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Supreme Court of Ireland Decisions |
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You are here: BAILII >> Databases >> Supreme Court of Ireland Decisions >> Flood v. Lawlor [2001] IESC 100 (12 December 2001) URL: http://www.bailii.org/ie/cases/IESC/2001/100.html Cite as: [2001] IESC 100, [2002] 3 IR 67 |
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1. The
plaintiff in these proceedings is the sole member of a tribunal of inquiry
established by a resolution of both houses of the Oireachtas to inquire into
certain planning matters and payments. The defendant/appellant has represented
the constituency of West Dublin, the location of a number of matters into which
the plaintiff is inquiring pursuant to the resolution, both in the Dáil
and the relevant local authority for significant periods of time covered by the
plaintiff’s terms of reference.
2. On
the 8th June 2000, the plaintiff made an order that the defendant make
discovery on oath of and produce to him
3. Following
the making of that order by the plaintiff, he applied to the High Court for an
order compelling the defendant to comply with the order and an order compelling
him to attend before the plaintiff to give evidence in relation to the
documents in question. That order was granted by the High Court (Smyth J.) on
the 24th October 2000. So much of the order as required the defendant to give
evidence was the subject of an appeal to this court which was determined by
this court in favour of the plaintiff on the 24th November 2000.
4. It
is not in dispute that thereafter the defendant failed to comply, to a
significant extent, with the order as to the discovery of documents and also
refused to answer relevant questions addressed to him at the public hearings of
the tribunal being conducted by the plaintiff. Proceedings were accordingly
brought by the plaintiff against the defendant for attachment and/or committal
for contempt.
5. In
his reserved judgment, delivered on the 15th January of this year, Smyth J.,
having reviewed the facts and the law in detail, expressed his conclusions as
follows:
6. Thereafter,
the defendant made discovery in respect of a considerable volume of
documentation. However, the plaintiff was not satisfied that there had been as
yet compliance within the specified time limits (which were extended on
occasions by order) and the matter was re-entered for hearing before Smyth J.
In a reserved judgment delivered on the 31st July, he concluded that there had
been non-compliance of what he described as a “serious character”.
He accordingly ordered
7. The
learned High Court judge refused an application for a stay on this order, but
on the 3rd August 2001 this court ordered that the order should be stayed
pending the determination of an appeal lodged by the defendant. This court has
now heard the appeal from the order of the High Court.
8. At
the outset, it should be pointed out that, if the defendant were to comply
fully with the order of the High Court of 24th October 2000, it would
necessarily involve the discovery by him of a very substantial quantity of
documents. The order extended to documents and records relating to two
periods, the first from 16th June 1977 to the date of the order and the second
from the 16th June 1974 to the 17th June 1977. Moreover, the defendant during
the periods in question appears to have operated no less than one hundred and
ten bank accounts in various countries and was also engaged in a wide range of
business activities both in this country and abroad. It also appears that the
defendant wrote to two hundred and seventy two individuals, firms, companies
and banks seeking documents relevant to the order of the 24th October 2000.
9. Following
the making of the order of January 15th of this year, the defendant furnished
the plaintiff with one hundred and fifty seven folders of documents. A number
of separate affidavits were also filed by the defendant: it was, however,
agreed between the parties that these were interim affidavits and that
ultimately a final affidavit of discovery in accordance with the Rules of the
Superior Courts would be filed. The date originally fixed for compliance with
that requirement was the 30th March 2001: following the receipt of a letter
from the defendant’s solicitors indicating that they were still awaiting
replies to letters to certain persons from whom they were seeking relevant
documents, the matter was adjourned in the High Court until the 15th May 2001,
by which date the court required the discovery to be completed. Since the
plaintiff at that stage indicated concern that there had not been a full
compliance by the defendant with his discovery obligations, the court directed
that the plaintiff should file an affidavit by the 10th July of this year and
that any replying affidavit should be filed not later than the 17th July.
10. In
the affidavits which were sworn and filed by the plaintiff and the defendant in
July of this year, in accordance with that procedure, a contest emerged between
the parties as to whether in respect of a number of individual matters the
defendant had complied with his discovery obligations. The plaintiff was in
effect contending that it was clear that documentation had been generated in
respect of a number of matters which had not been discovered by the defendant:
he had either failed to discover documents which the plaintiff believed to be
in his possession or procurement or had failed to state what had become of
documents which had previously been in his possession. The defendant again in
response, in effect, said that in relation to all such matters he had complied
with his discovery obligations to the fullest extent possible, that he was not
withholding any documents covered by the discovery order from the plaintiff and
that, so far as documents not in his possession were concerned, he had made
every effort to obtain these from the relevant parties.
11. It
is unnecessary, for the purposes of this judgment, to discuss in detail all the
items which remained in controversy between the plaintiff and the defendant,
because the learned High Court judge made express findings as to non-compliance
in respect of three matters only. He indicated that he was not making any
finding either in favour of or against the defendant in respect of the other
matters of which the plaintiff made complaint and it is indeed one of the
principal grounds of appeal advanced on his behalf that this was an
unsatisfactory approach for the trial judge to have adopted: he should, as it
was urged, have expressly adjudicated on any matter in respect of which he
considered that there had been non-compliance and given his reasons for finding
that there had been such non-compliance. I will consider that submission at a
later stage in this judgment: at this point, however, it is appropriate to set
out the three matters in respect of which the learned High Court judge made
express findings of non-compliance.
12. In
the course of her affidavit of the 10th July, Marie Anne Howard, a solicitor
acting on behalf of the tribunal, at paragraphs 100 - 102, made certain
averments under the heading “Navona Limited”. She said that, on
days 223 and 224 of the public hearings of the tribunal, the defendant gave
evidence as to a sum in excess of £203,000 which had been debited to the
account of a company under his control, Advanced Proteins Limited, in November
1987. She said that the defendant’s evidence was that this was a
repayment of a loan advanced to him by the Goodman Group for the purpose of
developing research into animal proteins, that the project had not proceeded
and that this debit represented a cheque payment by him for the repayment of
the loan. When it was pointed out to him by the plaintiff that the recipient
of the cheque was a firm of solicitors, Binchys, the defendant stated that
Binchys were acting for Mr. Goodman. There were no documents relating to this
loan in the defendant’s discovery.
14. In
his replying affidavit of the 17th July, the defendant commented as follows on
those paragraphs of Ms. Howard’s affidavit:
15. In
a further affidavit dated the 18th July, 2001, and sworn by Susan Gilvarry,
another solicitor acting on behalf of the plaintiff, it was stated that, on the
7th March, 2001, the tribunal had sought from Mr. Goodman an authority directed
to his solicitor, Mr. Noel Smyth, requiring him to provide to the tribunal all
files, documents and records relating to a company called “Ellangrove
Limited”. Following receipt of a letter from Messrs. Noel Smyth and
Partners, the solicitors for the tribunal interviewed Mr. Ronan Hannigan, a
member of the firm of Noel Smyth and Partners, and were informed by him that he
had furnished the defendant, at his request, with all the files in their office
which he believed to be those of the defendant, the first relating to certain
High Court litigation (
Murphy
-v- Lawlor and Anor.)
and the second in respect of Ellangrove Limited.
Mr. Hannigan said that the defendant undertook, on collecting the file, to
provide copies thereof to the solicitors and discharge their outstanding fees
but that, although they had written on a number of occasions seeking fees in
respect of the Ellangrove matter, they had never been given the copies of the
files. Mr. Hannigan further informed the tribunal that, in the most recent
correspondence from the solicitor now acting for the defendant, it was stated
that the defendant’s instructions were that he
had
no involvement with Ellangrove Limited nor did he have any interests or
dealings with it whatsoever. Mr. Hannigan produced to the tribunal copies of
this correspondence, none of which had been discovered to the tribunal by Mr.
Lawlor to date.
16. At
the interview of July 17th, Mr. Noel Smyth said that he had been engaged by Mr.
Laurence Goodman to act on his behalf in seeking to recover expenditure of
approximately £157,000 which had been incurred by him or his company in
respect of interest payments and expenses accruing on foot of a loan made by
the Bank of Nova Scotia to Southfield Property Company Limited in respect of 55
acres at Coolamber, Lucan, Co. Dublin acquired by Navona Limited in December
1987. The affidavit continued
17. In
a further affidavit sworn on the 18th July 2001 by Ms. Howard, more details
were given of the transaction relating to the Coolamber lands. Ms. Howard,
having stated that the averment by the defendant that he had no knowledge of
Navona Limited or any dealings with such a company was untrue, referred to
copies of hand-written memorandums furnished by Mr. Goodman to the tribunal
which were stated to record a proposal put to him by the defendant in 1987
relating to the purchase of the lands. Having quoted the memorandum, she went
on
18. The
affidavit went on to refer to two further memoranda by Mr. Brian Britton, then
an employee of Mr. Goodman concerning the project for the acquisition of these
lands. These included telephone numbers appearing at the foot of the
memorandum which, Ms. Howard deposed, were those of the defendant’s
secretary, his direct telephone line, his mobile telephone line and his
telephone contact numbers at Dáil Éireann.
19. These
documents indicated that the company called “Navona Limited” was
being formed in the Isle of Man as the company in whose name the property was
to be purchased. In turn, Navona Limited was to hold those lands in trust for
an Irish company, Southfield Property Company Limited, to whom the Bank of Nova
Scotia issued a loan facility letter on 23rd December, 1987 offering to advance
the sum of £350,000. That letter made it clear that the facility was
being provided on condition that a letter of comfort in a format acceptable to
the bank from Mr. Goodman was provided, which would include a provision that
Mr. Goodman would not relinquish 100% beneficial ownership of Southfield
Property Company Limited so long as any amounts remained outstanding under the
facility.
20. The
tribunal was further informed by Mr. Goodman that he was never provided with
any shareholding in Southfield Property Company Limited, and that it
subsequently sold its interest in the lands to another Isle of Man registered
company, Vino Property Limited, without reference to him, without discharging
the interest payments which he had made in respect of the loan and without
accounting to him for any share in the profit realised upon the sale, in
breach, as Mr. Goodman alleged, of the defendant’s agreement with him.
He further informed the tribunal that, between 1993 and 1995, he was seeking to
recover from the defendant the monies which he had expended in the payment of
interest on the property loan in respect of these lands. He said that in the
course of these dealings he was provided by the defendant with a memorandum
prepared by him and faxed on the 12th December 1994.
21. Mr.
Goodman told the tribunal that he did not agree that the facts recited in the
memoranda were correct and in particular denied that he had any knowledge of
any parties other than the defendant in the transaction to acquire these lands.
The relevant contents of the memorandum (exhibit “MAH52”) are
summarised as follows by Ms. Howard at paragraph 13 of her affidavit:
22. In
an affidavit sworn by him in response on the 20th July, the defendant agreed
that he has collected a file relating to the action involving Mr. Murphy from
Noel Smyth and Partners. He says, however, that he was never asked for nor was
he given the Ellangrove file. He agreed that Noel Smyth and Partners had
subsequently sought fees from him, representing 50% of the Ellangrove fees, but
says that he had no idea why they sought to charge him with 50% of fees in
respect of services rendered years earlier by their firm to Mr. Goodman’s
company. He said that, accordingly, he subsequently simply ignored this
correspondence and discarded their letters. He said that he had no
recollection of having been written to by Noel Smyth and Partners “in
relation to the Ellangrove matter or concerning recovery of monies expended by
Mr. Goodman”. He said that this matter had been pursued by Mr. Smyth
through meetings with him.
24. The
defendant went on to say that, while his averments at paragraphs 100 - 102 of
his affidavit of July 17th were “relatively concise”, they should
be seen in the context of a lengthy affidavit required to be prepared and
delivered within a very short period under the stricture that “time was
to be of the essence” and in the context of having to reply to an
extremely detailed affidavit from Ms. Howard running to 63 pages and
accompanied by several hundred pages of exhibits.
25. The
defendant went on to say that, while he accepted that his understanding in
December 2000 of his obligations as to discovery and giving evidence to the
tribunal were incorrect, he was now endeavouring to comply fully with the
orders of the court. He went on
26. That
is the first matter in respect of which it is alleged on behalf of the
plaintiff, and was so found by the High Court, that there has been significant
failure by the defendant to comply with his discovery obligations.
27. The
defendant has given evidence to the tribunal that he was engaged in some
business ventures in the Czech Republic. One of the companies with which he
was associated in the course of those projects was a Jersey company, Longwater
Investments Limited (hereafter called “Longwater”). He also said
that, when he had a lot of bank debts in the mid 1990’s, Longwater had
advanced two loans to him of approximately £300,000 each, guaranteed
against his assets in Ireland and in the Czech Republic, for the purpose of
defraying debts then due by him to banks in this State.
28. It
appears that the amount of the indebtedness of the defendant to banks in
Ireland was in the sum of approximately £995,000, his main creditor being
the ACC Bank which had a charge in respect of debts of approximately
£640,000 on 23 acres of land adjacent to the 5 acres upon which the
defendants home is built. Those 23 acres were sold at auction on 25th July
1995 for a sum of £410,000 which sum, exclusive of solicitors’ and
auctioneers’ fees, was paid to the ACC Bank in full and final settlement
of the debts owed to it by the defendant. It also appears that the other Irish
banks who were creditors of the defendant agreed to accept £153,000 in
full and final settlement of those debts. It would appear to follow that, of
the sum of approximately £600,000 borrowed by the defendant from
Longwater, £153,000, at most, was used in discharge of the indebtedness of
the defendant to the Irish banks.
29. As
to these Longwater loans, the defendant gave evidence that these were drawn
down, as required, from a bank account in the above bank (hereafter “the
Landesbank”). This, he said, had been opened by Longwater and payments
were made out of it, at the direction of one David Morgan (now deceased) or his
son, Nicholas Morgan, a lawyer in Jersey, when the defendant required to defray
a bank debt in Ireland.
30. The
only documentation in relation to such a payment was, however, a letter from
the defendant to National Irish Bank, Naas, Co. Kildare dated 30th January 1997
in which it was stated:
31. It
transpired that there were in fact eight, not one, accounts in the Landesbank.
These are identified in the relevant affidavit of discovery by reference to the
account number and type of account: the name of the holder of the account is
not identified. At the date of the swearing of the affidavit of 10th July by
Ms. Howard, the only contemporaneous documentation produced by the defendant in
respect of the Landesbank were :
32. It
also appears that, the opening balance on the first of these accounts was a sum
of £351,064 on 14th September 1995, from which £160,000 appeared to
have been transferred to the National Irish Bank, Naas in October 1995. It
appears that a total of approximately £604,000 was transferred from the
Landesbank accounts to Irish accounts of the defendant. The accounts continued
to receive monies from an unidentified source up to their closure in 1999 and
to be the source of funding of the defendant’s Irish bank accounts until
that year. There were three lodgments to the accounts, of £351,251 on the
14th September, 1995, £333,325 on the 23rd October, 1998 and US$30,000 on
the 9th April, 1998.
33. In
his replying affidavit, the defendant said that he had gone to considerable
lengths to obtain these statements from the Landesbank: these had been
delivered by an entity called the “CI Law Trust Group” to him on
21st March 2001 and his solicitors then wrote to that body on the 26th March
requesting confirmation that the accounts furnished were the entirety of the
accounts held by that bank in relation to him. He also said that the
statements furnished by the Landesbank would not recite the account
holder’s name or address, but would simply refer to a code. He said that
his solicitors had received no response to the request made on 26th March 2001.
34. The
defendant also said that the arrangement for drawing down the funds from these
accounts was for him to contact Longwater and the bank by telephone: he was
then required to identify the account number, his passport number and the
password for the account (“Lucan”).
35. The
defendant also gave evidence in relation to these matters to the tribunal and
said that the person he dealt with at the bank was a Dr. Kieber and that his
instructions to that person were always by telephone. When he was referred to
the letter to the manager of the National Irish Bank in Naas, he accepted that
there had been written communications with the Landesbank and a letter was
signed by him authorising the release to the tribunal of all documents relating
to the accounts. The defendant was ordered not to communicate with Dr. Kieber
until January 16th 2001. No response was received by that date and it is not
in dispute that thereafter the defendant was free to get in touch with Dr.
Kieber and endeavour to procure for the tribunal the documentation relating to
the movements in the accounts. At the hearing in the High Court, a letter
dated April 30th was produced from the defendant to Dr. Kieber requesting the
documentation in question. This letter had been written after the time for
making discovery as originally fixed had expired.
36. This
court was informed during the course of the appeal that, subsequent to the
decision of the High Court, a further affidavit of discovery had been filed by
the defendant. In addition to more recent bank statements from the Landesbank,
faxes in relation to the accounts were produced which had not been discovered
at any earlier stage.
37. In
the course of his judgment, the trial judge said that the defendant’s
discovery was deficient
inter
alia
39. In
his judgment, the learned High Court judge identified as a further illustration
of the deficiency in the defendant’s discovery
40. The
material parts of Form 10 (the form prescribed by Order 31 Rule 13 for an
affidavit as to documents) is as follows:
41. In
his affidavit of discovery sworn on the 11th May 2001, the defendant deposed as
follows in paragraph 3:
44. As
already noted, this was one of the three matters in respect of which the
learned High Court judge made a specific finding that there had been a
non-compliance by the defendant with the order of the 15th January 2001.
45. In
the course of his judgment, the trial judge said that, in dealing with the
matter at earlier stages, the court had sought to balance fairly the urgency
attaching to the tribunal’s investigations and the difficulties
confronting the defendant in supplying information and documentation to the
plaintiff. He said that regard had been had to the period of time and the
volume of documentation involved and the fact that matters which might be of
importance to the plaintiff might not have so registered with the defendant.
However, while he accepted that some omissions in the documentation to date
could be regarded as peripheral, he considered that
48. Having
then discussed the legal principles applicable as to contempt of court and the
arguments advanced on behalf of the plaintiff and the defendant, the trial
judge said that there had been only partial compliance with the order of the
15th January and that he took a very serious view of that fact “against
the background of this litigation”. He was also of the view that it
would be unfair to impose as a term of imprisonment the whole of the balance of
the sentence, because there was still a period during which it was possible
that compliance might be complete and the defendant had already undertaken
considerable work in an attempt at compliance.
49. The
trial judge said that, given that the non-compliance had been of a serious
character, several weeks imprisonment should be the result, but that he was
mindful that what might be regarded as a draconian power ought not to be
exercised “too prodigally” or in a manner which was inconsistent
with the requirements of the Constitution. In those circumstances, as already
noted, he decided that the defendant should serve a further week’s
imprisonment and made the other orders to which I have referred.
50. On
behalf of the defendant, Mr. John Trainor SC., submitted that, although the
High Court judge had founded his judgment on the premise that there had been
serious deficiencies in the discovery to date
and
that the documents placed before the court evidenced a “want of frankness
and completeness”,
he
had expressly refrained from giving any particulars, save in the three
instances already referred to in this judgment. He said that the trial judge
by adopting what he described in the judgment as “a conspectus view of
the evidence” had arrived at conclusions which were seriously flawed.
Either he had arrived at conclusions adverse to the defendant in relation to
matters other than the three specified matters or he had not. If he had
arrived at such adverse conclusions, Mr. Trainor urged, then justice to the
defendant required that he specify the reasons for those conclusions. That was
of particular significance, given the detailed response by the defendant to all
of the matters raised in Ms. Howard's affidavit of the 10th July. If he had
not arrived at any finding adverse to the defendant in respect of all the
remaining matters
,
then
his judgment was also flawed in that he did not make an express finding to that
effect and take it into account when considering what order should now be made
and, in particular, whether the defendant should suffer the serious sanction of
imprisonment.
51. As
to the first matter in respect of which the trial judge had made an express
finding, i.e., the Coolamber lands, Mr. Trainor submitted that the sworn
evidence of the defendant to the effect that he neither sought nor received the
missing Ellangrove file from Noel Smyth & Partners was not contested.
Accordingly, the only deficiency identified in respect of the defendants
discovery was the absence of a specific listing in the second schedule of the
sales brochure which he had given to Mr. Goodman, the fax which he had sent to
Mr. Goodman and the four letters from Noel Smyth and Partners concerning the
Ellangrove file which he had discarded. It was arguable whether the proper
completion of the second schedule required these documents to be specifically
listed: if it did, it was the only failure to comply with the order of January
16th 2001 which had been established.
52. As
to the Landesbank accounts, Mr. Trainor submitted that the trial judge appeared
to have overlooked the fact that documentation concerning the Landesbank
account had already been procured from the CI Law Group Limited and discovered
prior to 30th March 2001. Moreover, the letter to Dr. Kieber was sent before
the time for discovery had expired on May 15th.
53. As
to the claim that the second schedule was not in accordance with Form 10 in
Appendix C to the Rules, Mr. Trainor submitted that it was customary for
affidavits to be sworn in the form adopted by the appellant in this case. It
was accepted that, in accordance with the decision of this court in
Bula
Limited (In Receivership) -v- Crowley
[1991] 1 IR 220, where a claim of privilege was being made in respect of
documents, those documents had to be individually listed in the first schedule.
That did not apply, however, where as here, a deponent was giving evidence as
to documents no longer in his possession, power or procurement.
54. As
to the sentence imposed by the High Court, Mr. Trainor submitted that if,
contrary to his submissions, any form of contempt had taken place, it was civil
contempt and that the object of this branch of the law was not punitive but
coercive. It followed that the period of committal should be until such time
as the order was complied with or until it was waived by the party for whose
benefit it was made, citing the decision of this court in
Keegan
-v- de Burca
[1973] IR 223 and of Finlay P as he then was, in
The
State (Commins) -v- McCrann
[1977]
IR 78
.
55. Mr.
Trainor further submitted that the power to order committal for civil contempt
was one to be exercised with very great care. The court would not order
committal where its contempt was of a minor or technical nature
,
citing the English decisions
in
Marshall
-v- Marshall
[1966] 110 SOL JO 112,
Smyth
-v- Smyth
[1988] 1 FLR 179 at 181. Where the order of committal was suspended and the
contemnor was subsequently in breach of the terms of the suspension, the court
had a discretion whether to order the imprisonment of the contemnor: citing
Re:
W (B) and infant
[1969] 1 All ER
594.
Mr. Trainor said that imprisonment should always be regarded as a sanction of
last resort in cases of contempt, citing Arlidge, Eady and Smyth on
Contempt
(second edition) [1999] at para. 14.3. In cases such as the present, it should
only be used where the person in default had clearly demonstrated that he had
no intention of complying with the order. Moreover, where, as here, the party
was unable to obtain access to the documents through no fault of his own, the
penal power should not be exercised: see
Wilson
-v- Raffalovich
[1881] 7 QBD 553.
56. Mr.
Trainor further submitted that the course adopted by the learned High Court
judge did not adequately distinguish between the default that had unarguably
occurred prior to the order of January 15th and any default which might have
occurred thereafter. It was unjust that the appellant should suffer precisely
the same term of imprisonment in respect of what, in comparison with the
admitted default prior to January 15th, was not a default of a major nature.
That, of itself, rendered the sanction imposed excessive and disproportionate.
57. On
behalf of the plaintiff, Mr. Frank Clarke SC., submitted that the order made by
the plaintiff now being appealed from should be seen in the context of the
earlier history of the matter : the original orders made by the tribunal in
April 1999, the orders of the High Court of June 8th 2000 and 24th October 2000
requiring compliance by the defendant with the orders of the plaintiff,
unsuccessfully appealed to this court, and the contempt committed by the
appellant of those orders, described by the learned High Court judge as one
committed “in a deliberate and most serious manner”. That finding
by the High Court had not been the subject of any appeal to this court. Mr.
Clarke said that, following the delivery and analysis of the final affidavit of
discovery furnished by the defendant in purported compliance with the order of
15th January 2001, the plaintiff had come to the conclusion that,
notwithstanding the production by the defendant of extensive documentation, he
had failed to comply fully with the orders. It was in consequence of that
conclusion having been communicated to the High Court that the affidavits on
behalf of the plaintiff setting out the alleged deficiencies and affidavits in
response were filed.
58. Mr.
Clarke submitted, that while the submissions on behalf of the appellant laid
stress on the fact that the trial judge had adopted what he described as
“a conspectus view”, the fact remained that three specific examples
of deficiencies in the discovery had been identified in the judgment. Of
these, that relating to the lands at Coolamber was of considerable importance
in the context of the inquiries undertaken by the plaintiff in compliance with
the resolution of the Houses of the Oireachtas.
59. Mr.
Clarke submitted that the account given by the appellant in his affidavit of
17th July 2001 of his involvement in the purchase and development of the
Coolamber Lands was less that complete. Indeed, the appellant himself accepted
that, in giving evidence to the tribunal in relation to this matter, he was not
“fully forthcoming” with regard to these lands. In the context of
the present appeal, the critical matter was that the appellant did have at one
stage documents relating to those transactions, including the important note
prepared by him for Mr. Goodman in which his involvement in the transaction was
recorded and brochures relating to the property, documents which he said had
been disposed of when his offices were being cleaned out in 1995 or thereabouts.
60. Mr.
Clarke submitted that, having regard to the fact that this information was only
furnished by the defendant after the plaintiff had placed before the court
evidence indicating that the explanation originally given of his role was less
that complete, it was unarguable that there had been a serious failure to
comply with his discovery obligations. Even assuming that the appellant was
not obliged to list the individual items concerned in the second schedule in
the light of the construction adopted on his behalf as to the relevant
requirements in the Rules of the Superior Courts, he was at the very least
under an obligation to identify those categories of documents of which he was
once possessed but no longer had in relation to this matter. This he had
failed to do and that of itself fully justified the High Court in reactivating
in part the sentence suspended in January 2001.
61. As
to the second matter - the Landesbank accounts - Mr. Clarke submitted that the
Landesbank accounts were of considerable significance in the context of the
plaintiff’s investigations and the defendant was clearly obliged to make
a serious and expeditious attempt to obtain all the relevant documentation in
relation to these accounts. In the event, Mr. Clarke submitted, he made no
attempt to do so until after the time for making discovery had expired when he
wrote the letter of April 30th to Dr. Kieber. As the court had been informed,
subsequent to the decision of the High Court faxes to Dr. Kieber had been
produced by the defendant, but there appeared to be no explanation as to why
these had not been produced before.
62. As
to the third deficiency identified by the trial judge, the failure to comply
with the requirements of Appendix C of the Rules of the Superior Courts, Mr.
Clarke submitted that the failure to complete the second schedule in accordance
with the requirements of the rules would have unquestionably deprived the
plaintiff of important information which he required for the purposes of his
investigation, had he not obtained it from other sources. This, he said, had
been strikingly demonstrated in the case of the Coolamber lands.
63. Mr.
Clarke said that the defendant could have been under no illusion as to what was
required of him: in fact, in swearing a supplemental affidavit of discovery on
foot of the High Court order of October 24th, he had provided a schedule in the
appropriate form which sought to identify at least some of the categories of
documents which he once had, but which no longer were in his possession. By
contrast, the second schedule to the affidavit of discovery now under
consideration confined itself to a general reference to documents that could
not now be produced, without identifying the documents and, stating when they
were in the deponent’s possession and what had become of them.
64. Mr.
Clarke submitted that it was an essential feature of the discovery process that
the person making discovery does not confine his discovery to documents
actually in his possession : the party for whose benefit the order is made must
be in a position to obtain production of documents no longer in the possession
of the person making discovery from the parties who now have them. He referred
in this connection to the statement of the law in Bray on
Discovery
[1885]
65. As
to the knowledge on the part of the defendant as to his obligations in this
regard, Mr. Clarke said that this had been one of the specific issues raised
before the High Court on the contempt application in January 2001: in her
affidavit grounding that application, Ms. Howard had referred to the fact that
the defendant had not complied with his obligation to furnish a proper second
schedule.
66. As
to the sentence imposed by the learned High Court judge, Mr. Clarke said that
the attitude on behalf of the plaintiff in the High Court had been that, they
having drawn the attention of the court to the areas in which the defendant had
failed to comply with the orders of the court, it was a matter for the court to
determine what the appropriate sentence was. He submitted that this court
should not interfere with the sentence imposed by the High Court judge for the
established non-compliance with his earlier order, unless there had been some
error in principle on his part or the nature of the sentence was, in the
circumstances, excessive and disproportionate. He submitted that, given that
what was conceded to be an entirely appropriate sentence of three months had
originally been imposed, it was clear that the re-imposition of no more than a
further week of the sentence was one which it was within the jurisdiction of
the High Court to adopt as a suitable sanction.
67. Mr.
Clarke submitted that, while it was clear that the primary object of civil
contempt was normally coercive rather than punitive, it had to be borne in mind
that this formulation did not exclude entirely a punitive element, a matter of
considerable importance in the present proceedings, which were inquisitorial
rather than adversarial in nature and where the court was entitled to bear in
mind the public interest in ensuring that, not simply the defendant, but all
persons appearing before the tribunal complied fully with its lawful
requirements. He also submitted that the decision of the English Court of
Appeal in
Re
W (B) and infant
[1969] 1 All ER 594 to the effect that, where a suspended sentence is imposed
for contempt, the court has a discretion to do what is just in all the
circumstances, was correct and should be followed.
68. The
tribunal of inquiry, of which the plaintiff is the sole member, was established
by a resolution of both Houses of the Oireachtas to inquire into specified
matters of public concern, i.e., certain planning matters and payments, as a
matter of urgency. Two features of such an investigation should be emphasised.
First, they are essentially inquisitorial rather that adversarial in their
nature and hence not all the features associated with a
lis
inter partes
are present. Secondly, in recent times, the Oireachtas has thought it
appropriate to strengthen the powers available to such tribunals to ensure that
the evidence which they require to bring their investigations to a
comprehensive and speedy conclusion, whether it takes the form of oral
testimony or documentary evidence, is made available to then as expeditiously
as is practicable. In particular, s.4 of the Tribunals of Inquiry (Evidence)
(Amendment) Act, 1997 provides that
69. These
considerations must, in my view, be borne in mind when applying to this case
the principles of the civil law of contempt which, as it is agreed, are
applicable.
71. In
that case, the essential issue for determination was as to whether a refusal to
answer a question during the course of civil proceedings constituted contempt
in the face of the court which was criminal contempt and accordingly punishable
only by a determinate sentence. The majority of the court were of the view
that it was a criminal contempt and hence punishable by a determinate sentence
only. McLoughlin J was of the view that, since the primary object of the
imposition of the sentence in that case was to ensure that the question was
answered, it was appropriate to deal with it by means of an indeterminate
sentence until the contemnor had purged her contempt.
72. Accordingly,
while the decision suggests that there may be some room for a difference of
view as to whether a sentence imposed in respect of civil contempt is
exclusively
- as distinct from
primarily
- coercive in its nature in civil proceedings generally, I am satisfied that
where, as here, the proceedings are inquisitorial in their nature and the
legislature has expressly empowered the High Court to secure compliance with
the orders of the tribunal, it cannot be said that a sentence imposed in
respect of a contumelious disregard of the orders of the tribunal and the High
Court is coercive only in its nature. The machinery available for dealing with
contempt of this nature exists not simply to advance the private, although
legitimate, interests of a litigant: it is there to advance the public interest
in the proper and expeditious investigation of the matters within the remit of
the tribunal and so as to ensure that, not merely the appellant in this case,
but all persons who are required by law to give evidence, whether by way of
oral testimony or in documentary form, to the tribunal comply with their
obligations fully and without qualification.
73. I
am also satisfied that a court has jurisdiction to suspend, in whole or part, a
sentence of imprisonment imposed in respect of civil contempt and thereafter,
in the event of a further contempt, may at its discretion require the party in
default to serve some or all of the balance of the sentence. I would adopt the
statement of the law by the English Court of Appeal in the case of
Re
W B (an infant)
[1969] 1 All ER 594. In that case, an undertaking had been given to the court
by a person that he would have no communication with an infant ward. There
having been a breach of that undertaking, a sentence of imprisonment was
imposed. It was, however, suspended on condition that the person did not
communicate or associate with the ward. When the order was disobeyed again,
the trial judge directed that the sentence of imprisonment should take effect,
expressing the view that he had no jurisdiction to do otherwise. The Court of
Appeal held that this was a mistaken view of his jurisdiction, the law being
thus explained by Lord Denning MR:-
74. The
next legal matter to be considered is the extent of the defendant’s
obligations in regard to discovery. I have already set out in this judgment so
much of Form 10 of Appendix C as is relevant to a party’s obligation to
discover documents relating to the matters in question in a suit which were
formerly, but are not now, in his possession or power. The requirements of
Order 31, Rule 13 and the format of Form No. 10 reflect the experience of the
law that the effect of the powerful weapon of discovery would be seriously
diluted if the obligations of a party were confined to producing documents in
its possession or power at the time the order is made. The law is stated as
follows in Bray on
Discovery:
75. I
have no doubt that this purpose might well be frustrated if a party were
allowed to comply with his obligations in relation to documents no longer in his
possession
or power by swearing an affidavit in the form adopted by the defendant in these
proceedings.
76. In
the course of his able submissions on behalf of the appellant, Mr. Trainor
emphasised what he urged was the unsatisfactory approach of the trial judge in
this case and said that, if it were the position that, in imposing the sentence
of imprisonment which he did, he had taken into account the various matters
contested in the affidavits filed on behalf of the parties in respect of which
he had made no specific findings, that should not be allowed to stand. That
submission would appear to me to be irresistible, if that were indeed what the
trial judge had done. A careful reading of the judgment and a consideration of
the surrounding circumstances in which that judgment was delivered has led me
to the conclusion, however, that that was not what the trial judge did.
77. It
is beyond doubt that the trial judge made three specific findings of
non-compliance by the defendant with his order of January 15th 2001. Leaving
aside for the moment the question as to whether those findings were justified
by the evidence on affidavit before him and their respective significance, it
is beyond
doubt
that they were made by him. It is also the case that, in relation to a number
of other matters in respect of which there was a contest between the parties,
he considered it inappropriate to arrive at any final determination. But it is
of importance in this context that the trial judge not only imposed a sanction
in respect of the non-compliance which he considered had been established: he
also required the defendant to make a further and better affidavit of
discovery. Mr. Trainor’s submission that the trial judge could not
legitimately require a further affidavit of discovery to be sworn in a case
where the defendant had already complied to the best of his ability with an
existing order for discovery begs the question, since it assumes that that is
what the defendant had done. If the trial judge were correct in his finding
that there had been three specific instances of non-compliance with his earlier
order, then he was clearly entitled to require the defendant to swear a further
affidavit of discovery. In the light of the previous history of the matter, he
was clearly entitled also, in my view, to make no finding until that further
affidavit was filed as to the other matters which were in contention between
the parties and I do not infer from his judgment that he was taking into
account, in reactivating the suspended sentence to the extent that he did, any
matters other than the matters in respect of which he had made express findings
of non-compliance.
78. Those
findings must next be considered. As to the first, it is clear that, in the
light of the legal principles to which I have referred, the affidavit of
discovery did not comply with the requirements of Order 31, Rule 13 and Form
No. 10 in Appendix C, since in even the most generalised form it did not refer
to any of the documents relevant to the defendant's interest in the Coolamber
lands, although he later conceded that such documents had been in his
possession, i.e., the sales brochure and the memorandum sent by him to Mr.
Goodman (exhibit “MAH52”)
.
79. Nor,
in my view, can there be the slightest doubt as to the significance of that
deficiency in the defendant’s discovery. To put it at its mildest, his
averment on oath that
80. As
to the Landesbank accounts, the plaintiff was legitimately concerned to obtain
all the documentation evidencing the source and ultimate destination of the
substantial sums lodged to these accounts. It is an important feature of the
law as to discovery of documents that the obligation of the party required to
make discovery extends not merely to documents which are, or have been, in his
possession: it also extends to documents relating to the matters in question in
the suit which, while not in his possession, are or have been in his power,
i.e., are held by other persons on his behalf or in circumstances where he can
reasonably require those persons to produce the documents, or copies of them,
to him. The tribunal and the High Court were fully entitled to infer from the
evidence available to them in relation to the Landesbank accounts that a
significant amount of documentation in respect of those accounts was either in
the possession of the defendant or of persons who could be required to produce
such documentation, such as the officers of the Landesbank and, in particular,
Dr.Kieber. As the letter of 30th January 1997 to the National Irish Bank in
Naas made clear, such documents undoubtedly are, or were, in existence. Given
the importance of the matter and the previous history of the defendant’s
failure to comply with the orders of the tribunal and the High Court, it was
the duty of the defendant in order to comply with his discovery obligations to
pursue expeditiously by every means in his power the recovery of these
documents from Dr. Kieber and any other person in whose possession they might be.
81. No
such steps had been taken by the defendant when the period originally fixed for
completion of the discovery expired on the 31st March of this year. Although
he had been expressly released from the prohibition on communication with Dr.
Kieber on the 16th January 2001 he took no steps whatever to recover any of the
documents until 30th April. He then confined himself to writing one letter to
Dr. Kieber and appears to have taken no further steps between then and when the
High Court dealt with the matter in July of this year. I am satisfied that the
trial judge was entitled to draw the inference from those facts that there had
been a failure to comply with the defendant’s discovery obligation in
regard to the Landesbank accounts.
82. As
to the third matter - the compliance with Form No. 10 of Appendix C - I have
already pointed out that, while the rules as to the discovery of documents no
longer in a parties possession or power should not be construed in a manner
with would be unduly burdensome or impracticable, that did not justify the use
of the formula adopted by the defendant in relation to the second schedule in
this case. Nor could the defendant have been under any doubt as to his
obligations in this context, since this had been specifically referred to in
the application to the High Court in January of this year.
83. I
am, accordingly, satisfied that, in respect of these three matters, it was
established that the defendant had failed to comply with the relevant orders of
the tribunal and of the High Court and that, while none of the instances of
non-compliance can properly be characterised as technical or minor in their
nature, the failure to make any discovery of the documentation relating to the
Coolamber lands was particularly serious. The question that remains is as to
whether, in those circumstances, the order made by the trial judge was one that
should be set aside by this court.
84. The
jurisdiction of this court to interfere with the order of the trial judge in a
case of civil contempt of this nature is somewhat analogous to that of an
appellate court dealing with a sentence imposed in criminal proceedings. This
court should not interfere unless it is satisfied that the trial judge erred in
principle or that the sentence imposed was excessive or disproportionate.
85. In
my view, there was no error in principle by the trial judge. Having correctly
found that, in three respects, one of them of a particularly serious character,
the defendant had failed to comply with his discovery obligations, he was
entitled to reactivate so much of the custodial sentence as was appropriate in
all the circumstances. I would not consider the imposition of a further
week’s sentence of imprisonment and a fine of £5,000 - or indeed a
significantly increased penalty - excessive or disproportionate.
87. I
agree with the judgment of the Chief Justice. Since it so comprehensive, it may
seem excessive to add this brief contribution. I do so only because, while
initially persuaded by the cogent and eloquent argument of Mr Trainor, I have
come to the conclusion that on the issue variously described as relating to the
Coolamber lands or Navona Limited, the Appellant has so patently defied the
order of the Court and, more particularly, has sworn at least one affidavit
that is demonstrably so incomplete as to entail deliberate deception, that, for
this reason alone, the appeal should be dismissed.
88. The
facts are fully set out in the judgment of the Chief Justice. I deal only with
the issue mentioned above.
89. It
will be recalled that Smyth J stated in his judgment that Navona was mentioned
for the first time in the affidavit of Ms Howard sworn on 10th July 2001. At
the same time, it is clear from the same affidavit that the appellant was
questioned during his evidence before the Tribunal about a company called
Advance Proteins Limited, which was a vehicle for certain payments passing
between Mr Larry Goodman or his companies and the appellant.
90. Standing
alone, Ms Howard’s statements about Navona have the quality of hearsay.
They are said to be based on research carried out by the Tribunal’s legal
team. They allege essentially that the appellant
“was
involved with Mr. Goodman in this purchase,”
meaning
“the purchase by an Isle of Man company Navona Limited, of fifty five
acres land at Coolamber, Lucan ...”
91. The
response of the appellant in his affidavit of 17th July was that he had no
recollection or knowledge of Navona Limited and that he had had no dealings
with it. In a literal sense, that might be true. It has not been established
that the appellant knew of any Isle of Man Company under that name. However,
the appellant’s claimed ignorance must be placed in the context in which
his averment was made, namely that Navona was alleged to have been used as a
vehicle for the purchase of the Coolamber lands. In this latter respect, the
appellant swore unequivocally, in a passage specially underlined by the Chief
Justice that he
“was
not involved in the purchase or ownership, nor did [he] have any interest in
the lands, either before or subsequent to their acquisition.”
He admitted only that he was an adjoining owner to the lands who was aware of
their development potential. He had recommended the lands to Mr Goodman and it
“was
at all times up to Mr Goodman to decide whether to purchase the lands or
otherwise.”
92. Ms.
Howard’s further replying affidavit of 18th July contains a comprehensive
rebuttal of the appellant’s claimed lack of interest in the lands. Only
after reading it, did the appellant commence to reveal the true extent of his
interest in the Coolamber lands. The fact that she relied on third party
documents or statements becomes irrelevant, in the light of later developments.
This evidence can be summarised as follows. The lands at Coolamber were offered
for sale by tender on 22nd July 1987. Mr Larry Goodman produced to the
Tribunal his own handwritten memo of a proposal he said had been put to him by
the appellant for the purchase of the lands and how this was to be financed and
the appellant gave Mr Goodman a copy of the estate agents’ sales
brochure. Mr Brian Britton, then an employee of the Goodman organisation
prepared two handwritten memoranda dated 17th and 21st July 1987 respectively
regarding this financing. The first was headed
“Coolamber.”
The second was headed
“LL”,
stated by all concerned to be the initials of the appellant, which appears at
several points in the document. A third memorandum, also apparently written by
Mr Britton, and dated 23rd July 1987 reads:
93. The
details of the arrangement as it emerges from these documents are sketchy. The
documents themselves and the evidence given to the Tribunal about them clearly
suggest, nonetheless, that the appellant negotiated an agreement or arrangement
with Mr Goodman for the purchase of the Coolamber lands. The financing
mechanism envisaged appears to have been that the lands would be bought by a
company wholly owned by Mr Goodman, which would enable the company to obtain a
loan of £350,000 for their purchase and that the appellant would be
entitled to share in any profit made on resale and after the bank borrowings
were discharged. It is apparently that feature of the deal that has enabled the
appellant to justify his denial of any beneficial interest in the lands.
94. Ms
Howard’s affidavit of 18th July also refers to information obtained from
Binchys, Solicitors. The lands, it seems, were purchased, pursuant to an
agreement dated 30th July 1987, by Navona Limited. Binchys have produced a
copy of a declaration of trust by Navona Limited in respect of the lands in
favour of Southfield Limited, the company that was to take the loan of
£350,000 and over which Mr Goodman was, according to the banking
arrangements, to have and maintain 100% control. In fact, he has said that he
was provided with no shares in the company. He has also said that the interest
in the lands was later sold to an Isle of Man Company, Vico Property Limited
without reference to Mr Goodman and without discharging the interest payments
he had made on behalf of Southfield Limited.
95. Most
tellingly of all, perhaps, Ms. Howard exhibited an incomplete copy of a
memorandum recounting the history of the land transaction. This, according to
Mr Goodman’s evidence to the Tribunal, was prepared by the appellant at
Mr Goodman’s request after the latter had been seeking to recover the
interests payments from him. It was faxed to Mr Goodman on 12th December 1994.
It is unnecessary to discuss the detail of this document especially as much of
it has been disputed by Mr Goodman. Ms Howard produced it, as she said,
“..
for the purpose of establishing that the [appellant].. ..has in this memorandum
claimed to have held various shareholdings in the lands in respect of which he
denies involvement ...”
The
document appears to contain an account of a number of meetings with a number of
persons, particularly Mr Jim Kennedy and Mr John Caldwell, solicitor of
Binchys. If true the document shows that the appellant:
96. Prompted
by the material disclosed in Ms. Howard’s affidavit, the appellant gave a
very different version of the matter in his own affidavit of 20th July. He
described his earlier version as being
“relatively concise.”
In fact, it will be recalled, he had sworn that he “was not involved in
the purchase or ownership, nor did [he] have any interest in the lands, either
before or subsequent to their acquisition.”
97. Since
it is not my purpose to make any findings about the true nature of the
transactions, which are matters for the Tribunal, it will suffice if I quote
some paragraphs of the appellant’s affidavit of 20th July:
98. In
his affidavit of 20th July, the appellant no longer denies that he was involved
in the purchase of the lands. His earlier statement was more than concise. It
was untrue. In circumstances, where the appellant had already been found in
contempt, had had a sentence of three months’ imprisonment imposed upon
him and had served one week in prison as well as having been ordered to make
further discovery, it is extraordinary that he should make a statement of
non-involvement in a transaction which he knew to be of interest to the
Tribunal when quite obviously he was, at the least, actively concerned. Given
his stance that he had no involvement at all with the lands, he clearly could
not address correctly and properly the question of what relevant documents were
or had been in his possession.
99. I
have concentrated on this one aspect of the contempt, because it is so
egregious. I am satisfied that his failure to respect the order of the court
in this one respect alone justified the imposition on him of the further period
of imprisonment and the fine imposed by the learned trial judge.