructed to resist a winding-up petition (the petition) that had
been presented against the company. The respondent accepted the instructions and assigned a legal assistant in
the firm to assist him in the matter. The petition against the company was dismissed. Later, the taxed party and
party costs which were awarded to the complainant were paid by the respondent`s law firm into the office
account.
The events that followed the dismissal of the petition were acutely in dispute. The complainant claimed that
the respondent had agreed to limit the costs payable by her to $25,000 to the respondent`s law firm. The
respondent denied that he had agreed to this and claimed that the agreement was that such costs would only be
limited if the petitioner (of the winding-up petition) was unable to bear the party and party costs awarded
against it. After that, the complainant wrote a letter, enclosing correspondence between herself and the
respondent`s law firm, to the Law Society describing the events that had occurred and sought the help of the
Society in resolving their dispute. Disciplinary proceedings against the respondent were started. He was
charged with breach of r 3 of the Solicitors` Accounts Rules 1967 by paying client`s money into the office
account, breach of s 109(1) of the Act in that he taxed party and party costs in excess of the agreed solicitor
and client costs, and the wrongful appropriation of party and party costs which lawfully belonged to the
complainant. The Disciplinary Committee (the Committee) hearing the matter determined that cause of
sufficient gravity existed against the respondent in respect of all three charges. The Committee concluded that
although the complainant`s letter to the Law Society did not expressly allege misconduct by the respondent,
due allowance should be made for the fact that it was written by a lay person. There was thus a complaint
under s 82(1) of the Act. The Committee also decided that each partner in the respondent`s law firm had a
joint responsibility to ensure that there was no breach of the Solicitors` Accounts Rules. As regards the second
charge, the Committee found that the complainant was a more credible witness than the respondent, and found
the respondent guilty of the charge. In relation to the third charge, the Committee decided that the party and
party costs which were appropriated to the office account wer e undoubtedly in accordance with normal book-
keeping practice, taken as profit for the year which was distributable as profit among the partners of the firm,
and there was no evidence from an accountant or auditor to prove the contrary.
Holdings:
Helddischarging the order nisi to show cause:
(1).A `complaint` meant an accusation of misconduct. A complaint that concerned a civil dispute simpliciter,
unaccompanied by any allegation of misconduct, did not constitute a `complaint of the conduct` within s 82(1)
of the Act.
(2).In the complainant`s letter to the Law Society, she made no allegation of impropriety or misconduct on the
part of the respondent. The letter merely sought guidance and help in the dispute with the respondent`s law
firm. Since the letter made reference to and enclosed an exchange of correspondence between the complainant
and the respondent`s law firm, it was necessary to examine these in some detail to see whether or not they
contained any allegation of misconduct against the respondent personally.
(3).The letters showed that there was a dispute between the complainant and the respondent`s law firm as to
the precise terms of the agreement that they had entered into regarding costs. There was no suggestion that the
respondent had ever intended to deprive the complainant of anything that might be due to her.
(4).This was a dispute which should be resolved in a civil court. A breach of contract simpliciter could not in
any way constitute an allegation of misconduct.
(5).The Committee hearing the matter took the approach that the complainant could not be expected to put her
allegations in legal language or to refer to the provisions of the Act. This, however, ignored the fact that the
complainant`s letter of complaint was drafted with the assistance of another advocate and solicitor. The
conclusion of the Committee was thus against the weight of evidence, and without foundation. There was
therefore no valid `complaint` against the respondent and the proceedings failed at the outset.
(6).The first charge against the respondent was a charge of a personal character, and related strictly to the
conduct of the respondent himself. It was agreed that at the time of the payment of the money into the office
account, the respondent was not in Singapore and had nothing to do with the payment.
(7).The Committee`s conclusion that there was joint responsibility for the payment failed to distinguish
between `joint and several responsibility`, a civil responsibility, on the one hand and a disciplinary
responsibility on the other. The exercise of disciplinary power was essentially punitive and penal and was
exercised in appropriate cases only where there was personal complicity by the solicitor charged. In certain
cases, the negligence of a solicitor in relation to a client account could amount to professional misconduct, `if
it is inexcusable and is such as to be regarded as deplorable by his fellows in the profession`.
(8).In the present case, the Committee made no finding that the respondent was personally implicated in the
breach of the rules, and there was no evidential basis for such a finding. The first charge therefore failed.
(9).As regards the second charge, in deciding whether the Committee came to the correct finding that there
was an oral agreement between the respondent`s law firm and the complainant limiting solicitor and client
costs to $25,000, the whole of the evidence had to be examined to see if the evidence pointed to equal
probability of an agreement which was as the respondent claimed in his defence.
(10).The Committee`s findings were essentially matters of fact, but where it appeared from the evidence that
the wrong decision in fact has been reached, it could be reversed, due regard being had to the court`s
disadvantage in not seeing or hearing the witnesses.
(11).There was no dispute that there was an agreement respecting costs, the dispute relating solely to the terms
of the agreement. It was necessary to test the assessment of the Committee, on an objective litmus test, by
reference to a number of specific issues.
(12).The findings of the Committee on the second charge could not be sustained. Because of this decision, it
was unnecessary for the court to deal with the alternative submission.
(13).In a fundamental sense, the third charge was contingent upon the first charge. Since the respondent was
not personally implicated in the first charge, the person responsible for the appropriation under the second
charge was not the respondent. The Committee failed to appreciate that they had no basis for their inference.
In the absence of evidence from the firm`s accountant or a public accountant, it was not a matter on which the
Committee could properly infer that the appropriated money would, in any event, have been appropriated at a
later date by the respondent and his partners. The onus of proof lay throughout on the Law Society to prove
that wrongful appropriation took place. This onus was not discharged.
1. Council –
• “1st filter”
• Cannot reject even frivolous claims
• As long as concerns conduct of advocate and solicitor
• May on its own motion refer any information touching upon conduct of advocate and solicitor to Chairman
of IC
• The council must inform the advocate and solicitor concerned of any complaint it refers to the Chairman of
the IC
- Council may on its own motion refer any info touching on conduct of adv and sol to chairman of inq
panel
- Supreme court or judge thereof or AG can also lodge complaint
Can be sent to chairman of inq panel or discip committee if severe – choice given to them
o In event tt complaint sent, adv and sol must be informed by the council that it has been sent
• Review committee:
Council will refer the application or complaint to the Chairman of the Inquiry Panel (s. 85(1) the Act),
who shall constitute one or more review committee (s. 85(6) the Act)
Review Committee will review the complaint within 2 weeks of its constitution (s. 85(7) the Act)
Shall either direct the Council to dismiss the matter or refer the matter back to the Chairman of the Inquiry
Panel
Complaints against advocates and solicitors
85. —(1) Any complaint of the conduct of an advocate and solicitor shall in the first place be
made to the Society and the Council shall refer the complaint to the Chairman of the Inquiry
Panel.
(6) Where any complaint or information touching upon the conduct of any advocate and
solicitor is referred to the Chairman of the Inquiry Panel under subsection (1), (2) or (3), the
Chairman shall immediately constitute one or more Review Committees consisting of —
(a) a chairman, being the Chairman himself or a member of the Inquiry Panel who is an
advocate and solicitor; and
(b) a legal officer who has not less than 10 years’ experience,
to review the complaint or information within 2 weeks of its constitution.
[15/89;41/93;35/2001]
(7) A Review Committee may, in the course of a review under subsection (6), require the
complainant or the advocate and solicitor concerned to answer any inquiry or to furnish any
record that the Review Committee considers relevant for the purpose of the review.
- New amendment to the Act enables the Chairman of the Inquiry Panel to constitute 1/ more Review
Committees
- 2 Members = Chairman/ advocate and solicitor from Inquiry Panel + legal officer
- If Review Committee is of unanimous opinion that the complaint is frivolous, vexatious, misconceived
or lacking in substance, can dismiss the complaint
To sieve such complaints
- New section 85(21) makes it an offence for any person to make a complaint against an advocate and
solicitor which he knows to be false
Section 85(21)
Any person who makes a complaint to the Society under this Part which he knows to be false in any material
particular shall be guilty of an offence and shall be liable on conviction to a fine not exceeding $5000.
• Inquiry Committee:
Extent and manner of application of the rules of natural justice by the IC?
Subbiah Pillai v Wong Meng Meng & Ors [2001] 3 SLR 544 – read this case!!!!
Facts
An Inquiry Committee (“IC”) of the Law Society of Singapore was appointed to inquire into a complaint lodged
by clients against the appellant, an advocate and solicitor. In the course of the IC process, the IC interviewed one
of the complainants in the absence of the appellant. As the complainants alluded to an earlier complaint against
the appellant about certain moneylending activities (“the moneylending complaint”), the IC gave notice to the
complainants and the appellant to make written submissions to the IC. The appellant objected to the IC inquiring
into the moneylending complaint, whereupon the IC invited the appellant to submit on whether the IC had
jurisdiction to hear the complaint. Although the IC Chairman did not think that the appellant was entitled to the
complainants’ written submission as of right, a copy of it was given to the appellant. A copy of the appellant’s
submission was also given to the complainants. The appellant requested for an extension of time to make
submission on the jurisdictional issue but the request was not granted.
The appellant commenced the present action to challenge the manner in which the IC proceedings had been
conducted and sought a declaration that the IC proceedings were null and void and for an injunction to restrain
the IC from proceeding with the inquiry. It was contended that the IC had acted in breach of the rules of natural
justice when it interviewed the complainant in private in the absence of the appellant, when a copy of the
appellant’s explanation and written submission was given to the complainants, when the moneylending
complaint was considered by the IC, when the IC used the complainants’ submission to question the appellant
and when it refused to grant an extension of time to the appellant to make submission on the jurisdictional issue.
In the court below, the judicial commissioner did not think that the rules of natural justice had been infringed in
the course of the IC process and he dismissed the appellant’s claim. The appellant appealed.
Statutory body with powers vested under the Act (s. 84)
Appointment of Inquiry Panel
84. —(1) For the purpose of enabling Inquiry Committees to be constituted in accordance with
this Part, the Chief Justice shall appoint a panel (referred to hereinafter as the Inquiry Panel)
consisting of such number of advocates and solicitors (whether in practice or not) and lay
persons as the Chief Justice may determine.
[30/86;15/89;35/2001]
(2) An advocate and solicitor shall be eligible to be appointed as a member of the Inquiry Panel
if he has not less than 12 years’ standing.
(3) A member of the Inquiry Panel shall be appointed for a term of 2 years and shall be eligible
for reappointment.
[15/89]
(4) The Chief Justice may at any time remove from office any member of the Inquiry Panel or
fill any vacancy in its membership.
(5) The Chief Justice shall appoint a member of the Inquiry Panel to be the Chairman.
Composition of the IC
The Panel is composed of solicitors of not less than 12 years’ standing, and lay persons
The Chairman (who is to be a solicitor) will have the casting vote (s. 85(14) the Act)
ALL members present at an Inquiry Committee meeting shall constitute a quorum – section 85(15) – ie they
have eq voting powers and this includes the lay person
Section 86(1)
Subject to subsection (2), (3) and (4), an Inquiry Committee shall, within 2 weeks of its appointment,
commence its inquiry into any complaint or information touching upon the conduct of an advocate and
solicitor and report its finding to the Council…
*Where the Inquiry Committee feels that the solicitor concerned should be called upon to answer any allegation
made against him…
- read statute – investigation must be done within 2 mths/ 3 mths fr date of apptment depending. 6 mths max
- Notice must be given to the solicitor – section 86(6)
This provision is imperative, rather than merely directory: Isaac Paul Retnam v The Law Society of
Singapore [1976] 1 MLJ 195
Notice will be issued to the solicitor under s. 86(6) the act, inviting him to explain his conduct
Inquiry
86. —(6) Where an Inquiry Committee is of the opinion that an advocate and solicitor should be
called upon to answer any allegation made against him, the Inquiry Committee shall —
(a) post or deliver to the advocate and solicitor concerned —
(i) copies of any complaint or information touching upon his conduct and of any statutory
declarations or affidavits that have been made in support of the complaint or information; and
(ii) a notice inviting him to give within such period (not being less than 14 days) as may be
specified in the notice to the Inquiry Committee any written explanation he may wish to offer
and to advise the Inquiry Committee if he wishes to be heard by the Committee;
(b) allow the time specified in the notice to elapse;
(c) give the advocate and solicitor concerned reasonable opportunity to be heard if he so desires;
and
(d) give due consideration to any explanation (if any) given by him.
As a general rule, the complainant has no right to be heard: Yusuf Jumabhoy v Law Society of Singapore [1988]
1 MLJ 491; Seet Melvin v The Law Society of Singapore [1995] 2 SLR 323
Yusuf Jumabhoy - Facts:
The plaintiff lodged a complaint with the Law Society against Teo Eng Leong, an advocate and solicitor, for
extortion. The complaint was duly sent to the Inquiry Committee for investigation. The Inquiry Committee
completed its investigation and concluded that a formal investigation was not required. The Council of the
Law Society accepted the recommendation of the Inquiry Committee that the complaint be dismissed and
accordingly informed the plaintiff. The plaintiff then wrote to the Council for its reasons in writing and also
for certain particulars relating to the identities of the members of the Inquiry Committee and the manner in
which they arrived at their decision and also to be given a copy of the said recommendation. The Council in its
reply declined the plaintiff`s requests.
The plaintiff, being dissatisfied with the determination of the Council, applied under s 96 of the Legal
Profession Act (Cap 161) (the Act) for an order that the Law Society be directed to apply to the Chief Justice
for the appointment of a disciplinary committee to investigate into the said complaint.
Holdings:
Held, dismissing the application:
(1).Save for s 87(5), the Act had not prescribed any procedural requirements that the Inquiry Committee must
follow in investigating a complaint against an advocate and solicitor. Section 87(5) was not intended to confer
any rights on a complainant but to provide an opportunity to the advocate and solicitor complained against to
reply to allegations against him and to request an oral hearing. There was nothing in s 87(5) to say that even if
he were to request an oral hearing, he would be automatically entitled to one.
(2).The plaintiff had no right to an oral hearing before the Inquiry Committee.
(3).In any case, the plaintiff`s contention that he was not heard by the Inquiry Committee had no bearing on
the substance of the application;
(4).There was nothing in the plaintiff`s complaint which could amount to the commission of extortion on the
part of Teo.
(5).As the Inquiry Committee had not, on its own motion, under s 87(1)(b) of the Act, to deal with any other
possible misconduct arising from the complaint, this court was in no position to consider it.
Formal evidence is rarely taken and, even if the complainant or the solicitor is examined, they are not examined on
oath although the Inquiry Committee has the power to do so pursuant to s. 86(11) the Act
If the Inquiry Committee comes to the conclusion that the conduct is not serious, it has powers to recommend
to the Law Society that a fine (of not more than $5,000) would be adequate in the circumstances
The Council will inform the solicitor of its intention to impose a penalty and give him an opportunity to be heard by
the Council (s. 86(7) the Act read with s. 88(3))
Inquiry
86. —(7) The report of the Inquiry Committee shall, among other things, deal with the question
of the necessity or otherwise of a formal investigation by a Disciplinary Committee and, if in the
view of the Inquiry Committee no formal investigation by a Disciplinary Committee is required,
the Inquiry Committee shall recommend to the Council —
(a) a penalty sufficient and appropriate to the misconduct committed; or
(b) that the complaint be dismissed.
(11) Subsections (2) to (6) of section 91 shall apply, with the necessary modifications, in
relation to an Inquiry Committee as they apply in relation to a Disciplinary Committee and the
references in those subsections to a Disciplinary Committee shall be read as references to an
Inquiry Committee.
Council’s power to order penalty
88. —(3) Before the Council makes an order for the payment of a penalty under this section, it
shall notify the advocate and solicitor concerned of its intention to do so and give him a
reasonable opportunity to be heard by the Council.
Section 86(7)
The report of the Inquiry Committee shall, among other things, deal with the question of the necessity or
otherwise of a formal investigation by a Disciplinary Committee and, if in the view of the Inquiry Committee
no formal investigation by a Disciplinary Committee is required, the Inquiry Committee shall recommend to
the Council –
(a) a penalty sufficient and appropriate to the misconduct committed; or
(b) that the complaint be dismissed.
Despite s. 66 of the Act (which governs confidentiality of Council and Inquiry Committee proceedings), both the
respondent and complainant are entitled to a copy of the Inquiry Committee’s Report upon request: Abraham v Law
Society of Singapore [1991] 3 MLJ 359
Facts:
The plaintiff is an advocate and solicitor against whom a complaint was made to the Law Society of Singapore
(the Law Society). An inquiry committee was convened to investigate into the matter. A copy of the complaint
was forwarded to the plaintiff and he was invited to give a written explanation to the inquiry committee and to
appear before it. The plaintiff did both.
On 6 June 1990, the executive secretary of the Law Society informed the plaintiff that the inquiry committee
was of the view that no formal investigation before the disciplinary committee was necessary but had
recommended that a penalty be imposed against him for improper conduct. He was also informed that before
the Law Society Council imposed a penalty on him the council wished to know whether he wished to be heard
pursuant to s 85(3) of the Legal Profession Act (Cap 161) (LPA).
The plaintiff indicated that he wished to be heard and he wrote to ask for a copy of the inquiry committee
report. The executive secretary indicated that the society would not accede to the request unless directed to do
so by the court, thereby necessitating this application.
The plaintiff argued that the words `reasonable opportunity to be heard` in s 85(3) necessarily implied that the
plaintiff was entitled to know what the case against him was and for this purpose he is entitled to a copy of the
report.
Holdings:
Held , dismissing the application:
(1).To effectively have a reasonable opportunity to be heard, the plaintiff had to know what facts and other
materials the council had before it.
(2).There are two aspects of natural justice, ie impartiality and fairness. By denying him access to the report,
the council was being unfair.
(3).There was no cause or matter pending against the Law Society and therefore no order for discovery could
be made against the Law Society. The appropriate remedy was a declaration.
Proceedings of Council and Inquiry Committee to be confidential
66. —(1) Except insofar as may be necessary for the purpose of giving effect to any resolutions
or decisions of the Council and any Inquiry Committee, confidentiality shall be maintained in all
proceedings conducted by the Council, its staff and the Inquiry Committee.
[15/89]
(2) Notwithstanding subsection (1), the Chief Justice or the Attorney-General may require the
Council to disclose to him any matter or information relating to any complaint of misconduct or
disciplinary action against any advocate and solicitor.
- Possible outcomes –
i. No formal investigation required
ii. No cause of sufficient gravity exists for a formal investigation but that an advocate and solicitor should
be ordered to pay a penalty – max $5000
iii. There should be a formal investigation by a Disciplinary Committee
iv. Matter to be adjourned for consideration or be referred back to the Inquiry Committee for
reconsideration or a further report
- If Inquiry Committee recommends that there shall be a formal investigation, the Council shall determine
accordingly (Council has no discretion to do otherwise)
- Re an Advocate and Solicitor, ex parte the Law Society of Singapore for Judicial review [1987] 2 MLJ, 31
(per Justice Lai Kew Chai) –
“Since the Inquiry Committee in its report has considered that there should be a formal
investigation, the Council of the Law Society was required by (now section 87(2)(a) of the LPA) to
determine that there should be a formal investigation by a Disciplinary Committee. The Council
has no discretion to act otherwise.”
If Inquiry Committee feels that the complainant should be further investigated, recommend that it be referred for
formal investigation before a Disciplinary Committee
Council of Law Society must then send the complaint to a Disciplinary Committee (s. 87(2) of the Act read with S.
89(1))
Council’s consideration of report
87. —(2) If the Inquiry Committee in its report recommends —
(a) that there should be a formal investigation, then the Council shall determine accordingly
under subsection (1); or
(b) that a formal investigation by a Disciplinary Committee is not necessary, the Council may, if
it disagrees with the recommendation, request the Chief Justice to appoint a Disciplinary
Committee.
Application to appoint Disciplinary Committee
89. —(1) Where the Council determines under section 87 that there should be a formal
investigation, the Council shall immediately apply to the Chief Justice to appoint a Disciplinary
Committee which shall hear and investigate the matter.
- But if inq committee says that there shld NOT be formal investigation, council stil has discetion to proceed
otherwise
Section 87(3)
Where the report of the Inquiry Committee discloses the commission of –
(a) any other misconduct by the advocate and solicitor which has not been referred to or inquired into by the
Inquiry Committee, the Council shall, if it determines that there should be a formal investigation of such
misconduct, have power to prefer such charge against the advocate and solicitor as it thinks fit with
respect to that misconduct; or
(b) any offence involving fraud or dishonesty by the advocate and solicitor, the Council shall immediately
refer the matter to the police for investigation.
Section 96
(1) Where a person has made a complaint to the Society and the Council has determined –
(a) that a formal investigation is not necessary; or
(b) that no sufficient cause for a formal investigation exists but that the advocate and solicitor concerned
should be ordered to pay a penalty,
that person, if he is dissatisfied with the determination, may within 14 days of being notified of the Council’s
determination apply to a Judge under this section.
- Reasons for dismissal should be readily comprehensive to the complainant – because lay person
- Should be ordinarily sufficient both to inform the parties of the basis of the decisions and enable the court, if
appropriate, to review the matter on appeal: Yusuf Jumabhoy
A lot of complaints take out OS and take up the matter – challenge decision of law soc
In cashin’s case – charged with breach of rule 6 – sol accts rules – another lawyer was
com,plaiantn and of own accord brought it up to chambers. When judge agreed tt this be referred to
discip committee – complainatnt takes over matter and alw soc is no longer in the picture
Everything is now in the name of complainant – if he wins, he gets costs and if he loses he has to
pay csots to respondent concerned
- Both the respondent and the complainant are entitled to a copy of the Inquiry Committee’s Report upon
request: Abraham v Law Society[1991] 3 MLJ 359
- The complainant is entitled to the IC’s report: Low Gim Har v Low Gim Siah [1992] 1 SLR 166
• Disciplinary Committee:
Duties…
i. To see whether it has jurisdiction
ii. Rule against bias – most demanding: Kalpanath Singh [1992] 2 SLR 641
Case very signif – prev, discip comm headed by retired judge
At fn, he met witness of respondent wo was abt to give evid – hearing still going on – heard to utter
these words – ‘how can u give evid for tt useless fellow’?
Chief justice then stated rule against bias
Facts
The applicant Kalpanath was an advocate and solicitor. The disciplinary committee (DC) of the Law Society
found him guilty of misconduct and asked him to show cause before a court of three judges. Singh applied for an
order of certiorari to quash the DC’s findings and determination on the ground that the chairman of the DC, one
CS was biased. Kalpanath alleged that CS met with his legal assistant SS twice during the currency of the DC’s
hearings, and threatened or warned SS and suggested to SS that he (CS) had made up his mind about the veracity
of the witness. SS was a material witness for Kalpanath in the DC proceedings. It was argued that the whole DC
was tainted with CS’s bias or apparent bias. At the commencement of the application for certiorari, CS (the
respondent) made two preliminary objections: (a) Kalpanath was not entitled to rely on statements made in CS’s
affidavits as additional grounds in support of his case as these were new grounds which took CS by surprise; and
(b) Kalpanath’s application to cross-examine CS on his affidavits. It was also suggested that Kalpanath was not
entitled to subject the DC’s decision to judicial review as the matter would be considered by the court of three
Judges.
(1) No amendment to the notice of motion was required. If CS’s own admissions were capable of providing
additional legal grounds to impugn his decision, Kalpanath was entitled to rely on them. There was no question
of CS or his counsel being taken by surprise.
(2) The nature of the disputes between CS and SS on the one hand, and between Kalpanath and CS on the other,
made this an appropriate case that CS submit to cross-examination. The difference between the ‘exceptional case’
test and the ‘justice of the case’ test was not one of substance. Grave injustice might have been caused to
Kalpanath if he was not allowed to test the truth of CS’s account of the conversations. The truth of SS’s account
was central to Kalpanath’s primary case just as much as the truth of CS’s account was central to his defence. If
upheld, the objection would result in denying to Kalpanath the natural justice which he alleged had already been
denied him by CS. Not only was Kalpanath’s career at stake, but more importantly, confidence in the integrity of
the administration of justice by a disciplinary tribunal would have been diminished if CS were immune from
cross-examination.
(3) ‘Show cause’ proceedings were different from judicial review proceedings, both with respect to the law as
well as procedure. In show cause proceedings, the court went into the merits of the findings and determination of
the DC on the basis of the evidence recorded by the DC. It did not hear oral evidence at all. In the latter, the court
did not deal with the merits of the decision but with its legality on ordinary administrative law grounds. Bias, as
an aspect of procedural impropriety, was one of the grounds. The DC’s decision was therefore subject to judicial
review notwithstanding that Kalpanath might still have the right to show cause.
(4) Bias may be actual, apparent or imputed. The important matter was not what Kalpanath might think about
the judge but the appearance, as it presented itself to the objective observer. The court would set aside as void an
award of a tribunal which was infected by the appearance of a real likelihood of bias or if a reasonable and fair-
minded person sitting in court and knowing all the relevant facts would have a reasonable suspicion that a fair
trial for Kalpanath was not possible.
(5) The test for bias should be referable to the contents of the bias rule. Context was important. In judicial
proceedings, the rule was most demanding. A judge was expected to maintain the highest standard of conduct in
the exercise of his functions. He must bring an open and impartial mind to the determination of the dispute
before him and not act in any way which compromised the integrity of the judicial process. The standard required
by the chairman of the DC under the Legal Profession Act (Cap 161) was just as high, and was commensurate
with the standing of that office, having regard to the statutory qualifications for holding that office and the
powers of the committee. A decision-maker should not have any contact with any party to the proceedings or any
of his witnesses in the absence of the other party or his counsel.
(6) Kalpanth made out a case of apparent bias. An objective assessment of the evidence led to such conclusion.
To a member of the public, CS’s advice given to SS at the first encounter could reasonably mean or imply that
CS did not believe SS would be an independent or impartial witness because he was Kalpanath’s witness. It did
not matter whether at that time CS was aware of the nature and substance of the evidence that SS would be
giving. Since CS had great experience in the conduct of trials and disciplinary inquiries, it must have occurred to
CS that SS would not have been called to give evidence on behalf of Kalpanath unless his evidence was
favourable to the latter. Against the known background that SS was Kalpanath’s employee, CS’s advice would
have engendered a reasonable suspicion that CS had formed the view that there was a possibility of SS giving
untruthful evidence in favour of Kalpanath, or that SS somehow, had been persuaded to give such evidence.
(7) Similarly, CS’s utterances to SS at the second meeting might give the impression to reasonable people that
SS’s evidence was not being believed because of his relationship with Kalpanath and not because it was
unworthy of belief on its own merits. The reference, direct or indirect, to the relationship between SS and
Kalpanath during the second conversation would have reinforced the perception of the state of mind of CS at the
first encounter. The fact was that CS talked to SS on both occasions on the same subject matter: SS’s testimony at
the inquiry, in a context when SS was an employee of the applicant. There was thus evidence on which a
reasonable person might believe that CS might or could not bring an unprejudiced mind to the disciplinary
inquiry. The contents of the two conversations gave an appearance of a real likelihood of bias.
(8) Although the other members of the DC filed affidavits stating that CS had not influenced or attempted to
influence their decision, it would not be proper to count heads and say there was a majority of unbiased
members. One cannot tell to what extent the bias of even one magistrate, especially he be a chairman, may
influence the decision of the rest. One had to look at the whole picture.
(9) CS participated in the proceedings and strenuously resisted Kalpanath’s application, but only because
Kalpanath put his case at a level at which CS was given no choice but to defend his conduct and reputation.
Kalpanath failed to prove the main charge of actual bias in the form of the threat to SS. If the motion had been
based solely on this charge, it would have been dismissed. However, Kalpanath succeeded on a much less serious
charge. In the circumstances, each party should pay his own costs.
Panel of retired judges or solicitors of 12 years’ standing, one person who is a practicing
solicitor, one legal officer, and one lay person from the Inquiry Panel (s.90 the Act)
The lay member will be paid, but will have no voting rights (s. 90(6) the Act)
Appointment of Disciplinary Committee
90. —(1) The Chief Justice may from time to time appoint one or more committees comprising
—
(a) a chairman from a panel appointed by the Chief Justice, being retired Judges or persons who
have had not less than 12 years’ standing as advocates and solicitors;
(b) an advocate and solicitor who has in force a practising certificate;
(c) a legal officer who has at least 10 years’ experience; and
(d) a member of the Inquiry Panel who is a lay person,
to be known for the purposes of this Act as Disciplinary Committees.
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(2) A Disciplinary Committee shall be appointed in connection with one or more matters or for a
fixed period of time or as the Chief Justice may think fit.
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(3) The Chief Justice may at any time revoke the appointment of any Disciplinary Committee or
remove any member of a Disciplinary Committee or fill any vacancy in a Disciplinary
Committee.
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(4) Every Disciplinary Committee shall appoint a solicitor to be the secretary of that
Disciplinary Committee.
(5) The production of any written instrument purporting to be signed by the Chief Justice and
making an appointment, revocation or removal referred to in this section shall be evidence that
such appointment, revocation or removal has been duly made.
(6) The lay person who is a member of a Disciplinary Committee shall not vote on any question
or matter to be decided by the Disciplinary Committee and need not be present at every meeting
of the Disciplinary Committee.
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(7) Except as provided in subsection (6), all members of a Disciplinary Committee shall be
personally present to constitute a quorum for the transaction of any business.
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(8) Any question arising at any meeting of a Disciplinary Committee shall be determined by a
majority of votes of the members of the Committee, and in the case of an equality of votes, the
chairman of the Committee shall have a second or casting vote.
[35/2001]
(9) A member of a Disciplinary Committee appointed under subsection (1) (a) who is not a
practising advocate and solicitor shall be paid for each case such remuneration as the Chief
Justice may determine.
If Inquiry Committee recommends that no formal investigation is necessary, and if the Council disagrees,
the Council may apply to the Chief Justice to appoint a Disciplinary Committee (s. 87(2)(b) the Act)
Council’s consideration of report
87. —(2) If the Inquiry Committee in its report recommends —
(b) that a formal investigation by a Disciplinary Committee is not necessary, the Council may, if
it disagrees with the recommendation, request the Chief Justice to appoint a Disciplinary
Committee.
Disciplinary Committee is a judicial body and are quasi-criminal in nature: Legal Profession
(Disciplinary Committee Proceedings) Rules (Cap. 161, Sections 82A(14) and 91(1), R2, 2003 Revised
Edition)
Re Teo Choo Hong [1995] 2 SLR 594, held that the effect of subsections (6) and (7) of s. 90 of the Act was
that the lay member was not counted as a member for the purpose of constituting the quorum of the
disciplinary committee.
o Even though the lay member of the Disciplinary Committee had not been present for the greater
part of the hearing, there was no breach of the rules of natural justice as the function of the lay
member was merely that of an observer
Teo Choo Hong - Facts
The respondent solicitor Teo acted as solicitor for two brothers, HTM and HTB, in an attempted sale of a piece
of property (the property) which was mortgaged to Malayan Banking Bhd. The transaction was aborted due to
objections by the mortgagee bank and in a trial that ensued, the trial judge found that Teo did not tell the truth
while giving testimony. The trial judge then lodged a complaint to the Law Society of Singapore about Teo’s
conduct. The Law Society’s disciplinary committee (DC) found that it had no jurisdiction to hear and
investigate the first charge regarding the alleged evasion of stamp duty and defrauding the bank, but found the
other two charges against Teo to have been made out. Upon the Law Society’s ensuing application, the High
Court ordered Teo to show cause why he should not be dealt with under s 83 of the Legal Profession Act
(Cap 161) (the Act). As a preliminary point, Teo argued that DC’s decision was void as the lay member of the
DC was not been present throughout the greater part of the hearing and had not heard all the evidence and
submissions presented before the committee.
Held, dismissing the preliminary point and discharging the order to show cause:
(1) The effect of ss 90(6) and 90(7) of the Legal Profession Act (Cap 161) (‘the Act’) was that the lay
member did not count as a member for the purpose of constituting the quorum of the DC ‘for the transaction
of any business’. This included the hearing of witnesses’ evidence, receiving and examining documents and
listening to parties’ arguments. The term ‘meeting’ in s 90(6) included a hearing in which the parties gave
evidence and advanced arguments.
(2) There was no breach of the rules of natural justice in the present situation. The lay member’s function
was merely that of an observer. He had no right to vote, was not required to be present at every meeting and
was not included as a member for the purpose of constituting a quorum.
(3) In relation to the second charge, in the absence of any improper motive on Teo’s part, the alteration of the
date of the option per se was not improper, as such alteration had no effect on the option itself. In relation to
the third charge, the Law Society failed to prove beyond reasonable doubt that the respondent had given false
evidence in S 4722/85
Procedure for conducting disciplinary proceedings is governed by the LPA (Disciplinary Committee
Proceedings) Rules 2002
- If the determination of the Disciplinary Committee is that which no cause of sufficient gravity exists for
disciplinary action, but he should be reprimanded or ordered to pay a penalty, the Council shall –
i. if it agrees with the Disciplinary Committee, reprimand the advocate and solicitor; or
ii. if it disagrees, proceed to make an application for show cause proceedings under section 98 (ie. Ref. to
ss. (b); See also, section 94(3))
NB: Section 88(4) – A Notice must be published in the Gazette at the respondent’s expense if reprimanded or
ordered to pay a penalty.
Also, note the new section 94A, empowering the Council to apply forthwith to the High Court for an order
calling upon an advocate and solicitor to show cause where he has been convicted of an offence involving fraud
or dishonesty.
In Re Singh Kalpanath [1992] 2 SLR 639, it was held that in judicial proceedings, the rule against bias is
most demanding. A judge is expected to maintain the highest standard of conduct in the exercise of his
functions and have an open and impartial mind
Singh Kalpanath - Facts
The applicant Kalpanath was an advocate and solicitor. The disciplinary committee (DC) of the Law Society
found him guilty of misconduct and asked him to show cause before a court of three judges. Singh applied for
an order of certiorari to quash the DC’s findings and determination on the ground that the chairman of the DC,
one CS was biased. Kalpanath alleged that CS met with his legal assistant SS twice during the currency of the
DC’s hearings, and threatened or warned SS and suggested to SS that he (CS) had made up his mind about the
veracity of the witness. SS was a material witness for Kalpanath in the DC proceedings. It was argued that the
whole DC was tainted with CS’s bias or apparent bias. At the commencement of the application for certiorari,
CS (the respondent) made two preliminary objections: (a) Kalpanath was not entitled to rely on statements
made in CS’s affidavits as additional grounds in support of his case as these were new grounds which took CS
by surprise; and (b) Kalpanath’s application to cross-examine CS on his affidavits. It was also suggested that
Kalpanath was not entitled to subject the DC’s decision to judicial review as the matter would be considered
by the court of three Judges.
Held, quashing the findings of the DC:
(1) No amendment to the notice of motion was required. If CS’s own admissions were capable of providing
additional legal grounds to impugn his decision, Kalpanath was entitled to rely on them. There was no
question of CS or his counsel being taken by surprise.
(2) The nature of the disputes between CS and SS on the one hand, and between Kalpanath and CS on the
other, made this an appropriate case that CS submit to cross-examination. The difference between the
‘exceptional case’ test and the ‘justice of the case’ test was not one of substance. Grave injustice might have
been caused to Kalpanath if he was not allowed to test the truth of CS’s account of the conversations. The
truth of SS’s account was central to Kalpanath’s primary case just as much as the truth of CS’s account was
central to his defence. If upheld, the objection would result in denying to Kalpanath the natural justice which
he alleged had already been denied him by CS. Not only was Kalpanath’s career at stake, but more
importantly, confidence in the integrity of the administration of justice by a disciplinary tribunal would have
been diminished if CS were immune from cross-examination.
(3) ‘Show cause’ proceedings were different from judicial review proceedings, both with respect to the law as
well as procedure. In show cause proceedings, the court went into the merits of the findings and determination
of the DC on the basis of the evidence recorded by the DC. It did not hear oral evidence at all. In the latter, the
court did not deal with the merits of the decision but with its legality on ordinary administrative law grounds.
Bias, as an aspect of procedural impropriety, was one of the grounds. The DC’s decision was therefore subject
to judicial review notwithstanding that Kalpanath might still have the right to show cause.
(4) Bias may be actual, apparent or imputed. The important matter was not what Kalpanath might think about
the judge but the appearance, as it presented itself to the objective observer. The court would set aside as void
an award of a tribunal which was infected by the appearance of a real likelihood of bias or if a reasonable and
fair-minded person sitting in court and knowing all the relevant facts would have a reasonable suspicion that a
fair trial for Kalpanath was not possible.
(5) The test for bias should be referable to the contents of the bias rule. Context was important. In judicial
proceedings, the rule was most demanding. A judge was expected to maintain the highest standard of conduct
in the exercise of his functions. He must bring an open and impartial mind to the determination of the dispute
before him and not act in any way which compromised the integrity of the judicial process. The standard
required by the chairman of the DC under the Legal Profession Act (Cap 161) was just as high, and was
commensurate with the standing of that office, having regard to the statutory qualifications for holding that
office and the powers of the committee. A decision-maker should not have any contact with any party to the
proceedings or any of his witnesses in the absence of the other party or his counsel.
(6) Kalpanth made out a case of apparent bias. An objective assessment of the evidence led to such
conclusion. To a member of the public, CS’s advice given to SS at the first encounter could reasonably mean
or imply that CS did not believe SS would be an independent or impartial witness because he was Kalpanath’s
witness. It did not matter whether at that time CS was aware of the nature and substance of the evidence that
SS would be giving. Since CS had great experience in the conduct of trials and disciplinary inquiries, it must
have occurred to CS that SS would not have been called to give evidence on behalf of Kalpanath unless his
evidence was favourable to the latter. Against the known background that SS was Kalpanath’s employee, CS’s
advice would have engendered a reasonable suspicion that CS had formed the view that there was a possibility
of SS giving untruthful evidence in favour of Kalpanath, or that SS somehow, had been persuaded to give such
evidence.
(7) Similarly, CS’s utterances to SS at the second meeting might give the impression to reasonable people that
SS’s evidence was not being believed because of his relationship with Kalpanath and not because it was
unworthy of belief on its own merits. The reference, direct or indirect, to the relationship between SS and
Kalpanath during the second conversation would have reinforced the perception of the state of mind of CS at
the first encounter. The fact was that CS talked to SS on both occasions on the same subject matter: SS’s
testimony at the inquiry, in a context when SS was an employee of the applicant. There was thus evidence on
which a reasonable person might believe that CS might or could not bring an unprejudiced mind to the
disciplinary inquiry. The contents of the two conversations gave an appearance of a real likelihood of bias.
(8) Although the other members of the DC filed affidavits stating that CS had not influenced or attempted to
influence their decision, it would not be proper to count heads and say there was a majority of unbiased
members. One cannot tell to what extent the bias of even one magistrate, especially he be a chairman, may
influence the decision of the rest. One had to look at the whole picture.
(9) CS participated in the proceedings and strenuously resisted Kalpanath’s application, but only because
Kalpanath put his case at a level at which CS was given no choice but to defend his conduct and reputation.
Kalpanath failed to prove the main charge of actual bias in the form of the threat to SS. If the motion had been
based solely on this charge, it would have been dismissed. However, Kalpanath succeeded on a much less
serious charge. In the circumstances, each party should pay his own costs.
Decision maker should not have any contact with any party to the proceedings or any of his witnesses in
the absence of the other party or his counsel
In Re Low Fook Cheng Patricia (A Solicitor) [1999] 2 SLR 326, the Chairman of the Committee made
a personal call to the solicitor for the landlord. Court held that a finding should not be made on a fact in
issue without disclosing the conversation between the Chairman and the landlord’s solicitor. It was
unfair for the solicitor concerned to have been adjudged on an issue in which a material witness had
been given a private statement to a member of the adjudicating tribunal without the knowledge of the
advocate and solicitor concerned
Facts
Patricia Low Fook Cheng, a lawyer, applied to set aside a $100 penalty imposed by the Law Society for
misconduct after the Inquiry Committee’s finding that she had done very little to request for an extension of
time for her client to give vacant possession to the landlord.
Held, setting aside the penalty:
(1) The Inquiry Committee did not have sufficient evidence to form the view that Patricia Low had
misconducted herself. They did not call the landlord’s solicitor to verify her assertion that she had made an
oral request for extension of time and to withhold enforcement of consent judgment against her client. They
also failed to disclose that the chairman had conversed with the landlord’s solicitor. It was unfair to adjudge
her without her knowledge of such private statement, and the burden of proving misconduct had not been
properly discharged.
A Statement of Case must be served on the solicitor so that he knows the charges against him (r. 6 of the
Legal Profession (Disciplinary Committee Proceedings) Rules)
Documents to be forwarded by Secretary
6. As soon as is practicable after the appointment of a Disciplinary Committee, the Secretary
shall —
(a) forward to every member of the Disciplinary Committee and to the respondent a copy each
of —
(i) the notice in Form 3;
(ii) the complaint against the respondent; and
(iii) the statement of the case specifying the charges and allegations the respondent is required to
answer; and
(b) forward to the solicitor for the Society or the complainant, as the case may be, a copy of the
notice in Form 3.
Shan Rajagopal [1994] 3 SLR 524, held the withdrawal of a complaint cannot affect the jurisdiction of
the disciplinary committee to hear and investigate “the matter” which refers to the charges formulated
by the Law Society
Facts
The respondent Rajagopal was an advocate and solicitor. He was instructed by one Muthuperavi to apply for
the reinstatement of his Singapore permanent residence status. Rajagopal told Muthuperavi that this
application was likely to be facilitated if he offered to refund the moneys he withdrew from his Central
Provident Fund account before leaving Singapore. Muthuperavi then deposited $35,000 with Rajagopal on
6 May 1988. On 9 May 1988, Rajagopal withdrew the entire sum from his firm’s client account for his own
personal use. On 21 November 1991, Muthuperavi instructed other solicitors to act for him. Rajagopal was
requested to pay over the sum of $35,000 but he failed to do so. Muthuperavi then made a formal complaint to
the Law Society. One day prior to the hearing before a disciplinary committee (DC), Rajagopal paid
Muthuperavi all sums due to him and the latter withdrew his complaint and became unavailable as a witness at
the hearing.
As a result, the Law Society proceeded on only two out of four original charges against Rajagopal. The first
charge alleged that Rajagopal breached the Legal Profession (Solicitors’ Accounts) Rules but the DC found
that this charge had not been made out. The second charge alleged that Rajagopal discharged his professional
duty in a grossly improper manner by applying the $35,000 deposited with him for his personal use. The DC
then concluded that the second charge was proved and that cause existed for disciplinary action under s 83 of
the Legal Profession Act. At the “show cause” proceedings, Rajagopal’s defence was that he had only applied
the $35,000 for his personal use after he was offered the sum as a loan.
Held, ordering that the respondent be struck off the roll:
(1) This was not a normal case of borrowing but a borrowing from funds deposited with Rajagopal for a
particular purpose. This situation required Rajagopal to exercise even greater care to ensure that his client was
placed in a position to make a free and informed decision about the proposed transaction, and in particular to
insist that the client take independent advice. However, Rajagopal failed to appreciate the care required of
him. Such failure showed an unfitness to remain on the roll.
(2) Despite the fact that Rajagopal repaid the sums outstanding, leniency was inappropriate. That Rajagopal
had proposed to make repayment only on condition that Muthuperavi withdraw his complaint exacerbated his
misconduct. Furthermore, what was relevant was the propriety of his conduct at the time when the act was
committed and not whether the client ultimately suffered any loss. Rajagopal was ordered to be struck off the
roll of advocates and solicitors.
Report is also published, and a copy of the entire proceedings is made public and can be purchased (s. 93 the
Act)
Findings of Disciplinary Committee
93. —(1) After hearing and investigating any matter referred to it, a Disciplinary Committee
shall record its findings in relation to the facts of the case and according to those facts shall
determine —
(a) that no cause of sufficient gravity for disciplinary action exists under section 83;
(b) that while no cause of sufficient gravity for disciplinary action exists under that section the
advocate and solicitor should be reprimanded or ordered to pay a penalty sufficient and
appropriate to the misconduct committed; or
(c) that cause of sufficient gravity for disciplinary action exists under that section.
[35/2001]
(2) In the event of the Disciplinary Committee making a determination under subsection (1) (b)
or (c), the Committee may make an order for payment by any party of costs or of such sum as
the Committee may consider a reasonable contribution towards costs.
(3) A Disciplinary Committee shall carry out its work expeditiously and the Society may apply
to the Chief Justice for directions to be given to the Disciplinary Committee if the Disciplinary
Committee fails to make any finding and determination within 6 months from the date of its
appointment.
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(4) The findings and determination of the Disciplinary Committee under this section shall be
drawn up in the form of a report of which —
(a) a copy shall be submitted to the Chief Justice and the Society; and
(b) a copy shall on request be supplied to the advocate and solicitor concerned.
(5) The findings and determination of the Disciplinary Committee shall be published by the
Council in the Singapore Law Gazette or in such other media as the Council may determine
which would adequately inform the public of the findings and determination.
[30/86;35/2001]
(6) A copy of the entire record of the proceedings of the Disciplinary Committee including its
findings and determination shall be made public and copies thereof shall be made available to
the members of the public upon payment of the prescribed fee.
Section 97(1)
Where a Disciplinary Committee has determined –
(a) that no cause of sufficient gravity for disciplinary action exists under section 83; or
(b) that while no cause of sufficient gravity for disciplinary action exists under that section the advocate and
solicitor should be reprimanded or ordered to pay a penalty,
and the person who made the complaint, the advocate and solicitor or the Council is dissatisfied with the
determination, that person, advocate and solicitor or the Council may, within 14 days of being notified of the
Disciplinary Committee’s decision, apply to a Judge under this section.
- A disappointed complainant has locus standi to challenge a decision of a prosecuting authority not to
proceed with the investigation of a complaint or the initiation of a prosecution.
- Although the discretion of a prosecuting authority is broad, it is subject to review
- Each case has to be considered on –
i. the issues of irrationality or procedural irregularity;
ii. with due regard to the powers, functions and procedures of the body concerned; and
iii. the manner in which it dealt with the complaint or application in issue
- See R v Bar Council ex parte Percival (DC) [1990] 3 WLR 323
Section 98(1)
An application that a solicitor be struck off the roll or suspended from practice or censured or that he be
required to answer allegations contained in an affidavit shall be made by originating summons ex parte for an
order calling upon the solicitor to show cause.
- Procedure: OS ex parte
- The application to make absolute and the showing of cause shall be heard by a court of 3 judges of the
Supreme Courts – ss. (7)
- No appeal allowed – ss. (7)
• if he is convicted of fraud, criminal breach of trust and so on, the procedure is slightly different
o s. 94(1), 2 stages are removed
Society to apply to court if cause of sufficient gravity exists
94. —(1) If the determination of the Disciplinary Committee under section 93 is that cause of
sufficient gravity for disciplinary action exists under section 83, the Society shall without further
direction or directions proceed to make an application in accordance with section 98.
Findings of Disciplinary Committee
93. —(1) After hearing and investigating any matter referred to it, a Disciplinary Committee shall
record its findings in relation to the facts of the case and according to those facts shall determine —
(a) that no cause of sufficient gravity for disciplinary action exists under section 83;
(b) that while no cause of sufficient gravity for disciplinary action exists under that section the
advocate and solicitor should be reprimanded or ordered to pay a penalty sufficient and appropriate
to the misconduct committed; or
(c) that cause of sufficient gravity for disciplinary action exists under that section.
[35/2001]
(2) In the event of the Disciplinary Committee making a determination under subsection (1) (b) or
(c), the Committee may make an order for payment by any party of costs or of such sum as the
Committee may consider a reasonable contribution towards costs.
(3) A Disciplinary Committee shall carry out its work expeditiously and the Society may apply to the
Chief Justice for directions to be given to the Disciplinary Committee if the Disciplinary Committee
fails to make any finding and determination within 6 months from the date of its appointment.
[30/86]
(4) The findings and determination of the Disciplinary Committee under this section shall be drawn
up in the form of a report of which —
(a) a copy shall be submitted to the Chief Justice and the Society; and
(b) a copy shall on request be supplied to the advocate and solicitor concerned.
(5) The findings and determination of the Disciplinary Committee shall be published by the Council
in the Singapore Law Gazette or in such other media as the Council may determine which would
adequately inform the public of the findings and determination.
[30/86;35/2001]
(6) A copy of the entire record of the proceedings of the Disciplinary Committee including its
findings and determination shall be made public and copies thereof shall be made available to the
members of the public upon payment of the prescribed fee.
• an application for reinstatement to the Bar requires an applicant to show that he was of such a
reformed character that he could be relied upon to discharge the professional duties of an advocate
and solicitor with honour and integrity
• Re Gnaguru s/o Thamboo Mylvaganam [2004] SGHC 180: apart from his own affidavits, there was no
real evidence to substantiate his claims of rehabilitation. In the absence of any evidence of his
trustworthiness and good character, which was the essential concern here, his bare assertions could not
be accepted
Gnaguru - Facts
The applicant was struck off the roll on 31 August 1994 after his conviction for an offence implying a defect
of character which made him unfit for the legal profession. He had arranged with a doctor to provide medical
certificates for his clients who wished to absent themselves from court, even when they were not ill. He was
subsequently convicted for abetting one of his clients in intentionally omitting to attend at the Subordinate
Courts, for which he was struck off the roll. After a lapse of nine years and 11 months, he filed the present
motion for reinstatement.
Held, dismissing the application:
(1) Given that the applicant had been kept off the roll for almost ten years, the present application was not
premature: at [10].
(2) The applicant bore the burden of proving that he was now of such a reformed character that he was fit to
be re-admitted to the Bar. Apart from his own affidavits, there was no real evidence to substantiate his claims
of rehabilitation. In the absence of any evidence of his trustworthiness and good character, which was the
essential concern here, his bare assertions could not be accepted: at [18]-[19].
18 However, we had to balance this against the fact that the offence committed by the applicant clearly
involved a dishonest and deliberate obstruction of the administration of justice. We accepted that the applicant
had already paid a high price for his misdeeds, and, in principle, sentences of exclusion from the legal
profession need not be exclusive forever: Re Chan Chow Wang [1982–1983] SLR 413. Nevertheless, the
applicant bore the burden of proving that he was now of such a reformed character that he could be relied
upon to discharge the professional duties of an advocate and solicitor with honour and integrity.
19 In this regard, the applicant’s case was woefully inadequate. Apart from his own affidavits, there was
no real evidence to substantiate his claims of rehabilitation. The letters of recommendation from other
members of the Bar, which we considered at length, merely spoke of the applicant’s deep interest in the law
and his friendly and affable disposition. We found it telling that not a single letter attested to his
trustworthiness and good character, which was our essential concern here. The letters from the Red Cross also
added little, if any, value to his application. In the absence of any substantive evidence, we could not accept
the applicant’s bare assertion that his character had so changed that he was now fit to be re-admitted to the
Bar.
• Since the maximum period of suspension if 5 years, a significantly longer period than 5 years is
required to have elapsed before an application to be restored will be entertained
• An advocate and solicitor who has been struck off should not end up in substantially the same position
as, or be better off than one who has merely been suspended from practice for the same period, so as to
adequately reflect the difference in gravity between a striking off and a suspension order: Nirmal Singh
s/o Fauja Singh [2001] 3 SLR 608
Facts
Following the applicant’s conviction on three charges of corruption and one charge of criminal breach of trust,
he was struck off the roll of advocates and solicitors on 1 December 1995. About five years and four months
later since his striking off, the applicant applied under s 102 of the Legal Profession Act (Cap 161, 2000 Ed)
(“LPA”) to have that his name restored to the roll of advocates and solicitors. It was highlighted to the court
that after his release from prison, the applicant was actively engaged in various charity works, was gainfully
employed and was now fully repentant and rehabilitated.
Held, dismissing the application:
(1) An advocate and solicitor who had been struck off the roll should not end up in substantially the same
position as, or better off than, one who had merely been suspended from practice for the full period of five
years. Although the court was not disposed to lay down any fixed minimum time frame for bringing an
application under s 102 of the LPA, a significantly longer period than five years should have elapsed before
any such application would be considered.
(2) Whilst the applicant had ceased legal practice long before the order of striking off was made, the
cessation was far from voluntary and more a result of the police investigations against him. Thus, the period
before the striking off was made could hardly be taken into account for the purpose of deciding whether or not
sufficient time had elapsed for the present application.
(3) The nature of the offences, for which the applicant was struck off, was also of such a degree of severity
as not to warrant a restoration of the applicant to the roll at this point in time. In exercising its powers under
s 102 of the LPA, the court must ensure the protection of the interests of the public and the profession as a
whole over the interests of the applicant.
- The application to make absolute and the showing of cause shall be heard by a court of3 judge of the
Supreme Courts and there shall be no appeal. [To note that there is no appeal to the Privy Council.]
- Replacement on the roll of a Solicitor who has been struck off before 3 JUDGES of the Supreme
Court.
- Test for re-admitting applicants to the bar?: In re-admitting applicants to the bar, the Court has a duty to
litigants and to the legal profession to ensure that such persons are of the highest integrity and honour.
i. The Court must also be satisfied, in the public interest, that the applicant is not likely to repeat
these offences if he is re-admitted.
ii. The onus is on the applicant to show that – Chan Chow Wang v. Malaysian Bar [1986] 2
MLJ Pg 159
(1) (A) There has been such a change in the character as to make him a fit and proper
person to resume practice at the Bar.
(2) (B) He is truly penitent.
(3) (C) He has made restitution.
(4) A significantly longer period than 5 years is required to have elapsed before an
Application to be restored will be entertained, given that the maximum period of a
court ordered suspension is now 5 years. An Advocate & Solicitor who has been struck
off should not end up in substantially the same position as, or be better off than one
who has merely been suspended from practice for his full period of 5 years so as to
adequately reflect the difference in gravity between a striking-off and a suspension
order
- Cases usus involve crim breach of trust
Signs of cases where complainant mau disagree with how law soc proceeds – may take prerogative writ and
ask for partr charge. Not yet such cases but may come in
• S. 82A provides that an application to show cause may be made with the leave of the Chief Justice
• S. 83 (Power to strike off roll or suspend or censure) was amended to empower the Supreme Court to
suspend an advocate and solicitor for up to 5 years
• S. 85(1) was inserted by retaining the procedure for a complaint of the conduct of an advocate and
solicitor to be made to the Law Society
• S. 85(4) was inserted to enable the Council to first inquire into complaints against an advocate and
solicitor which are more serious in nature and to defer the inquiry into other less serious complaints
against him
Complaints against advocates and solicitors
85. —(1) Any complaint of the conduct of an advocate and solicitor shall in the first place be made
to the Society and the Council shall refer the complaint to the Chairman of the Inquiry Panel.
(4) Notwithstanding subsections (1), (2) and (3), where 2 or more complaints or information
touching upon the conduct of an advocate and solicitor have been received by the Council, including
any complaint which had been referred to a Disciplinary Committee under section 89, the Council
may with the leave of the court refer to the Chairman of the Inquiry Panel one or more complaints or
information which in its opinion are more serious in nature first and defer the referral of the
remaining complaints or information.
• S. 86 (Inquiry)
• S. 87 allows the Council to prefer a charge against an advocate and solicitor as it thinks fit
• S. 88 was amended to require the Council to publish a notice in the Gazette
• S. 89 was re-enacted to enable the Council to apply to the Chief Justice to appoint a Disciplinary
Committee
Council’s consideration of report
87. —(1) The Council shall consider the report of the Inquiry Committee and according to the
circumstances of the case shall, within one month of the receipt of the report, determine —
(a) that a formal investigation is not necessary;
(b) that no cause of sufficient gravity exists for a formal investigation but that the advocate and
solicitor should be ordered to pay a penalty under section 88;
(c) that there should be a formal investigation by a Disciplinary Committee; or
(d) that the matter be adjourned for consideration or be referred back to the Inquiry Committee for
reconsideration or a further report.
[41/93]
(2) If the Inquiry Committee in its report recommends —
(a) that there should be a formal investigation, then the Council shall determine accordingly under
subsection (1); or
(b) that a formal investigation by a Disciplinary Committee is not necessary, the Council may, if it
disagrees with the recommendation, request the Chief Justice to appoint a Disciplinary Committee.
(3) Where the report of the Inquiry Committee discloses the commission of —
(a) any other misconduct by the advocate and solicitor which has not been referred to or inquired into
by the Inquiry Committee, the Council shall, if it determines that there should be a formal
investigation of such misconduct, have power to prefer such charge against the advocate and solicitor
as it thinks fit with respect to that misconduct; or
(b) any offence involving fraud or dishonesty by the advocate and solicitor, the Council shall
immediately refer the matter to the police for investigation.
[41/93]
(4) The Council shall inform the advocate and solicitor and the person who made the complaint of
the manner in which it has determined the complaint, and in the event of the determination being that
a formal investigation is unnecessary, the Council shall on the request of the person furnish him with
its reasons in writing.
[41/93]
Council’s power to order penalty
88. —(1) If the Council determines under section 87 that no cause of sufficient gravity exists for a
formal investigation but that the advocate and solicitor should be ordered to pay a penalty, it may
order the advocate and solicitor to pay a penalty of not more than $5,000.
(2) Section 95 shall apply to any penalty ordered to be paid under subsection (1).
(3) Before the Council makes an order for the payment of a penalty under this section, it shall notify
the advocate and solicitor concerned of its intention to do so and give him a reasonable opportunity
to be heard by the Council.
(4) Where —
(a) no application is made to set aside an order for the payment of a penalty under subsection (1) or if
the order is affirmed or varied by the court under section 95 (3) (a); or
(b) an advocate and solicitor has been reprimanded by the Council under section 94 (3) (a),
the Council shall, at the expense of the advocate and solicitor, publish in the Gazette a notice of the
order or of the reprimand, as the case may be.
[41/93;35/2001]
(5) Any notice under subsection (4) shall contain the name of the advocate and solicitor, the nature of
the misconduct committed by him and the penalty payable by him or the reprimand, as the case may
be.
[41/93]
(6) Where an application is made to a Judge by any person under section 97 (1), the Council shall not
publish the notice under subsection (4) until the application has been withdrawn or deemed to have
been withdrawn or disposed of by the Judge under section 97 (3).
[41/93]
Application to appoint Disciplinary Committee
89. —(1) Where the Council determines under section 87 that there should be a formal investigation,
the Council shall immediately apply to the Chief Justice to appoint a Disciplinary Committee which
shall hear and investigate the matter.
[30/86;41/93]
(2) Notwithstanding subsection (1), where 2 or more matters are pending against an advocate and
solicitor, the Council may apply for one or more matters which in its opinion are more serious in
nature to be heard and investigated first and defer the hearing and investigation of the other matters.
[30/86;41/93]
(3) Where a Disciplinary Committee has been appointed to hear and investigate any matter against
an advocate and solicitor under subsection (1) and before the commencement of the hearing of and
investigation into that matter there is any other matter pending against the advocate and solicitor, the
Chief Justice may, on the application of the Council, direct that Disciplinary Committee to hear and
investigate the other matter or matters.
[30/86;41/93]
(4) Where, in the course of its investigation of any matter against an advocate and solicitor
referred to it under subsection (1) or (3), a Disciplinary Committee receives information
touching on or evidence of the conduct of the advocate and solicitor which may give rise to
proceedings under this Part, the Disciplinary Committee may, on the application of the
Council, prefer such additional charge against the advocate and solicitor as it thinks fit with
respect to such misconduct and, after giving notice to him, hear and investigate such charge
and section 93 shall apply to such charge accordingly.
New Power of Sanction of the Disciplinary Committee, the Council’s Power to Order a Penalty and the
Publication of All Findings and Determinations of Disciplinary Committees
Disciplinary (“DC”) to also have the power to recommend that the Council impose a financial penalty
not exceeding $10,000 against a solicitor, apart from the Committee’s existing power to order the
Council to reprimand a solicitor for his misconduct: s. 94
Society to apply to court if cause of sufficient gravity exists
94. —(1) If the determination of the Disciplinary Committee under section 93 is that cause of
sufficient gravity for disciplinary action exists under section 83, the Society shall without
further direction or directions proceed to make an application in accordance with section 98.
(2) If the determination of the Disciplinary Committee under section 93 is that no cause of
sufficient gravity for disciplinary action exists under section 83, it shall not be necessary for the
Society to take any further action in the matter unless so directed by the court.
(3) If the determination of the Disciplinary Committee under section 93 is that, while no cause
of sufficient gravity for disciplinary action exists under section 83, the advocate and solicitor
should be reprimanded or ordered to pay a penalty, the Council shall —
(a) if it agrees with the determination, reprimand the advocate and solicitor or order him to pay a
penalty of not more than $10,000, as the case may be; or
(b) if it disagrees with the determination, without further direction or directions proceed to make
an application in accordance with section 98.
Prior to the amendment, the Council only had the power to order a penalty not exceeding $5,000 on a
member for misconduct
Where an IC is of the view that the appropriate penalty should be a substantial financial penalty
exceeding $5,000, it would make a recommendation for the complaint to be referred to a DC for a
formal investigation
Penalties ordered to be paid by a solicitor to be paid to the Law Society instead of the Consolidated
Fund
4. MISCELLANEOUS
Section 101
(1) The Society shall give the Registrar notice of every order made under this Part that is adverse to an
advocate and solicitor, and the Registrar shall cause a note of the effect of that order to be entered on the roll
against the name of the advocate and solicitor concerned.
(2) An order as to costs only need not be so entered on the roll.
- Cannot take action against a tribunal/ authority unless with bad faith or malice
4.3 Statistics
See ahmad khalis case for reference to junior lawyer English case
Case study – write determination fr pov committee based on evidence given
27 september distributed
whether opinion or determination – do within 1500 words including authorities. Go straigtht to the point. 30
percent of marks!!!!!