CLJ 2015 4 247 Puukm1 PDF
CLJ 2015 4 247 Puukm1 PDF
CLJ 2015 4 247 Puukm1 PDF
A (4) The LPPER should be broadly and sensibly construed and this court
declined to give it a narrow and pedantic interpretation which would be
inimical to the whole purpose and tenet of LPPER. In disqualifying
Saraswathy and the firm, the defendants would be deprived of counsel
of their choice, but that was the inevitable result if the situation of the
B solicitor whom they have appointed was such that it violated the
LPPER. It is important and imperative that the ethical standards of the
Malaysian Bar are not sacrificed at the altar of expediency. Hence,
Saraswathy and the firm were accordingly disqualified from acting in
this matter. (para 48)
C Case(s) referred to:
Tunku Moksin Tunku Khalid v. Bukit Barisan Sdn Bhd & Ors [2009] 1 LNS 835 HC (refd)
Vijayalakshmi Devi Nadchatiram v. Saraswathy Devi Nadchatiram [2000] 4 CLJ 870
FC (refd)
Legislation referred to:
D Legal Profession (Practice and Etiquette) Rules 1978, rr. 3(b)(ii), 5, 27
Other source(s) referred to:
Code of Conduct for the Bar of England and Wales, 4th edn, 1989, para. 16.9
For the plaintiffs - Rueben Mathiavaranam (P Bargavi with him); M/s Bargavi P & Co
For the defendants - Saraswathy Kandasami (Venushah Nadarajan with her);
E M/s S Kandasami & Co
[Editor’s Note : Please read this judgment together with Dato Sri Bala Krishnan Vellasamy
& Ors v. Cityteam Media Sdn Bhd & Anor [2015] 2 CLJ 791]
solicitor and the law firm to represent the company when the latter is A
embroiled in litigation, particularly when the solicitor was a shareholder/
director at the material time when the impugned articles were published.
[4] The first defendant is the publisher of a Tamil newspaper known as
“Tamil Malar”. The second defendant is the managing director and
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executive editor of the first defendant. Ms Saraswathy Kandasami
(“Ms Saraswathy”) appears as counsel in this matter and her firm Messrs
S Kandasami & Co (“the firm”) are the solicitors for the defendants.
[5] The plaintiffs’ application to disqualify Ms Saraswathy and the firm
is based on an alleged breach of rr. 3, 5 and 27 of the LPPER. The relevant C
provisions of the LPPER are as follows;
Rule 3
Advocate and solicitor not to accept brief if embarrassed.
(a) An advocate and solicitor shall not accept a brief if he is or would D
be embarrassed.
(b) An embarrassment arises:
(i) Where the advocate and solicitor finds he is in possession of
confidential information as a result of having previously advised
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another person in regard to the same matter;
(ii) Where there is some personal relationship between him and a
party or a witness in the proceedings.
Rule 5
F
No advocate and solicitor to accept brief if difficult to maintain
professional independence.
(a) No advocate and solicitor shall accept a brief if such acceptance
renders or would render it difficult for him to maintain his
professional independence or is incompatible with the best interest G
of the administration of justice.
Rule 27
Advocate and solicitor not to appear where pecuniarily interested.
(a) An advocate and solicitor shall not appear in any matter in which H
he is directly pecuniarily interested.
(b) This rule does not apply to the case of an advocate and solicitor
appearing himself to tax his own costs.
(emphasis added) I
Dato’ Sri Bala Krishnan Vellasamy & Ors v.
[2015] 4 CLJ Cityteam Media Sdn Bhd & Anor 251
A [6] It is not in dispute that Ms Saraswathy was at all material times and
still is a shareholder of the first defendant and holds 550 shares (“the said
shares”) in the first defendant. She is a “substantial shareholder” of the first
defendant. She became a director of the first defendant with effect from
5 March 2008.
B
[7] The second defendant is also a shareholder of the first defendant and
holds 399 shares in the first defendant. He is also a director, managing
director and executive editor of the first defendant.
[8] The plaintiffs’ cause of action is in defamation and arises out of
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publications in the Tamil Malar newspaper and the Tamil Malar online
Facebook which were published by the first defendant in December 2013
and February 2014 respectively (“the impugned articles”). It is significant to
note that at the material time of publication of the impugned articles,
Ms Saraswathy was a shareholder and director of the first defendant and the
second defendant was her co-director.
D
Basis For Disqualification
[9] The basis for the plaintiffs’ objection to Ms Saraswathy and her firm
appearing as counsel and solicitors respectively are as follows:
(i) Ms Saraswathy is counsel for the first and second defendants and sole
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proprietor of the legal firm who are solicitors for the first and second
defendants. She is a substantial shareholder and director of the first
defendant, in which the second defendant is also a shareholder and
co-director, and a key witness in this action. As such, she is connected
to and thus has or is perceived to have a personal relationship with both
F the first and second defendants;
(ii) Being a substantial shareholder in the first defendant, Ms Saraswathy has
or is perceived to have a significant pecuniary interest in this action;
(iii) Being a shareholder and director of the first defendant, in which the
G second defendant is also a shareholder and co-director, and a key witness
in this action, Ms Saraswathy lacks, or it will appear that she lacks,
impartiality;
(iv) It will be difficult for her to maintain her professional independence and
act objectively. Further, her conduct is also likely to be impugned in
H advancing the case for first and second defendants;
(v) Ms Saraswathy’s continued appearance as counsel for the first and
second defendants, and her legal firm’s continued representation as
solicitors for the first and second defendants, is incompatible with the
proper administration of justice; and
I
(vi) Ms Saraswathy, and the firm are in a position of conflict of interest in
representing, acting for and appearing on behalf of the defendants in this
action, and are thus in breach of the provisions of the LPPER.
252 Current Law Journal [2015] 4 CLJ
(ii) Letter dated 23 May 2014 to one Thiagarajan a/l Pavadai in relation to
transfer of shares from Ms Saraswathy and appointment of new
directors;
(iii) Form 49 duly certified by the company secretary of the first defendant G
which shows that Ms Saraswathy had resigned as director with effect
from 28 March 2014; and
(iv) Letter dated 14 January 2015 from the company secretary to the
Suruhanjaya Syarikat Malaysia and pre-lodgement collection slip dated
14 January 2015 which shows the event date as 28 March 2014. H
A a separate editorial bureau and that the second defendant was the executive
editor of the newspaper. Hence, she asserts that she was a passive director
and took no part in the management of the first defendant.
[15] Upon a scrutiny of the affidavits, I find that the assertion by
Ms Saraswathy with regards to her shareholding has not been credibly
B
challenged by the plaintiffs. I am therefore inclined to the view that there is
a ring of truth about the assertion that the said shares held by Ms Saraswathy
are actually owned by OMS Foundation.
[16] However, it was submitted by counsel for the plaintiffs that even if she
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is a trustee shareholder and holding the said shares on trust for OMS
Foundation, Ms Saraswathy is nevertheless imputed with fiduciary duties
and as such she is still intimately connected with the affairs of the first
defendant and has a personal connection with the second defendant, as
co-director.
D [17] In order to underscore the impact that this case would have on
Ms Saraswathy in her capacity as a director of the first defendant, counsel
for the plaintiffs submitted that if any restraining order is made against the
first defendant, then Ms Saraswathy’s name will appear in the penal
endorsement to such an order. However, at the moment, no such order has
been made. And so, it might be a bit premature to speculate as to whether
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such an eventuality will present itself. But it is nevertheless a prospect which
may crystallise and the problem with regards to the penal endorsement may
then surface.
[18] Ms Saraswathy argued that the plaintiffs’ objection is predicated on the
F fact that she was/is a shareholder and director of the first defendant and no
other extraneous facts or circumstances were alluded to by the plaintiffs for
making the objections to disqualify her and her firm.
[19] She submitted that there is no law or rule that prohibits counsel from
acting for a company solely by reason of the fact that he/she is a shareholder
G and a director in that company.
[20] According to Ms Saraswathy the LPPER only sets out circumstances
in which counsel shall refuse to accept any brief. She submitted that there
was no conflict of interest if she were to act for the defendants. She
emphasised that the plaintiffs have failed to set out what are the conflicting
H interests and whose interests are in conflict in this subject matter.
[21] She further submitted that “conflict of interest” is a term used to
describe situations in which a person, be it professional or fiduciary who,
contrary to the obligation and absolute duty to act for the benefit of one
party or a designated individual, exploits the relationship for personal
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benefit, typically pecuniary benefit.
254 Current Law Journal [2015] 4 CLJ
Conclusion A
[35] The first question that needs to be answered is: what is the purpose,
object and intent of the LPPER. The answer to that vital question has been
neatly encapsulated in the judgment of Federal Court in Vijayalakshmi Devi
Nadchatiram v. Saraswathy Devi Nadchatiram [2000] 4 CLJ 870 where it was
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held as follows:
The objective of the provision lies in the fact that the Bar had set a high
standard of practice. The Bar requires that an advocate and solicitor must
be able to give an objective and independent judgment before he embarks
on the task of advising a client. Thus the advocate and solicitor would
not be in a position to do so if he is bound by ties of personal relationship C
to his client and tied by pecuniary interest. The mischief to be cured and
the intention of the Rules are too clear to be ignored. The provisions are
too clear to admit of any doubt or dispute. They had been so framed to
preserve the integrity of an advocate and solicitor so that he may not be
in conflict of interest and by the same token ensures that when he acts
for a client he is independent and free vis-a-vis both when representing the D
client and performing his duty as an officer of the court in which he
appeared.
In this regard we would apply the decision of Black v. Taylor [1993] 3
NZLR 403 where the Court of Appeal in New Zealand held that “the
court may prevent a barrister acting as counsel in a matter which he had E
a conflict of interest, or in which he appeared to have a conflict of interest
such that justice would not be seen to be done”.
[36] In the present case, the plaintiffs are relying on three limbs of the
LPPER as a basis to disqualify Ms Saraswathy and the firm. The first is F
r. 3 which states that disqualification arises if the solicitor is embarrassed.
And so the question here is whether Ms Saraswathy is or will be embarrassed
if she were to continue acting in the matter. According to r. 3(b)(ii),
embarrassment arises when there is some personal relationship between the
solicitor and a party or a witness to the proceedings. G
[37] Ms Saraswathy’s argument is that she has no personal relationship
with the second defendant and that merely being a “trustee shareholder” and
a director (representing the ultimate shareholder) does not constitute
“personal relationship”. However, the English Law Dictionary by PH Collin
defines personal as meaning “referring to one person” and “private”. And H
“relationship” is defined as “connection or link with another person or
company”.
[38] In Tunku Moksin Tunku Khalid v. Bukit Barisan Sdn Bhd & Ors [2009]
1 LNS 835; [2009] 9 MLJ 528, there was no personal relationship between
the third respondent and the solicitor who was given a proxy to vote in the I
EGM, which became the subject matter of the petition. In that case, the
solicitor had not just attended the EGM but also presided over it. In that case
Dato’ Sri Bala Krishnan Vellasamy & Ors v.
[2015] 4 CLJ Cityteam Media Sdn Bhd & Anor 257
A it was held that the solicitor’s attendance at the EGM (as proxy) for the third
respondent was sufficient to disqualify the solicitor and his firm from acting
for some of the other respondents in the petition.
[39] In that case, the court concluded that since the solicitor was given a
proxy, he must therefore have been someone trusted by the third respondent,
B
which gave rise to a “personal relationship”. On the other hand, Ms Saraswathy
latched onto a passage in the judgment of the Federal Court in Vijayalakshmi
Devi Nadchatiram v. Saraswathy Devi Nadchatiram [2000] 4 CLJ 870 at p. 875
(paras. f to g), where the court observed as follows:
What does come within the ambit of “personal relationship”? By its
C
ordinary Concise Oxford Dictionary’s meaning of relationship is “the fact or
state of being related” and “personal” is relating to or connected with the
person. Or to take the meaning of “relation” in the Jowitt’s Dictionary of
English Law it means “a general word meaning prima facie next-of-kin of
any degree or colloquially, kindred of all degrees”.
D [40] However, it is clear that in the above case there was more than one
operating disqualifying factor, that is, “personal relationship” and
“pecuniary interest”. In so far as personal relationship was concerned, it was
not in doubt that the solicitor was seeking to act in a matter where her
siblings were involved as parties and/or witnesses and where the solicitor
E herself had a pecuniary interest in the subject matter of the dispute in court.
[41] Ultimately, I do not read the Federal Court judgment as having limited
or confined “personal interest” only to familial and kindred relationship as
such an interpretation would be incongruous to the purpose intent and object
of the LPPER which is to ensure that the administration of justice is not
F stultified or sullied by actions or conduct of solicitors who are so closely and
intimately connected with a party to the suit or to a witness, such that the
solicitor will not be able to maintain professional independence or where his
continued handling of the matter would be incompatible with the best
interest of the administration of justice.
G
[42] And so, the view I take is that the words “personal relationship”
appearing in r. 3 of the LPPER must be liberally and sensibly construed and
in the present circumstances, Ms Saraswathy, who is still a shareholder and
director of the first defendant whose co-director is the second defendant, has
a personal relationship with the first defendant and the second defendant and
H falls squarely within the ambit of disqualification in r. 3 of the LPPER.
[43] This is accentuated by the significant fact that Ms Saraswathy was a
director of the first defendant at the material time of publication of the
impugned articles which are the subject matter of the defamation action.
Although it has been asserted that she was not holding any executive position
I
in the first defendant, I cannot ignore the reality, which is that the first
258 Current Law Journal [2015] 4 CLJ
C
Order accordingly.