About SAFLII
Databases
Search
Terms of Use
RSS Feeds
South Africa: Kwazulu-Natal High Court, Pietermaritzburg
SAFLII
>>
Databases
>>
South Africa: Kwazulu-Natal High Court, Pietermaritzburg
>>
2013
>>
[2013] ZAKZPHC 5
|
|
Pretorius and Others v Magistrate, Durban and Others (AR155/12) [2013] ZAKZPHC 5; 2013 (2) SACR 153 (KZP) (18 January 2013)
IN
THE KWAZULU-NATAL HIGH COURT, PIETERMATRIZBURG
REPUBLIC
OF SOUTH AFRICA
CASE NO:
AR155/12
In
the matter between:
TRACY-ANNE PRETORIUS
......................................
FIRST APPLICANT
TYRONNE HOFLAND
...........................................
SECOND
APPLICANT
BONZILE CHUTSHELA
...........................................
THIRD
APPLICANT
TRAVIS BAILEY
.................................................
FOURTH
APPLICANT
SENZELE DLEZI
.....................................................
FIFTH
APPLICANT
and
THE MAGISTRATE, DURBAN
...............................
FIRST
RESPONDENT
THE STATE
.....................................................
SECOND
RESPONDENT
J P VAN DER VER VEEN
.....................................
THIRD
RESPONDENT
JUDGMENT
KRUGER
J:
[1] The Applicants, by way of Notice
of Motion, supported by affidavits, seek an order in the following
terms:
That the criminal proceedings
conducted before the First Respondent in the Durban Magistrate’s
Court under Case No. 23/14444/10
wherein the Applicants were
convicted of contravening Section 5(b) of the Drugs and Drug
Trafficking Act, 140 of 1992 (dealing
in dagga) on 4
th
April 2011 be reviewed and corrected or set aside.
That the Second Respondent may
reinstate proceedings in respect of the same charge in terms of
Section 324
(c) of the
Criminal Procedure Act 51 of 1977
.
Further and/or alternative relief.
Costs of suit in the event that the
application is opposed.
[2] Initially the application was
brought on behalf of the first two Applicants only. However, on the
day of the hearing, the remaining
three applicants sought leave to
join in the proceedings and made common cause with the arguments
advanced on behalf of the first
two Applicants. This application was
not opposed and was duly granted.
[3] The relief sought was opposed by
the Second Respondent. The First Respondent elected to abide the
decision of this Court. The
Third Respondent initially elected to
oppose the application but later also decided to abide the decision
of this Court. However,
as an officer of this court, he elected to
furnish an affidavit placing before the Court certain facts to
explain his involvement
in the conduct of the defence of the
Applicants in their trial before the First Respondent. This affidavit
was responded to by
the First and Second Applicants who also filed
certain supporting affidavits attested to by persons mentioned and/or
implicated
by the Third Respondent in his affidavit. As a result of
the counter-allegations made by the First and Second Applicants, the
Third
Respondent filed a further affidavit. The Applicants initially
objected to the filing of this affidavit. However, on the day of
the
hearing, the Applicants withdrew their objection and the Third
Respondent’s further affidavit became part of the proceedings.
[4] The Applicants, all represented
by the Third Respondent, duly instructed by attorney Sarah Pugsley,
pleaded not guilty to a
charge of dealing in dagga. At the end of the
State’s case, an application in terms of
Section 174
of the
Criminal Procedure Act was
made. In his submissions to the Court
a
quo
, the Third Respondent challenged the constitutional validity
of the charge against the Applicants. He accordingly applied to have
the charges set aside. The Magistrate correctly ruled that the
Magistrate’s Court did not have the power to rule on
Constitutional
issues and dismissed the application. She also
informed the Applicants that such application ought to be brought to
a higher court
at the appropriate time. The application in terms of
Section 174
was also refused. The Applicants thereafter elected not
to testify and the defence closed its case. As a result, the
Applicants
were all convicted. The Applicants now seek the relief as
hereinbefore mentioned. It is important to note that the Applicants
have
not been sentenced as yet. Sentencing has been postponed pending
the outcome of this application.
[5] In
Wahlhaus and others v
Additional Magistrate, Johannesburg and another
1959 (3)
SA113 (AD)
, the Court held that the inherent jurisdiction of the
High Court to review proceedings in lower courts prior to the
conclusion
thereof in that Court, should be exercised only where:
“
grave injustice might
otherwise result or where justice might not by other means be
attained. … (the power of a superior
court to interfere before
proceedings have been finalized in the lower court) is a power which
is to be sparingly exercised. It
is impracticable to attempt any
precise definition of the ambit of this power; for each case must
depend upon its own circumstances”.
(at page 120).
[6] In
Nourse v van Heerden NO
and others
1999 (2) SACR 198
(WLD)
, Wunsh J held (at
207 D-E):
“
The reason why applications
to interfere with proceedings in a court below are entertained in
only exceptional cases is the avoidance
of a piecemeal appeal or
review; it is generally desirable to wait for the proceedings to be
completed before a higher court is
asked to interfere. The argument
loses some of its force … where the effect of the application,
if successful, will be to
terminate the proceedings altogether.”
[7] The test was clearly defined by
Hlophe ADJP (as he then was) et Griesel J in
S v The
Attorney-General of the Western Cape
;
S v
Regional Magistrate, Wynberg and another
1999(2) SACR 13
(CPD) at 22 E-F
as follows:
“
For purposes of the review
application, the proper approach, in our view, is to consider whether
the Applicant has made out a case
for departing from the general rule
that it is undesirable in criminal proceedings to entertain appeals
and/or reviews before the
trial has been concluded. To put the same
test in different terms: is this one of those rare cases where grave
injustice might
otherwise result if we do not interfere before
criminal proceedings have been finalized or where justice might not
by other means
be attained?”
[8] I turn now to consider the
allegations of “grave injustice” that would justify this
court’s interference in
the proceedings in the Court
a quo
.
[9] The specific ground of review is
that the Applicants “did not receive a fair trial in accordance
with their fundamental
right to legal representation in terms of
Section 35 (3) (f) of the Constitution, Act 108 of 1996 and
Section
73
of the
Criminal Procedure Act 51 of 1977
”. In this regard
the Applicants have alleged that they did not have proper, effective
and competent legal representation
in that:
The Third Respondent “failed
to identify the Constitutional challenge on which he based our
entire defence, at the outset
of the trial and to argue same as a
point in
limine
prior to the hearing of evidence”.
The advice given by the Third
Respondent, namely that the Applicants would be acquitted on the
basis of the Constitutional challenge,
alternatively will be
successful on appeal – did not constitute competent legal
representation as envisaged in Section
35 (3) (f) of the
Constitution and rendered the trial unfair; and
The Third Respondent “never
obtained our versions on the merits which, in fact, provide a
complete defence to the charge”.
[10] The Applicants have averred
that the Third Respondent failed to take the basic steps which relate
to consultation and advice
on how the defence would best be
conducted. In this regard the First Applicant has alleged that she
was “never invited to
give the Third Respondent my full version
of events” and that the Third Respondent “never consulted
at all with Accused
2 and 3” – the Third and Fifth
Applicants.
[11] The thread which weaves its way
throughout the version of the Applicants is that the Third Respondent
had already decided that
the Constitutional attack on the charge
would succeed (even if on appeal if necessary). As a consequence he
failed to consult with
the Applicants and take proper instructions
from them. Had he done so, he would have realized that some of them,
if not all the
Applicants, had a valid defence to the charge. The
issue relating to the timing of raising the Constitutional challenge
was only
introduced after consultation with the Applicants new legal
representatives. The same applies to the criticisms of the Third
Respondent’s
representation of the Applicants in the Court
a
quo
. I will return to this aspect later in the judgment.
[12] Section 35(3) (f) of the
Constitution provides:
“
(3) Every accused person has
a right to a fair trial, which includes the right –
…
to choose, and be
represented by, a legal practitioner, and to be informed of this
right promptly.”
[13] The leading case, in my
opinion, relating to the right to legal representation as envisaged
in Section 35(3) (f) of the Constitution,
is
State v Halgryn
2002 (2) SACR 211
(SCA)
. Harms JA (as he then was) held, at
paragraph 14 -
“
The constitutional right to
counsel must be real and not illusory and an accused has, in
principle, the right to a proper, effective
or competent defence. ..…
Whether a defence was so incompetent that it made the trial unfair is
once again a factual question
that does not depend upon the degree of
ex post facto
dissatisfaction of the litigant. Convicted persons are seldom
satisfied with the performance of their defence counsel. The
assessment
must be objective, usually, if not invariably, without the
benefit of hindsight. ….. The Court must place itself in the
shoes of defence counsel, bearing in mind that the prime
responsibility in conducting the case is that of counsel who has to
make
decisions, often with little time to reflect ….. The
failure to take certain basic steps, such as failing to consult,
stands
on a different footing from the failure to cross-examine
effectively or the decision to call or not to call a particular
witness.
It is relatively easy to determine whether the right to
counsel was rendered nugatory in the former type of case but in the
latter
instance, where counsel’s discretion is involved, the
scope for complaint is limited.”
[14] In answer to the Applicants
allegations that he failed to consult properly or adequately with the
Applicants and that he failed
to invite the First Applicant (or all
of them) to state their full version of events, the Third Respondent
alluded to the fact
that he spent approximately 40 hours in
consultation with the Applicants (albeit not all of them at the same
time). He also referred
to the numerous instances where he, upon
returning to his home at the end of the day, found the First
Applicant on his premises
wanting to discuss matters. No mention of
this was made by the First Applicant in her founding affidavit. In
fact none of the Applicants
(or their said attorney) provided full
details of all the consultations held with the Third Respondent.
Casual reference is made,
in passing, in the founding affidavit, to
the odd consultation which in the Applicants’ opinion was
merely to reinforce the
belief that the Constitutional challenge
would succeed. There are also allegations that the Third Respondent
opposed any suggestion
of obtaining a second opinion.
[15] In their affidavit in reply to
the Third Respondent’s allegations, the Applicants, although
denying 40 hours of consultation,
appeared to recall many more
consultations and the contents thereof than those alluded to in their
founding papers. The First Applicant
also conceded meeting with the
Third Respondent – although she does not confirm or deny that
they were at the Third Respondent’s
home. She also casually
mentions these as “informal meetings”.
[16] What is startling is the
failure of the Applicant’s attorney, Ms Pugsley, to provide the
Court with full and precise
details of what transpired during
all
the consultations as well as her involvement in the case. This
despite having had two opportunities and having filed two affidavits
in support of the application. As an officer of the court I believe
that it is her paramount duty to fully disclose her involvement
and
to assist the Court. In this regard it is noted that the Applicants
have also waived their attorney-client privilege. All that
Ms Pugsley
does is to confirm the two consultations referred to by the First
Applicant (in her replying affidavit to the Third
Respondent) which
consultations were confirmed by her notes as annexures. This in
contrast to the Applicants’ version that
there were more than
two consultations. These consultation notes are sketchy in character
and do not even record who was present
during the consultations.
[17] It appears from the papers that
a consultation was held by the Third Respondent with the Second
Applicant’s mother and
aunt. During this consultation the Third
Respondent confirmed that given the circumstances the only defence he
could raise was
the “Constitutional challenge”. It is
further alleged that the question of obtaining a second opinion arose
during
this consultation. Once again, Ms Pugsley has failed to
furnish the Court with her consultation notes or a confirmation of
this
important consultation.
[18] What is even more surprising is
her failure to answer the allegations regarding the obtaining of a
second opinion. Surely this
is the duty of an instructing attorney
and not that of the advocate who has been briefed to represent the
accused. Even if the
Third Respondent protested at the thought of
having a second opinion it is, in my opinion, nonetheless the duty of
the instructing
attorney to act in accordance with her instructions.
At best (and to the detriment of the Applicants) she has attested
that it
was only after conviction that she was instructed by the
Applicants to obtain a second opinion.
[19] What clearly emerges from the
Third Respondent’s affidavit is that there were consultations
with the Applicants and that
incriminating details emerged therefrom.
These included,
inter alia
:
That the Third and Fifth Applicants
were involved only in so far as supplying their manual labour.
Indeed the details of the extent
of the dagga manufacturing
operation necessitated the labours of more than one person.
The involvement of Steven Cope.
The financing of the operation and
the details of how the profits were to be shared.
The duration of the operation
(approximately 12 months) prior to the Applicants’ arrest and
The letter which was written by the
First Applicant to Steven Cope.
[20] All these allegations have not
been denied by the Applicants.
[21] The Third Respondent’s
and Ms Pugsley’s meeting with Steven Cope at Cape Town
International Airport also raises
some concerns. Why was it necessary
for the legal representatives to meet with Mr Cope if as the
Applicants allege, was solely
for the purpose of trying to secure
funds for the trial? Surely the First, Second or Fourth Applicants
could have phoned Mr Cope
in this regard. What was the contents of
the letter written by the First Applicant to Steven Cope? Why was it
necessary for the
First Applicant, who has protested her innocence of
the entire drug manufacturing operation, to write to Steven Cope? The
probabilities
favour the Third Respondent’s version that:
The meeting with Steven Cope was as
a result of instructions from the First, Second and Fourth
Applicants.
Mr Cope was involved in the entire
operation and wanted the assurance that he would not be implicated
in the trial.
The letter written by the First
Applicant probably sought to reassure Steven Cope.
[22] Other details that emerge from
the consultations that have not been denied are,
inter alia
,
The possible seizure of the First
Applicant’s house as an instrument of the offence.
The status of the First Applicant’s
children.
The fact that the said childrens’
father had instituted legal proceedings against the First Applicant
and
The problems encountered with her
employers and clients as a result of her arrest.
[23] All these factors could not
have emerged and could not have been within the knowledge of the
Third Respondent unless there
were full and proper consultations with
the Applicants.
[24] Of importance is the allegation
made by the Third Respondent in paragraph 40 of his first affidavit.
He states:
“
40.
Having established the circumstances
around the consultations and my decision to run the trial as I did, I
would like to draw the
Court’s attention to the fact that it
was my professional opinion that given the fact that the accused had
confessed to me
and because they refused to plead guilty to the
charges, I could only conduct their defence on the basis of the
interpretation
of the definition contained in the Drugs Act.
41.
I informed the accused that I could
not run an affirmative defence as I could not mislead the Court …”
[25] These averments remain
unchallenged.
[26] On the Third Respondent’s
version, which (in terms of the Plascon Evans Rule) must be accepted,
I am satisfied that there
was adequate and proper consultation
between the Applicants and the Third Respondent and that given the
circumstances, they agreed
to follow the Third Respondent’s
advice and to conduct the trial accordingly. In this regard it must
be noted that “misplaced
reliance on the legal advice of their
counsel given in the
bona fide
(albeit mistaken) pursuit of
his professional mandate is not a ground for claiming that justice
has failed. (
R v Matonsi
1958 (2) SA 540
(A) at 455
H to 456 D
;
S v Seheri en andere
1964(1) SA 29
(A) at 35 E-F
) Per Heher JA –
S v Daniels
2012 (2) SACR 459
(SCA) at 466 D-E
.
[27] Paragraph 411 of the Uniform
Rules of Professional Ethics of the General Bar Council of South
Africa determines that where
a client makes a confession to his
counsel either before or during criminal proceedings, counsel should
explain to the client the
basis on which counsel may continue with
the case, namely:
“
Counsel may not in the
proceedings assert that which he knows to be untrue nor may he
connive at or attempt to substantiate a fraud
or an untruth. He may
appropriately argue that the evidence offered by the prosecution is
insufficient to support a conviction
and may take advantage of any
legal matter which might relieve the accused of criminal liability.
He may not, however, set up an
affirmative case which he knows to be inconsistent with the
confession.
If the client, having been so
informed, desires counsel to appear on the abovementioned basis,
counsel should continue to hold the
brief and act in accordance with
the principles set out above. If the client desires counsel to give
up the brief, counsel must
do so.”
[28] I am satisfied that the Third
Respondent’s conduct was in accordance with this Rule.
[29] The remaining ground of review
relates to the alleged mistiming of the Constitutional challenge. In
this regard the Third Respondent
deemed it prudent to introduce the
so-called Constitutional Challenge after the closure of the State’s
case. Whether he was
right or wrong in this approach can hardly be
described as incompetence. Indeed one must act on the assumption that
a legal representative,
entrusted with an accused person’s
defence, is indeed competent. One must also bear in mind the test set
out in
S v Halgryn
(supra). Indeed it is always easy in
hindsight to allege that an accused’s defence was improperly
conducted. This is precisely
what Harms JA (as he then was) warned
about in
S v Halgryn
(supra). Given the highly
competitive nature of criminal practise one will often find another
legal representative who will offer
what he/she will undoubtedly term
a “better alternative”. This of course is usually after
an accused person has been
convicted (as in casu) and/or sentenced.
The Third Respondent was of the view that the defence would succeed,
if need be on appeal.
This view he formed after conducting research
in respect of similar matters.
“
Where counsel relies
(wrongly) on his view on precendential authority in his own court …
the scope for determining that the
trial was as a result, unfair,
must necessarily be limited”. –
S
v Daniels
(supra).
[30] I am unpersuaded that the
conduct of the Third Respondent resulted in an improper, ineffective
or incompetent defence which
would result in a grave injustice which
would warrant a review and setting aside of the proceedings in the
Court
a quo
, at this stage. I am of the opinion that given the
circumstances outlined earlier in this judgment, the Applicants
decided to take
a chance on escaping conviction by relying on the
“Constitutional challenge”. Now that this has failed and
as per their
new-found legal opinion, is doomed to fail on appeal, it
would not be in the interest of justice to allow the Applicants a
further
opportunity at escaping liability.
[31] A further consideration which
arises is that it is clear from the affidavit of the Fourth Applicant
that he has confessed his
guilt. This begs the question how he could
align himself with the submissions of the other Applicants in seeking
a review. Counsel
for the Applicants and the Second Respondent were
requested to address the Court on the prospect of a separation of
trials ensuing
as a result of the “confession” of the
Fourth Applicant. Assuming (purely for the purposes of argument) that
there
is merit in the application on behalf of the First, Second,
Third and Fifth Applicants, would it be prudent or in the interest of
justice to set aside their convictions (on the basis of grave
injustice) and order the trial to proceed in respect of the Fourth
Applicant? Counsel could not provide any authority for this
proposition. It would, for obvious reasons, not be prudent to order
a
separation of trials at this late stage. Surely if a grave injustice
has been committed in the proceedings then the entire proceedings,
including that relating to the Fourth Applicant must be set aside. In
casu this would lead to an unfavourable situation for by
his own
“confession” the Fourth Applicant could not have been
prejudiced by the proceedings.
[32] In the result, the application
is dismissed with costs.
KRUGER J:
MOKGOHLOA J: I agree
DATE OF CAV: 1 November 2012
DATE OF JUDGMENT: 18 January 2013
FOR THE FIRST RESPONDENT: Y Gangai
INSTRUCTED BY: State Attorney
FOR THE 1
ST
& 2
ND
APPLICANTS: S Mathews
INSTRUCTED BY: Stowell & Co
FOR THE 3
RD
, 4
TH
& 5
TH
APPLICANTS: P Rowan SC
INSTRUCTED BY: Lourens de Klerk
Attorney