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England and Wales High Court (Chancery Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Chancery Division) Decisions >> Priestley v Dunbar & Co (a firm) [2015] EWHC 987 (Ch) (30 April 2015) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2015/987.html Cite as: [2015] EWHC 987 (Ch) |
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CHANCERY DIVISION
LEEDS DISTRICT REGISTRY
Oxford Row Leeds LS1 3BG |
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B e f o r e :
____________________
DR NICOLAS MAX PRIESTLEY |
Claimant |
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- and - |
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DUNBAR & CO (a firm) |
Defendant |
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Jeffrey Bacon (instructed by Fisher Meredith LLP) for the Defendant
Hearing date: 31st March 2015
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Crown Copyright ©
Judge Behrens:
1. Introduction
"The case brings into sharp focus the question of how far lack of promptness should prevent a Defendant with an arguable defence on liability from succeeding in an application to set aside a default judgment and how far it is open to an appellate court to interfere."
2. The Nature of the Claim.
1. Dr Priestley is a clinical neuropsychologist with a practice in England and France now resident in France. Dunbar is a firm of accountants which was retained by Dr Priestley between 1977 and 2010. Its retainer included an obligation to advise Dr Priestley if there were any more tax efficient ways of running his business and if so to implement them on instruction.
2. In each year between October 2003 and 2008 Mr Mason (of Dunbar) advised Dr Priestley that it would not be worthwhile to incorporate his business or to pay Mr Henderson his civil partner and practice manager a salary.
3. Between 2008 and 2010 Dr Priestley ended Dunbar's retainer as a result of penalty notices and correspondence received from HMRC. In June 2010 Dr Priestley appointed a new accountant SCB who advised him to incorporate his business and pay Mr Henderson for the role he undertook as Practice Manager.
4. Dunbar had failed to file Dr Priestley's tax return for 2007/2008 and 2008/2009 and had not advised Dr Priestley of his likely liability for these years. It did not respond to letters from SCB. Dr Priestley had no means of paying the tax liability and eventually accepted an offer for a house in France (which had been valued at €700,000) for €377,500.
5. The allegations of negligence include:
1. Failure to advise Dr Priestley to incorporate his business
2. Failure to advise Dr Priestley to treat Mr Henderson as an employee
3. Failure to advise over National Insurance
4. Failure to submit the 2007/2008, 2008/2009 and 2009/2010 tax returns on time so as to avoid a financial penalty and interest. Failure to advise on the likely liability for those three last tax years.
5. Failure to provide information sought by HMRC thereby rendering Dr Priestley liable to a penalty.
6. The losses claimed as a result of the negligence include the loss on the sale of the French property.
3. The Draft Defence
1. It is accepted that Dr Priestley is a clinical neuropsychologist with a practice in England. It is admitted that Dunbar is a firm of accountants who acted for Dr Priestley. It is denied that Dunbar ever held itself out as having any expertise on French accountancy. Dr Priestley was advised to seek the advice of a French accountant. There is a dispute as to what Mr Mason was told about the role of Mr Henderson.
2. It is admitted that there was a retainer from 1995 to 2008. There is a dispute about the express terms of the retainer. Reference is made to the express terms of an engagement letter dated 4th December 2006. It is denied that Dunbar was instructed to prepare the returns for the years ending April 2008, 2009 and 2010. In any event Dr Priestley failed to provide adequate information for the returns to be completed
3. It is admitted that the retainer was terminated in June 2010 and that both Dr Priestley and Dunbar received communications from HMRC. Any failure to provide information to HMRC was caused by Dr Priestley's failure to provide the relevant information to Dunbar timeously.
4. The allegations of negligence are denied. It is alleged that Dunbar complied with its retainer. It is denied that Dr Priestley ever asked for advice over incorporation or over Mr Henderson's salary. It is further denied that Dunbar gave any advice on these topics. It is denied that Dunbar failed to prepare the 2007/2008 tax return. It was not instructed to prepare subsequent returns. It responded to requests from HMRC when it had received instructions from Dr Priestley.
5. Causation and loss are in issue. There are allegations of contributory negligence.
4. History
Date | Event |
15/6/2011 | Preliminary Notice of Claim sent to Dunbar |
13/7/2011 | Acknowledgment of Notice received by Irwin Mitchell |
23/1/2013 | Letter of Claim sent to Dunbar |
29/5/2013 | Mr Mason notified Irwin Mitchell that he had been on holiday and was informing his insurers of the Letter of Claim. |
4/6/2013 | Issue of Claim Form |
1/10/2013 | Service of Claim Form, Particulars of Claim |
18/10/2013 | Application for judgment in default of Acknowledgment of Service |
22/11/2013 | Judgment on liability in default entered in favour of Dr Priestley granted by DJ Goldberg. The matter was listed for a CMC on 7th January 2014 |
26/11/2013 | Service of judgment on Dr Priestley |
"Any application by the Defendant to set aside the Judgment must be filed in Court as soon as possible. It may not await the further CMC."
5. Judgment of DJ Giles
6. The law
Setting Aside
"(1) In any other case, the court may set aside(GL) or vary a judgment entered under Part 12 if—
(a) the defendant has a real prospect of successfully defending the claim; or
(b) it appears to the court that there is some other good reason why—
(i) the judgment should be set aside or varied; or
(ii) the defendant should be allowed to defend the claim.
(2) In considering whether to set aside(GL) or vary a judgment entered under Part 12, the matters to which the court must have regard include whether the person seeking to set aside the judgment made an application to do so promptly.
(Rule 3.1(3) provides that the court may attach conditions when it makes an order.)"
1. Promptness only relates to the period relating to the application to set aside the judgment. This is clear from the wording of CPR 13.3(2) and is confirmed in paragraph 30 of the judgment of Males J in Newland Shipping v Toba Trading [2014] EWHC 1986. However, as Males J pointed out "promptness" needs to be assessed in context. Furthermore delay prior to the entry of judgment can be taken into account as part of the general discretion to set aside a judgment.
2. Some guidance on the question of promptness can be obtained from paragraph 45 of the judgment of Simon Brown LJ in Regency Rolls v Carnall [2000] EWCA Civ 379 in the context of an application under CPR 39 to set aside a judgment where a party did not attend the trial:
"At first blush it might be thought that any inappropriate delay whatever on the part of an applicant would require that he be found not to have acted promptly. Yet such a construction would carry with it the Draconian consequence that, even if he had a good, perhaps compelling, reason for not having attended the trial, and a reasonable - perhaps, indeed, excellent - prospect of success at trial, the court would still be bound to refuse him a fresh trial. I would accordingly construe "promptly" here to require, not that an applicant has been guilty of no needless delay whatever, but rather that he has acted with all reasonable celerity in the circumstances. That said, I too would regard the appellant here as having failed even in that obligation. 30 days was altogether too long a delay before making this Part 39 application. Having regard to the long, and generally unsatisfactory, history of the proceedings to that point, the application plainly could, and in my judgment reasonably should, have been issued well before it was."
3. Further guidance in the context of an application under CPR 13.3 can be obtained from paragraph 22 of the judgment of Moore-Bick LJ in Standard Bank v Agrinvest [2010] EWCA Civ 1400;
"The Civil Procedure Rules were intended to introduce a new era in civil litigation, in which both the parties and the courts were expected to pay more attention to promoting efficiency and avoiding delay. The overriding objective expressly recognised for the first time the importance of ensuring that cases are dealt with expeditiously and fairly and it is in that context that one finds for the first time in rule 13.3(2) an explicit requirement for the court to have regard on an application of this kind to whether the application was made promptly. No other factor is specifically identified for consideration, which suggests that promptness now carries much greater weight than before. It is not a condition that must be satisfied before the court can grant relief, because other factors may carry sufficient weight to persuade the court that relief should be granted, even though the application was not made promptly. The strength of the defence may well be one. However, promptness will always be a factor of considerable significance, as the judge recognised in paragraph 27 of his judgment, and if there has been a marked failure to make the application promptly, the court may well be justified in refusing relief, notwithstanding the possibility that the defendant might succeed at trial."
"More recently the rigour of the decision in Mitchell has been tempered by the decision in Denton. In that case the court recognised that Mitchell had been the subject of criticism and, while holding that the guidance it provided remained substantially sound, sought to explain in rather more detail how it should be interpreted and applied. In doing so it identified three stages of enquiry: (i) identifying and assessing the seriousness and significance of the default which engages Rule 3.9; (ii) identifying its cause; and (iii) evaluating all the circumstances of the case including those specifically mentioned" [i.e. the need for litigation to be conducted efficiently and at proportionate cost and the need to enforce compliance with the Rules]"
"In addition to this general guidance which applies to relief against sanctions for any kind of failure to comply with rules or court orders, CPR 13.3 cross-refers to CPR 3.1(3), thereby drawing attention to the court's power to attach conditions to any order which it may make to set aside a judgment. That indicates, to my mind, that when considering the exercise of discretion under CPR 13.3, the court should bear in mind that the entry of a default judgment may operate as an extreme sanction and that justice may be done by making the setting aside of such a judgment subject to conditions, for example as to the provision of security for some or all of the claim. That may represent a more proportionate sanction, requiring a defendant who has hitherto ignored the proceedings to demonstrate his commitment to them by, as it were, putting some of his money where his mouth is. But as ever, what is appropriate will always depend on the particular circumstances of the case."
Appeals from District Judges
"Before the court can interfere it must be shown that the judge has either erred in principle in his approach or has left out of account, or has taken into account, some feature that he should, or should not, have considered, or that his decision is wholly wrong because the court is forced to the conclusion that he has not balanced the various factors fairly in the scale."
"The exigencies of daily court room life are such that reasons for judgment will always be capable of having been better expressed. This is particularly true of an unreserved judgment such as the judge gave in this case but also of a reserved judgment based upon notes, such as was given by the district judge. These reasons should be read on the assumption that, unless he has demonstrated the contrary, the judge knew how he should perform his functions and which matters he should take into account. This is particularly true when the matters in question are so well known as those specified in section 25(2). An appellate court should resist the temptation to subvert the principle that they should not substitute their own discretion for that of the judge by a narrow textual analysis which enables them to claim that he misdirected himself."
"I cannot stress too strongly that there is no duty on a judge, in giving his reasons, to deal with every argument presented by counsel in support of his case. It is sufficient if what he says shows the parties and, if need be, the Court of Appeal the basis upon which he has acted…"
7. Submissions
Mr Bacon's submissions
Miss Smith QC's submissions
8. Discussion
Wasted Work
Putting back the proceedings
9. Conclusion
Note 1 It is in fact quite clear that a judge approving a judgment is not limited to the words he used. He is fully entitled to add to or explain them in the approved version. That is the whole purpose of submitting a draft judgment for approval. [Back]