Tuesday, 20 December 2011
The Director of Public Prosecutions v A.A. Bholah
[2011] UKPC 44
Privy Council Appeal No 0059 of 2010
JUDGMENT
The Director of Public Prosecutions (Appellant)
v
A.A. Bholah (Respondent)
From the Supreme Court of Mauritius
before
Lord Phillips
Lord Brown
Lord Kerr
Lord Wilson
Sir Malachy Higgins
JUDGMENT DELIVERED BY
LORD KERR
ON
20 December 2011
Heard on 6 October 2011
Appellant
Geoffrey
Cox QC
Simon
Gledhill
Ms
Sulakshna Beekarry
(Instructed
by Royds Solicitors)
Respondent
Simon
Stafford-Michael
Ms
Rosa Zaffuto
(Instructed by Blake Lapthorn Solicitors)
LORD KERR:
1. In 2002 an information was lodged against the
respondent and another, Mohammed Laffir, before the Intermediate Court of
Mauritius. The information charged both
with the offence of money laundering under sections 17(1)(b) and 19 of the Economic
Crime and Anti-Money Laundering Act 2000 (ECAMLA). It was in the following terms:
“THAT in
or about the month of April in the year two thousand and one, at Delphis Bank
Ltd, in the District of Port Louis, 1. AHMUD AZAM
BHOLAH,
32 years, residing at Morcellement Antelme, Forest Side and 2. MOHAMMED IRFAN
MOHAMMED LAFFIR, 31 years, residing at Boulet Rouge, Riche Mare, Flacq, both
Directors at Apparel Exports Ltd., did wilfully and unlawfully transfer from
Mauritius property which in whole, directly represents, the proceeds of crime, where
the said. 1. Ahmud Azam Bholah and 2. Mohammed Irfan Mohammed Laffir had
reasonable grounds to suspect that the property was derived in whole directly
or indirectly from a crime.
PARTICULARS
OF CHARGE
That in
or about the month of April 2001, the said 1. Ahmud Azam Bholah and 2. Mohammed
Irfan Mohammed Laffir did transfer outside Mauritius a sum of USD 1,822,968.40
from Delphis Bank account no 4170599, operated by them at the Delphis Bank
Ltd., Port Louis Branch, which said sum of money are the proceeds of crime.”
2. On 21 September 2004 the respondent and
Mr Laffir were convicted of the offence.
The magistrate found that the respondent had transferred money, which he
had reasonable grounds to suspect was the proceeds of crime, from his company
bank account to bank accounts outside Mauritius. In the course of the trial the magistrate
ruled that, by virtue of section 17(7) of ECAMLA, the prosecution was not
required to specify or to prove the particular crime of which it was alleged
the money was the proceeds. (ECAMLA has
now been replaced by the Financial Intelligence and AntiMoney Laundering Act
2002, section 6(3) of which re-enacts section 17(7) in the same terms). The magistrate held that she was able to
infer from the evidence that the monies were the proceeds of criminal activity.
3. The magistrate imposed a fine on both
the respondent and Mr Laffir. The latter
paid the fine and a preliminary objection that he could not, as a result,
pursue an appeal against his conviction was upheld. The respondent did not pay the fine, however,
and appealed his conviction to the Supreme Court. On 11 December 2009 that court quashed the
conviction on two grounds. First it held
that section 17(7) of ECAMLA was repugnant to the fair trial provisions of section
10 of the Constitution. The Supreme
Court concluded that section 10(2)(b) of the Constitution required of the
prosecution that it particularise and prove the precise offence said to have
generated the proceeds of crime.
Secondly, the Supreme Court decided that, since the respondent had been
deprived of the right to be informed “as soon as reasonably practicable ...
and, in detail, of the nature of the offence”, and that therefore he had not
had adequate time to prepare his defence, his trial had been unfair. The second finding derives from and is
dependent on the first but it will be necessary to examine separately the
question of what fairness requires even if it is concluded that proof of a
specific predicate offence is not required by section 10(2)(b) of the
Constitution.
Facts
4. The respondent was a director of
Apparel Exports Ltd. This company had an
account with Delphis Bank Ltd. On three
occasions in 2001, large sums of money were transferred into this account from
the account of Mr Jose Maria Martin Nunez, a customer of the ABN Amro Bank
(Miami Branch). The transfer came via
the Hong Kong and Shanghai Banking Corporation in New York. The money was in
turn transferred by both accused to various bank accounts outside
Mauritius.
5. The defence did not dispute that the
sums from Mr Nunez's accounts had in fact been transferred into that of Apparel
Exports account at the Delphis Bank.
Evidence was led by the prosecution to the effect that there had been
forgery of Mr Nunez’s account and that the Miami Branch of ABN-AMRO had filed a
suspicious activity report with the branch of the U.S. Government concerned
with investigations of financial crimes.
This had happened after Mr Nunez had indicated that he had not
authorised the bank transfers. Although these transfers purported to have been
authorised by Mr Nunez, a comparison between the signatures on the transfer
documents and his original bank signature card led the magistrate to conclude
that Mr Nunez had not signed the transfers.
Statutory
framework
6. Money laundering offences were provided
for in section 17 of ECAMLA. In its
material parts, section 17(1) provided:
“(1) Any
person who …
(b)
receives, possesses, conceals, disguises, transfers, converts, disposes of,
removes from or brings into Mauritius any property which is, or in whole or in
part directly or indirectly represents, the proceeds of any crime, where he
suspects or has reasonable grounds for suspecting that the property is derived
or realized, in whole or in part, directly or indirectly from any crime, shall
commit an offence.”
7. Section 17(7) of ECAMLA provided:
“In any
proceedings against a person for an offence under this section, it shall be
sufficient to aver in the information that the property is, in whole or in
part, directly or indirectly the proceeds of a crime, without specifying any
particular crime, and the Court, having regard to all the evidence, may
reasonably infer that the proceeds were, in whole or in part, directly or
indirectly, the proceeds of a crime” (emphasis supplied)
8. The necessary contents of the
information are provided for in section 125(1) of the District and Intermediate
Courts (Criminal Jurisdiction) Act as follows:
“The
description in the information of any offence in the words of the law creating
such offence, with the material circumstances of the offence charged, shall be
sufficient.”
9. Section 10(2)(b) of the Constitution
provides:
“Every
person who is charged with a criminal offence …
(b) shall
be informed as soon as reasonably practicable, in a language that he
understands, and in detail, of the nature of the offence;”
The case
for the appellant
10. The appellant submits that it is
unnecessary to specify a predicate crime.
Section 10(2)(b) of the Constitution entitles the alleged offender to be
informed of the detail of the charge but the actus reus of the charge under
section 17(1)(b) can be the transfer of property which represented the proceeds
of criminal activity generally. It need
not be proved that it had been generated by a particular crime. It was accepted that if a specific crime is
known to have produced the illicit proceeds and this forms the basis of the
prosecution’s case, fairness may require that the offender be informed of this
but the nature of the information depends on how the case is to be
presented. If the prosecution does not
aver that the unlawful proceeds were obtained from an individual crime or a
particular species of criminal activity, it is not required to identify a
predicate offence.
11. Counsel for the appellant argued that
section 17(7) was a proportionate restriction on the right of an accused to
receive information about the charge against him. While section 10 of the Constitution
recognises as absolute the right to a trial which is fair in an overall sense,
individual elements of the trial designed to secure that outcome need not be
protected in absolute terms. They may be
subject to proportionate qualification in the public interest. Section 17(7) was just such a
restriction. It was necessary in order
to suppress the crime of money laundering which, by its very nature, was one
where the particular criminal activity that produced the illegal proceeds was
not always easy to identify. Indeed, the
very purpose of money laundering is to conceal the provenance of illegally
acquired wealth. It can be notoriously
difficult to gather evidence of the specific criminal origin of the laundered
property. This was particularly the case
in Mauritius where money laundering may be the product of predicate offences
committed abroad.
12. The DPP claims, therefore, that the
respondent received a fully fair trial before the magistrate. He was given particulars of the criminal
conduct from which the funds in his company bank account were produced. He was told that there had been a fraud on
the bank account of Mr Nunez. It was
made clear that the prosecution case was that Mr Nunez’s signature had been
forged. The respondent had been
interviewed about these allegations and had made a statement after caution in
which he claimed that the transactions were authentic. There could be no question, therefore, the
appellant argues, that the respondent was other than fully aware of what was
being alleged as to the nature of the criminal conduct which produced the
unlawful proceeds.
The
respondent’s case
13. The respondent claims that the
Constitution of Mauritius affords any defendant to a criminal charge the
absolute right to particulars of the crime with which he is charged. These particulars require to be sufficiently
detailed to enable the accused person to understand the nature of the offence
that he faces. It is, says the
respondent, unnecessary and wrong in law to draw any distinction between
substantive and predicate offences. Both
are covered by section 10 of the Constitution and they should not be subject to
different rules.
The
decision of the Supreme Court
14. The Supreme Court recorded the essential
argument of counsel for the prosecution in the following passage of its
judgment:
“[Counsel’s]
contention was … that, since the "predicate offence" (i.e. the crime
that generated the proceeds which became the subject matter of the money
laundering offence) is not an element of the money laundering offence, it need
not be averred and therefore the need for particulars thereof does not arise.”
15. That argument was roundly rejected. The Supreme Court said of it:
“This
reasoning appears to us, however, to be fundamentally flawed. The offence under
section 17(1)(b) of ECAMLA with which the accused stood charged was the
transfer of property - money - which represented the proceeds of a crime where
he had reasonable grounds to suspect that the money was derived from a
crime. The elements of the offence were
accordingly (1) the transfer of the money by the accused (2) the fact that that
money represented the proceeds of a crime and (3) circumstances showing that
the accused had reasonable grounds to suspect that the money was derived from a
crime.
…
Since it
was an element of the offence that the money was the proceeds of a crime, the
accused had a right under section 10(2)(b) of our Constitution to have that
element particularised by a statement as to what that crime consisted of, such
as to enable him to prepare his defence ad in particular to consider how to
rebut the prosecution evidence that the money was the proceeds of such a
crime.”
16. The Supreme Court therefore held that
section 17(7) of ECAMLA was repugnant to section 10(2)(b) of the Constitution,
in so far as it provided that, in an information under that section, it was not
necessary to specify the particular crime from which the property had been
generated. Consequently the section was
of no effect and, since adequate particulars of the predicate offence had not
been given, the respondent’s conviction was quashed. In so holding, the Supreme Court accepted the
argument of the respondent that he was debarred from asking for particulars of
the offence by virtue of the wording of section 17(7) which purported to deny
him a right conferred by section 10(2)(b).
Discussion
17. Dispensing with a requirement to identify
and prove a predicate offence is by no means an unusual approach to the
problems of proof that money laundering offences can present. The Council of Europe Convention on Laundering,
Search, Seizure and Confiscation of the Proceeds from Crime and on the
Financing of Terrorism 2005 Council of Europe Treaty Series, No 198 (the Warsaw
Convention) provides in article 9(6) that each of the parties to the
Convention:
“… shall
ensure that a conviction for money laundering under this Article is possible
where it is proved that the property … originated from a predicate offence,
without it being necessary to establish precisely which offence.”
18. In Hurnam v The State [2005] UKPC 49,
para 4 Lord Bingham, delivering the opinion of the Board, said this about
Chapter II of the Constitution of Mauritius (which includes section 10):
“...Chapter
II of the Constitution reflects the values of, and is in part derived from, the
European Convention: Neeyamuthkhan v Director of Public Prosecutions [1999] SCJ
284(a); Deelchand v Director of Public Prosecutions [2005] SCJ 215, para 4.14;
Rangasamy v Director of Public Prosecutions (Record No 90845, 7 November 2005,
unreported).
It is
indeed noteworthy that the European Convention was extended to Mauritius while
it was still a Crown Colony, before it became independent under the 1968
Constitution: see European Commission of Human Rights, Documents and Decisions
(1955-1957), p 47. Thus the rights guaranteed to the people of Mauritius under
the European Convention were rights which, on independence, "have existed
and shall continue to exist" within the terms of section 3. This is a
matter of some significance: while Mauritius is no longer a party to the
European Convention or bound by its terms, the Strasbourg jurisprudence gives
persuasive guidance on the content of the rights which the people have enjoyed
and should continue to enjoy.”
19. A Council of Europe Convention on money
laundering, while not of the same status as the European Convention on Human
Rights and Fundamental Freedoms, provides similar persuasive guidance on the
content of rights which the people of Mauritius should be held to enjoy. At the very least, it informs the approach that
should be taken to resolving the tension between, on the one hand, the
protection of an individual’s rights in relation to proof of guilt of the
offence of money laundering and, on the other, the need to ensure, in the
interests of society as a whole, that unrealistic barriers to the proof of the
offence are not erected.
20. The approach commended by the Warsaw
Convention is mirrored in Australia and New Zealand. In Australia anti-money laundering provisions
are set out in Division 400 of the Criminal Code Act 1995. Sections 400.3 to 400.8 make it an offence to
deal with money or property that is either the proceeds of, or may become an
instrument of, crime. A person deals
with money or other property if they: receive, possess, conceal or dispose of money
or other property; import into or export from Australia money or property; or
engage in banking transactions relating to money or other property and the
money or other property is the proceeds of crime or could become an instrument
of crime. Section 400.13 provides:
“Proof of
other offences is not required
(1) To
avoid doubt, it is not necessary, in order to prove for the purposes of this
Division that money or property is proceeds of crime, to establish:
(a) a particular offence was committed in
relation to the money or property; or
(b) a particular person committed an offence
in relation to the money or property”
21. Similarly in New Zealand section 243(5)
of the Crimes Act 1961 provides:
“(5) In
any prosecution for [a money laundering] offence …
(a) it is not necessary for the prosecution
to prove that the accused knew or believed that the property was the proceeds
of a particular serious offence or a particular class of serious offence”
22. In respect of predecessor provisions in
the same terms as these the Court of Appeal in New Zealand has held that the
prosecution was not required to prove a specific predicate offence – R v
Allison [2006] 1 NZLR 721.
23. In England and Wales proof of a specific
predicate offence is not required, although there has been debate in some of
the authorities in this area as to whether it is necessary to adduce evidence
of the class or type of criminal conduct that is alleged to have generated the
property dealt with by the accused. In
Director of the Assets Recovery Agency v Szepietowski [2008] Lloyd’s Rep FC 10,
(a civil recovery case) Moore Bick LJ, having cited the judgment of Sullivan J
in Director of the Assets Recovery Agency v Green [2005] EWHC 3168 said this at
para. 102:
“The
judge [Sullivan J] made the point that in ordinary civil proceedings fraud and
illegality must be specifically pleaded with reasonable particularity and went
on to express the view in para 25 that it would be surprising if a claimant in
civil proceedings who had to allege criminal conduct as a necessary part of his
claim was not required to give the respondent and the court at least some
particulars of what that conduct was said to be. He concluded that Parliament
had deliberately steered a careful course between requiring the Director to
prove the commission of a specific criminal offence or offences by a particular
individual or individuals and allowing her to make wholly unparticularised
allegations of ‘unlawful conduct’ of the kind that would require a respondent
to justify his lifestyle. I agree. It seems to me that it is essential if there
is to be a fair trial that the respondent should know the case against him in
sufficient detail to enable him to prepare properly to meet it.”
24. By contrast in R v Gabriel (Note) [2007]
1 WLR 2272 para 26 (a case under section 329(1)(c) of the Proceeds of Crime Act
2002 (POCA)), Gage LJ suggested that it was no more than “a sensible practice”
for the prosecution either to give
particulars to the accused of the facts that it relies on to show that the
property was the proceeds of crime or to refer to those facts in opening the
case to the jury.
25. In R v Craig [2008] Lloyd’s Rep FC 358,
[2007] EWCA Crim 2913, the suggestion that the Crown must precisely establish
at least one allegation of criminal conduct was rejected. The court held that the mens rea of the
offence was that the offender knew or suspected that the property represented a
person’s benefit from criminal conduct.
26. In R v W (N) [2009] 1 WLR 965 Laws LJ
reviewed the civil recovery cases and R v Gabriel and concluded that there
should not be any difference of approach between prosecutions under the
Proceeds of Crime Act 2002 POCA and applications by the Director of the
Recovery Agency. At para 38 he said:
“In
short, we do not consider that Parliament can have intended a state of affairs
in which, in any given instance, no particulars whatever need be given or
proved of a cardinal element in the case, namely the criminal conduct relied
on. It is a requirement, to use Sullivan J's expression, of elementary fairness.”
27. The Court of Appeal addressed this
question again in the case of R v Anwoir [2009] 1 WLR 980. It held that the decision in R v W (N) should
not be taken as prescribing that it was always necessary to give particulars
and prove the general type or class of the predicate offending. At para 21, Latham LJ said this:
“We
consider that in the present case the Crown are correct in their submission
that there are two ways in which the Crown can prove the property derives from
crime, (a) by showing that it derives from conduct of a specific kind or kinds
and that conduct of that kind or those kinds is unlawful, or (b) by evidence of
the circumstances in which the property is handled which are such as to give
rise to the irresistible inference that it can only be derived from crime.”
28. If there is a difference of view to be
found in these decisions as to whether in England and Wales identification and
proof of the species of criminal activity are invariably required for POCA
prosecutions or civil recovery purposes, it is not necessary to resolve it
here. The principal significance of
these decisions for the present appeal is that common to all of them is the
determination that proof of a specific offence is not required. And this despite the fact that there is no
equivalent provision to section 17(7) of ECAMLA in POCA.
29. The conclusion that it is not necessary
to prove a specific offence was based on a consideration of the combined effect
of sections 329(1)(c) and 340(3) of POCA.
Section 329(1)(c) provides:
“(1) A
person commits an offence if he . . . (c) has possession of criminal property.”
And
section 340(3) provides:
“(3)
Property is criminal property if
(a) it constitutes a person’s benefit from
criminal conduct or it represents such a benefit (in whole or part and whether
directly or indirectly), and
(b) the alleged offender knows or suspects
that it constitutes or represents such a benefit.”
30. So suspicion that the property represents
a benefit deriving from criminal conduct is sufficient. And the analogy that can be drawn between
section 340(3) and suspicion that “property is derived or realized, in whole or
in part, directly or indirectly from any crime” under section 17(1) of ECAMLA
is plain. None of the decisions as to
the requirements of POCA suggested that the fact that criminal activity had
generated the property was an “element” which demanded identification and proof
of a specific crime or crimes. “Criminal
conduct” in section 340(3)(a) of POCA may reasonably be equated in this context
with “any crime” in section 17(1) of ECAMLA.
Both are non-specific descriptions of criminal activity. As Gage LJ put it in Craig at para 27, “the statutory
definition of criminal property is non-specific as to the way in which it
became criminal property”. Likewise, the
way in which property is derived or realised from any crime is non-specific. It does not need to be shown that a
particular offence or offences generated the property said to be the proceeds
of crime.
31. The Supreme Court dealt with the decision
in R v W (N) in the following passage of its judgment:
“Useful
comparison can also be made with English law. Counsel for the respondent very
fairly referred us to certain dicta from the judgment of the Court of Appeal
(Criminal Division) in [R v W (N) [2009] 1 WLR 965 which, he fairly conceded,
went somehow contrary to his submissions. In that case the defendant faced 33
counts charging different offences of money laundering and in order to bring
home any of these offences the Crown had to prove that the funds involved
constituted "criminal property" within the meaning of section 340 of
the Proceeds of Crime Act 2002. That section defined criminal property as
property which, inter alia, constituted a person's benefit from "criminal
conduct" which was itself defined as conduct which constituted an offence
in any part of the United Kingdom or would constitute an offence there if it
occurred there. The appellate court upheld the Crown Court Judge's ruling, on a
submission of no case to answer, that it was not sufficient for the Crown to
show, by reference to the large sums involved and the defendant's want of any
apparent means of substance, as well as other relevant evidence, that the money
in question could have no lawful origin: It was incumbent on the Crown to show
what particular criminal conduct, or at least what type of criminal conduct,
had generated the benefit which the alleged criminal property represented.”
32. What this discussion neglects to
acknowledge, however, is that the underlying premise of the Court of Appeal’s
decision was that a specific crime did not need to be proved. The decision in that case was concerned with
the question whether particulars of the type of criminal activity (if that was
known) should be supplied, not with whether the Crown had an obligation to
identify and prove a particular crime.
The decision in R v W (N) lends no support, therefore, to the Supreme Court’s
conclusion that “the element of the offence” that the money was the proceeds of
a crime required of the prosecution that it should provide a statement as to
what that crime consisted of.
33. The Board has therefore concluded that
proof of a specific offence was not required in order to establish guilt under
section 17(1) of ECAMLA. It is
sufficient for the purposes of that subsection that it be shown that the
property possessed, concealed, disguised, or transferred etc represented the
proceeds of any crime – in other words any criminal activity – and that it is
not required of the prosecution to establish that it was the result of a
particular crime or crimes. In light of
this conclusion it follows that a failure to identify and prove a specific
offence as the means by which the unlawful proceeds were produced is not a
breach of section 10(2)(b) of the Constitution.
In the Board’s view, that section requires that the nature of the
offence of which the accused person must be informed is that with which he is
charged, in this case the offence of money laundering. Proof of a particular predicate crime is not
an essential “element” of the offence of money laundering.
34. The decisions in the English cases are
informative beyond their firm conclusion that proof of a specific predicate
offence is not required, however. They
are unanimous, in the Board’s view, in suggesting that where it is possible to
give particulars of the nature of the criminal activity that has generated the
illicit proceeds, this should be done.
Some of the cases appear to suggest that this is an indispensable
requirement; others that it is merely required where it is feasible. All are agreed, however, that where it is
possible to give the accused notice of the type of criminal activity that
produced the illegal proceeds, fairness demands that this information should be
supplied.
35. Section 17(7) of ECAMLA did not preclude
a request for particulars of the type of criminal activity which was said to
have produced the illegal property. The
Supreme Court’s conclusion that a request for particulars could not be made was
founded on its opinion that a specific predicate crime had to be identified and
proved in order to meet the requirements of section 10(2)(b) of the
Constitution. There is nothing in
section 17(7) or its successor which contraindicates a request for particulars
of the type of criminal activity that is alleged to have been the source of the
criminal property nor is there anything in that provision which would relieve
the prosecution of its obligation, in the interests of fairness, of supplying
it, if it was able to do so.
36. In this case the particulars supplied in
the information that was lodged against the respondent and his co-accused were
less than wholly informative about the nature of the criminal activity involved
and it may well be that, in their unvarnished form, they did not fulfil the
requirements of section 125(1) of the District and Intermediate Courts
(Criminal Jurisdiction) Act. But any
deficiency in that regard was more than cured by the way in which the
proceedings were conducted and by the interviews of the respondent before
trial. He and his legal advisers cannot
have been in any doubt that the nature of the criminal activity alleged to have
produced the proceeds of crime was the illegal procuring of the transfer of
funds from Mr Nunez’s account to the company account of the respondent. There can be no question therefore that the
respondent and his legal representatives were not fully alerted to the case
that he had to meet in relation to the charge of money laundering. In the Board’s judgment no unfairness in the
manner in which the respondent was required to meet that charge can be
detected.
Conclusions
37. The Board has concluded that the appeal
must be allowed and the decision of the magistrate restored.