Rola v. Slovenia
Rola v. Slovenia
Rola v. Slovenia
JUDGMENT
STRASBOURG
4 June 2019
This judgment will become final in the circumstances set out in Article 44 § 2 of the
Convention. It may be subject to editorial revision.
2 ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS
PROCEDURE
1. The case originated in two applications (nos. 12096/14 and 39335/16)
against the Republic of Slovenia lodged with the Court under Article 34 of
the Convention for the Protection of Human Rights and Fundamental
Freedoms (“the Convention”) by a Slovenian national, Mr Štefan Rola (“the
applicant”), on 4 February 2014 and 4 July 2016 respectively.
2. The applicant was represented by Mr D. Ljubič, a lawyer practising in
Ljubljana. The Slovenian Government (“the Government”) were
represented by their Agent, Ms J. Morela, State Attorney.
3. The applicant alleged, in particular, that due to the revocation of his
licence, which had had a permanent effect, his rights under Article 7 of the
Convention, Article 1 of Protocol No. 1 and Article 4 of Protocol No. 7 had
been violated.
4. On 2 December 2016 the Government were given notice of the above
complaints. The remainder of the application was declared inadmissible
pursuant to Rule 54 § 3 of the Rules of Court.
THE FACTS
1 May and 29 June 2003, and between 1 July 2003 and 22 November 2004,
respectively. The applicant was given a suspended prison sentence. The
judgment became final on 17 June 2011.
offences committed with intent was arbitrary and not relevant to the aim of
maintaining public confidence in the profession at issue.
15. On 6 November 2013 the Constitutional Court decided not to
consider the applicant’s constitutional complaint, relying on the second
paragraph of section 55(b) of the Constitutional Court Act (see paragraph 36
below).
16. In the meantime, as it transpires from a decision granting him
unemployment allowance, on 15 April 2012 the applicant was dismissed
from the Institute for Insolvency Management. He was subsequently
unemployed. From November 2014 to November 2015, he was employed
through a programme for older workers.
28. Pursuant to the Bankruptcy Act (Official Gazette no. 67/1993 with
the relevant amendments), which was in force at the time the applicant was
granted his liquidator’s licence and at the time the criminal offences in
question were committed, such a licence was not to be granted if the
ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS 7
candidate had been “convicted for a criminal offence which would render
him or her morally unfit to perform [this] function ...” (section 78b). The
Bankruptcy Act also set out the conditions for the revocation of the licence,
namely breach of duties or abuse of position.
29. On 1 October 2008 the Financial Operations Act (Official Gazette
no. 126/07) came into force, replacing the Bankruptcy Act. The Financial
Operations Act introduced, in its section 108 (3), certain new conditions for
the performance of the role of liquidator. Notably, a person is not
considered worthy of public confidence to perform such a role if, inter alia,
he or she has been convicted, by way of a final judgment, of a publicly
prosecutable criminal offence committed with intent and the conviction has
not yet been expunged from the individual’s criminal record. Likewise, he
or she is not considered worthy of public confidence if he or she has been
convicted of certain criminal offences committed by negligence, such as
manslaughter, infliction of a serious injury, money laundering, or disclosure
of State secret. In such cases, section 109 provides that the Minister of
Justice must revoke the individual’s licence.
30. Pursuant to section 108(4)(2) of the Financial Operations Act, the
Minister of Justice must reject an application for a liquidator’s licence if the
applicant has previously had a licence revoked.
31. The Financial Operation Act further specifies the management of the
register of liquidators and the order of their appointment to specific cases.
Section 116 provides that every case is allocated to a new liquidator,
respecting the order of their appearance on the aforementioned register.
32. In its transitional provisions the Financial Operations Act provides
that the liquidator licences which had been issued under the Bankruptcy Act
should on 1 October 2008 be considered, with some exceptions (not
applicable to the applicant’s situation), equal to licences issued under the
Financial Operations Act.
33. Under the Financial Operations Act, a liquidator is a particular
official in insolvency proceedings who carries out tasks set out in law with
the aim of protecting creditors’ interests. In bankruptcy proceedings, he or
she conducts affairs on behalf of the insolvent debtor. He or she assumes the
role of representing the debtor the moment the liquidation proceedings
against it start. In compulsory receivership proceedings, the liquidator’s role
is of a supervisory character. The liquidator also acts as an authority that
carries out certain official duties, such as examining the order of claims
against the debtor. He or she is obliged to act with diligence, to defend the
creditors’ interests and to follow the instructions of the judge where
applicable.
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34. At the time the crimes at issue were committed the Criminal Code
published in Official Gazette no. 63/1994 (“the Old Criminal Code”) was
applicable to the case. Its relevant Articles read as follows:
Article 99
(Incurrence of legal consequence of conviction)
“(1) Convictions for particular criminal offences or particular sentences may entail
either the termination or forfeiture of certain rights or a bar to the acquisition of
certain rights.
(2) Legal consequences cannot be imposed if the person was sentenced to a fine, to
a suspended sentence or a court warning or was dispensed from serving the sentence.
(3) Legal consequences may only be prescribed by statute and shall take effect by
force of the statute prescribing them.
(4) Only the legal consequences of conviction which were prescribed by statute at
the time the crime was committed can be imposed on a convicted person.”
Article 100
(Types of legal consequence of conviction)
“(1) The legal consequences of conviction which refer to the termination or
forfeiture of certain rights are termination of authorisation to perform a public
function .
(2) Legal consequences which refer to a bar to the acquisition of certain rights
include:
1) debarment from the performance of certain public functions or official duties;
2) debarment from entering a certain profession;
3) debarment from obtaining certain permits and endorsements granted by written
order of State bodies.
...”
Article 101
(Effect and duration of legal consequences of conviction)
“(1) Legal consequences come into effect on the day the conviction becomes final.
...
(6) The legal consequences of the conviction shall be discontinued with the removal
of the conviction from the criminal record.”
35. On 1 November 2008 the (new) Criminal Code published in Official
Gazette no. 55/2008 entered into force. Pursuant to Article 3 § 4, the
principle that there should be no crime and punishment without a law
applied also to the “legal consequence of conviction” concerning forfeiture
or limitation of rights. The relevant parts of other provisions are virtually
the same: Article 78 of the Criminal Code resembles Article 99 of the Old
ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS 9
38. The Supreme Court found in its decision no. X Ips 12/2013 that
when an enforcement officer’s licence was withdrawn on the basis of a
conviction for a criminal offence, by way of a final judgment, the authority
withdrawing the licence could not reassess the facts or law of the criminal
case.
10 ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS
THE LAW
39. Having regard to the related subject matter of the applications, which
were lodged by the same applicant, the Court finds it appropriate to examine
them jointly (Rule 42 § 1 of the Rules of Court).
A. Admissibility
1. Significant disadvantage
41. The Government, relying on the Constitutional Court’s decisions
rejecting the applicant’s two constitutional complaints, argued that the
applicant had suffered no significant disadvantage.
42. The applicant disputed that argument, submitting that the Court had
found a violation of the Convention in a number of cases which had been
rejected by the Constitutional Court.
43. The Court notes that the question of whether the applicant has
suffered any significant disadvantage represents the main element of the
criterion set forth in Article 35 § 3 (b) of the Convention (see Adrian Mihai
Ionescu v. Romania (dec.), no. 36659/04, § 39, 1 June 2010, and Korolev
v. Russia (dec.), no. 25551/05, 1 July 2010). The Court has held that the
absence of any significant disadvantage can be based on criteria such as the
financial impact of the matter in dispute or the importance of the case for
the applicant (see Konstantin Stefanov v. Bulgaria, no. 35399/05, § 44,
27 October 2015).
44. Turning to the present case, the Court finds it undisputed that in
losing his licence to act as a liquidator in bankruptcy proceedings, the
applicant also lost his main source of income. The Government provided
nothing to show that the financial impact of the matter was such as to
ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS 11
2. Applicability of Article 7
45. The Government took the view that the revocation of the applicant’s
liquidator’s licence had not constituted a “penalty” within the meaning of
Article 7 of the Convention and that the complaint should be declared
inadmissible.
46. The applicant disputed that argument.
47. The Court finds that the objection as to its lack of jurisdiction
ratione materiae, in the circumstances of the case, is closely linked to the
substance of the applicant’s complaint under Article 7 of the Convention. It
thus decides to join it to the merits.
3. Conclusion
48. The Court observes that this complaint is not manifestly ill-founded
within the meaning of Article 35 § 3 (a) of the Convention. It further notes
that it is not inadmissible on any other grounds. It must therefore be
declared admissible.
B. Merits
measure taken in response to the fact that having been criminally convicted,
the applicant had no longer fulfilled the criteria for the job. In particular, no
criminal convictions had been one of the conditions which had to have been
fulfilled by any candidate – it had related to the suitability of the candidate
for the position of a liquidator, which had required a high level of public
trust. Liquidators had exercised public powers and therefore had had to have
the confidence of debtors, creditors and the public in general.
51. The Government further argued that in any event the measure had
not had a retroactive effect. It had been imposed in administrative, not
criminal, proceedings. The purpose of the measure had been to ensure that
the functions of the liquidator would be carried out by a suitable person;
when the crime had been committed had been irrelevant in this regard. The
Government also submitted that the applicant’s licence had been withdrawn
on the basis of the Financial Operations Act because licences acquired
under the previous legislation had been treated in the same way as those
acquired under the aforementioned Act. They pointed out that the
Bankruptcy Act, which had been in force at the time the crimes had been
committed, had also included a condition of not having a criminal
conviction which would render a person morally unfit to hold such a
licence. The competent ministry had been obliged to ensure that those
holding a liquidator’s licence had been in compliance with the criteria set
out in the law. Referring to the Supreme Court’s judgment of 8 May 2014
(see paragraph 38 above), the Government argued that the ministry had
acted lawfully in the present case as it had based its decision on the law as
in force at that time and had been bound by the findings of the criminal
court.
52. The Government also submitted that pursuant to the Criminal Code
and the Old Criminal Code, “legal consequences of conviction” could be
prescribed only by statute. The Financial Operation Act was thus not to be
considered lex specialis but was merely a partial implementation act within
the framework of the Criminal Code or the Old Criminal Code.
Sections 108 and 109 of the Financial Operations Act were not in
contradiction with the aforementioned Codes.
nature (see paragraph 37 above). Having said that, the Court must interpret
the concept of a “penalty” in an autonomous manner (see G.I.E.M. S.R.L.
and Others, cited above, § 216). It must thus consider whether any other
factors (see paragraphs 53 to 54 above) lead to the conclusion that Article 7
is applicable in the present case.
64. In this connection, the Court notes that the relevant provision of the
Financial Operations Act provides that in order to be considered suitable to
perform the functions of a liquidator, a person must have no prior
conviction for, inter alia, any publicly prosecutable criminal offence
committed with intent (see paragraph 29 above). The purpose of this legal
provision does not appear to be to inflict a punishment in relation to a
particular offence of which a person has been convicted, but is rather aimed
at ensuring public confidence in the profession in question. It is aimed at
members of a professional group possessing a special status, specifically
liquidators in insolvency proceedings (compare Müller-Hartburg, cited
above, § 45, and Biagioli, decision cited above, § 54). Therefore, the
revocation of the licence did not have a punitive and dissuasive aim
pertaining to criminal sanctions.
65. The Court further notes that as in the case of Vagenas (decision cited
above), where the automatic dismissal had not amounted to a penalty within
the meaning of Article 7, the measure in the present case was imposed
solely on the objective basis of a final criminal conviction (see paragraphs 9
and 29 above). The Ministry of Justice and subsequently the courts
reviewing the case seem to have had no discretion as regards the imposition
of the measure, and no assessment of culpability was carried out in the
impugned proceedings (contrast Welch, cited above, § 33).
66. Lastly, as regards the severity of the measure, the Court reiterates
that this factor is not in itself decisive, since many non-penal measures of a
preventive nature may have a substantial impact on the person concerned
(see Welch, cited above, § 32). In the present case, the Court observes that
as a result of his criminal conviction the applicant’s licence was revoked
with permanent effect, which in itself appears to be a rather severe
consequence (see paragraphs 18 to 26 and 29 above). However, bearing in
mind the above principle and taking into account the considerations made in
respect of other factors mentioned in paragraphs 62 to 65 above and the fact
that the revocation of the applicant’s licence did not prevent him from
practising any other profession within his field of expertise (see, mutatis
mutandis, Oleksandr Volkov v. Ukraine, no. 21722/11, § 93, ECHR 2013),
the Court finds that, in the circumstances of the present case, the mere fact
that the impugned measure was of a permanent nature does not suffice for
the revocation of the applicant’s licence to be regarded as a penalty within
the meaning of Article 7.
ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS 17
A. Admissibility
B. Merits
86. The impugned measure was thus not lawful within the meaning of
Article 1 of Protocol No. 1. This conclusion makes it unnecessary to
ascertain whether the other requirements of that provision have been
complied with (see Capital Bank AD, cited above, § 139).
87. There has therefore been a violation of Article 1 of Protocol No. 1.
A. Damage
96. The applicant also claimed EUR 2,316 for the costs and expenses
incurred before the domestic courts and EUR 1,680 for those incurred
before the Court. As regards the domestic proceedings, he submitted copies
of two receipts: one, in the amount of EUR 609, concerning certain
undefined legal assistance provided on 5 December 2012, and one, in the
amount of EUR 1,707, concerning preparation of the Administrative Court
action.
97. The Government disputed the claim as partially unsubstantiated and
partly exaggerated.
98. According to the Court’s case-law, an applicant is entitled to the
reimbursement of costs and expenses only in so far as it has been shown
that these have been actually and necessarily incurred and are reasonable as
to quantum. In the present case, regard being had to the documents in its
possession and the above criteria, the Court considers it reasonable to award
the sum of EUR 1,707 for costs and expenses in the domestic proceedings
and EUR 1,680 for the proceedings before the Court. In total, the applicant
should be awarded EUR 3,387 for costs and expenses.
C. Default interest
99. The Court considers it appropriate that the default interest rate
should be based on the marginal lending rate of the European Central Bank,
to which should be added three percentage points.
ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS 23
5. Holds, by four votes to three, that Article 7 is not applicable in the case
and that there has accordingly been no violation of this provision.
7. Holds, unanimously,
(a) that the respondent State is to pay the applicant, within three months
from the date on which the judgment becomes final in accordance with
Article 44 § 2 of the Convention, the following amounts:
(i) EUR 5,000 (five thousand euros), plus any tax that may be
chargeable, in respect of non-pecuniary damage;
(ii) EUR 3,387 (three thousand three hundred and eighty-seven
euros), plus any tax that may be chargeable to the applicant, in
respect of costs and expenses;
(b) that from the expiry of the above-mentioned three months until
settlement, simple interest shall be payable on the above amounts at a
rate equal to the marginal lending rate of the European Central Bank
during the default period, plus three percentage points;
J.F.K.
M.T.
ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS 25
Protocol No. 7 does not actually contain the words “criminal procedure”,
but the words “criminal proceedings”, “penal procedure” and “previous
proceedings” are used). It is also rightly reiterated that in any assessment of
the existence of a “penalty” account may be taken not only of the impugned
measure’s imposition following a decision that a person is guilty of a
criminal offence, but also other factors, in particular the nature and the
severity of the measure in question. It is stated in paragraph 54 that the
factors to be considered in determining whether or not there was a “penalty”
(for the purposes of Article 7 § 1) “resemble” the so-called Engel criteria
(see Engel and Others v. the Netherlands, 8 June 1976, §§ 82-83, Series A
no. 22). As is rightly noted in A and B v. Norway ([GC], nos. 24130/11 and
29758/11, § 105, 15 November 2016), those criteria were “previously
developed” (that is to say, as early as in 1976, the year of Engel and Others)
for the purposes of Article 6 (i.e. to establish the existence of a “criminal
charge”), but since then they have been effectively applied also for the
purposes of Article 7 and Article 4 of Protocol No. 7. This jurisprudential
advancement is deservedly paid heed to in the judgment.
5. Although references to the relevant case-law are provided in the
above-mentioned paragraph, the Engel criteria themselves are not rehearsed.
It is therefore worthwhile to do so here. I am copying the following from the
rather recent Grand Chamber judgment of A and B v. Norway (cited above,
§ 105), which is but one (and not even the latest) of numerous authorities on
this matter:
(a) the legal classification of the offence under national law;
(b) the very nature of the offence;
(c) the degree of severity of the penalty that the person concerned
risks incurring.
6. In the above-cited case of A and B, being called upon to clarify the
applicability of the Engel criteria for the purposes of Article 7 and Article 4
of Protocol No. 7, the Grand Chamber saw no reason to depart from the
approach that these criteria were “the model test for determining whether
the proceedings concerned were ‘criminal’ for the purposes of Article 4 of
Protocol No. 7” (ibid., § 107). The Grand Chamber also stated that,
although the ne bis in idem principle was “mainly concerned with due
process, which [was] the object of Article 6, and [was] less concerned with
the substance of the criminal law than Article 7”, it would be “more
appropriate, for the consistency of interpretation of the Convention taken as
a whole, for the applicability of the principle to be governed by the same,
more precise criteria as in Engel” (ibid.).
Hardly anyone would disagree that, although “previously developed”
(ibid. § 105) for the purposes of the Article of which the “object” is “due
process” (that is to say, Article 6), the Engel criteria point directly to the
very “substance of the criminal law”, because they invoke the two
determinative elements of substantive criminal law: the offence, for which
30 ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS
is rightly noted that the disputed measure was imposed on the applicant as a
result of his criminal conviction for a “publicly prosecutable” offence, but
separately from the ordinary sentencing procedure (“a measure that
prevented a person from obtaining a licence to practise a certain profession
amounted to a ‘legal consequence’ of a conviction”); that the proceedings,
in which that measure was imposed, “fall within the ambit of administrative
law”; and that the impugned measure was “not set out in criminal law”
(paragraphs 61-63). These considerations are supported by some other
arguments which are spelt out in the context of the examination of the
fourth factor (perhaps because they are related to the “nature” of the
measure complained of), namely that “the measure ... was imposed solely
on the objective basis of a final criminal conviction”, and the institutions
which imposed it, as well as the courts which reviewed the case “had no
discretion as regards the imposition of the measure” and did not carry out
any “assessment of culpability” (paragraph 65).
12. In other words, from the perspective of the first three factors, which,
as noted, correspond to no small extent to the first Engel criterion, the
measure in question is not a “penalty”, not only owing to the fact that it is
not a criminal sanction under domestic law, but also because it is not a
sanction at all: it is an additional outcome, which the conviction entails
alongside a criminal sanction. Even if a criminal sanction is not imposed on
a convicted person (I would like to believe that this is possible under
Slovenian law, as in many other systems), that additional outcome is
nevertheless incurred.
13. However, this assessment is by no means conclusive; not only does
it not exclude the need to look into the issue from the perspective of the
fourth and the fifth factors, which correspond to the second and the third
Engel criteria, it actually requires this. But before turning to the remaining
two factors (in paragraphs 18-38 below) I have one more observation to
make.
14. In the context of the examination of the third factor, the
Constitutional Court’s decision of 1 June 1995 is noted and given some
significance. That decision is interpreted as having affirmed that “although a
measure that prevented a person from obtaining a licence to practise a
certain profession amounted to a ‘legal consequence’ of a conviction, it was
not to be considered to be a sanction that was criminal in nature” under
Slovenian law (paragraph 63). However, the assessment provided by the
national Constitutional Court is not binding on the Strasbourg Court.
15. Firstly, the aforesaid decision of the Constitutional Court concerned
– and upheld – the constitutionality of a prohibitive condition for a public-
service job (in that case of a notary), namely a “lack of criminal conviction
for [a] crime which would render him or her morally unworthy to be a
notary” (paragraph 37; emphasis added). The moral unworthiness clause is
quite different from – even if to some extent comparable to – the clauses
ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS 33
stipulating the prohibitive conditions dealt with in the instant case, which
are (i) a lack of criminal conviction for any “publicly prosecutable” offence
committed with intent, which has not been expunged from the person’s
criminal record, and (ii) a lack of previous revocation of the licence,
whatever the grounds for that revocation might have been (paragraphs 29
and 30). (The relationship between the two conditions, in particular, the
nullification, by the second condition, of the rehabilitative force of the
expunction of the offence from the person’s criminal record, as consolidated
in the first condition, would merit critical consideration from several
perspectives, but that would go beyond the scope of this opinion.)
16. Secondly, as explicitly expounded by the Chamber, “it cannot be
ignored that the Constitutional Court [itself] considered the revocation of a
licence following a criminal conviction to be a ‘legal consequence of
conviction’ ... and that the Government themselves acknowledged the
pertinence of the criminal-law provisions to the present situation by
submitting that the Financial Operations Act had been ‘a partial
implementation act within the framework of the Criminal Code or the Old
Criminal Code’” (paragraph 83). It is fair to say that this consideration
appears quite belatedly, in the context of the applicant’s complaint under
Article 1 of Protocol No. 1, and not in the context of Article 7 (see also
paragraphs 28 and 33 below; compare also paragraphs 35 and 42 below).
Still, it is clear that, from the perspective of the Convention, the provision
applied, while not being formally part of domestic criminal law, is
nevertheless not so simply detachable from it (although the majority do their
best not to mention in any direct manner that the impugned measure has any
retributive, let alone punitive, dimension).
17. Thirdly, while the Constitutional Court’s view is noted, the Court’s
own duty to interpret the concept of a “penalty” in an autonomous manner is
also explicitly acknowledged (paragraph 63). A measure which is not a
“criminal sanction” and not even a sanction at all from the perspective of
domestic law, thus could still be assessed as being a “penalty” from the
perspective of the Convention – for the purposes of Article 7 (and, by
extension, Article 4 of Protocol No. 7). In other words, a measure which is
not a sanction under domestic law may nevertheless be a sanction – and a
criminal one – under the Convention.
18. In order to ascertain whether or not that was so in the instant case,
the fourth and fifth factors had to be taken into account. However, things do
not go so smoothly from this point.
19. The examination of the fourth factor is where the first difficulty is
encountered. In assessing whether the nature and purpose of the impugned
measure allowed for its classification as one of a non-criminal nature, the
majority note that “the purpose of [the] legal provision [applied] ... aimed at
ensuring public confidence in the profession of liquidator”. However, they
consider that the ascertaining of this purpose, which is perfectly legitimate
34 ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS
in itself, is sufficient for them to declare that the purpose of the provision in
question “does not appear to be to inflict a punishment in relation to a
particular offence of which a person has been convicted” and that “the
revocation of the licence did not have a punitive and dissuasive aim
pertaining to criminal sanctions” (paragraph 64). From the methodological
perspective, the reasoning of the majority thus suggests that once the
purpose of a legislative provision, as such, is not “typical” of “traditional”
substantive criminal law (that is to say, to determine criminal offences and
to establish penalties for them), it simply cannot play any punitive role.
20. Hic iacet lepus. Such reasoning, however plausible on the surface, is
manifestly wrong. Its methodological fallacy lies in the fact that two
faculties of law are jumbled, although they must be contradistinguished: the
purpose of law and its function – and, by extension, the purpose and
function of the legal provision in question. The distinction between the
purpose of law and its function comes from the sociology of law primer.
The purpose of law (legislative provision) belongs to the domain of wishful
normativity; but its function points to its real impact on individuals and
society at large. Moreover, the impact on individuals may diverge from the
impact on society as a whole. The function of a legal provision may
correspond to its purpose, but often it does not. Many legal provisions in
fact perform not one but a number of functions. Even if a provision achieves
its purpose and in this sense its function corresponds to its purpose, it often
also brings about certain intended or unintended results – just like virtually
any medicine produces some side effects.
21. The majority, alas, fail to recognise that in the applicant’s case the
application of the provision in question not only (presumably) achieves its
purpose and in this sense performs a function corresponding to that purpose,
but also brings about at least one other result and in this sense performs one
more function. These two functions differ as regards their “addressees” and
purport. The provision applied not only ensures that the professional corps
of liquidators is composed exclusively of persons with no criminal record
containing “publicly prosecutable” offences and thus enhances public
confidence in this profession, but also safeguards the said profession from
such persons who have ever, in their lives, committed such criminal
offences with intent, because they are prohibited for life from practising this
profession even after they have served their court-imposed sentences, and
furthermore, even after the convictions have been expunged from their
criminal record. For such persons, any redemption from their criminal
offences appears to be “mission impossible”. The court-imposed sentence
may be served, but the additional outcome is to stay forever. The conviction
may be formally expunged from the convicted person’s criminal record, but
for the purposes of taking up the profession of a liquidator it is never
expunged, as if it is set in stone.
ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS 35
of the present case, the mere fact that the impugned measure was of a
permanent nature does not suffice for the revocation of the applicant’s
licence to be regarded as a penalty within the meaning of Article 7”.
Let us have a closer look at these arguments.
26. Firstly, what is meant by stating that “this factor is not decisive” is in
fact the majority’s reliance on the exception rather than the rule (see
paragraph 7 above). Notwithstanding the doctrinal principle of Sergey
Zolotukhin, as confirmed not long ago in, inter alia, A and B and Ramos
Nunes de Carvalho e Sá v. Portugal (all cited above), the cumulative
approach is preferred to the alternative. Why? It is nowhere explained. A
proper reference would do, but the reference to Welch (cited above) does
not help at all. That reference is a camouflage. Yes, the phrase, which the
majority cite, is in Welch. But of much more importance is the point that in
that case the Court found a violation of Article 7 § 1! (I will pass over a
range of both similarities and differences between the situation examined in
that case and the instant applicant’s situation.) The reference to Welch
therefore does not prove the majority’s position – it rather effectively
disproves it, if only one can spare a few minutes to cast an eye not only at
the citation, but also at the judgment cited.
27. No less confusing is the mention, in the context of the first argument,
of “many non-penal measures of a preventive nature”. The Court’s Guide on
Article 7 of the European Convention on Human Rights (as updated on
31 December 2018 and available urbi et orbi at
https://www.echr.coe.int/Documents/Guide_Art_7_ENG.pdf) mentions a
number of measures of a preventive nature which are excluded from the
concept of “penalty”; however it does not mention even once any preventive
measure which would in any way be related to a revocation of or a refusal to
grant a licence to practise a given professional activity. In contrast, it
mentions as falling within the scope of the notion of “penalty” the
“permanent prohibition on engaging in an occupation ordered by a trial
court as a secondary penalty” and refers in this context to the rather recent
case of Gouarré Patte v. Andorra (no. 33427/10, 12 January 2016).
Gouarré Patte is referred to in the instant judgment in a different context,
noting that, unlike in the instant case, that prohibitive measure was set out in
criminal law and was not imposed separately from the sentencing procedure
(paragraphs 62 and 63). What is noteworthy indeed is that in Gouarré Patte
the Court found a violation of Article 7. Despite the difference between the
nature of the measure examined in Gouarré Patte and that of the measure
examined in the instant case, the case of Gouarré Patte is perhaps the
closest to the instant one in the sense that it deals with a conviction-related
prohibition. And yet it is ignored in the instant judgment in the sense that it
is not referred to at the juncture where it may be relevant (although it is
referred to in other contexts).
ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS 37
28. Secondly, the majority acknowledge that the permanent effect of the
revocation of the applicant’s licence is a “rather severe consequence”. It
would be difficult to find to the contrary. It is common sense, and it must be
commended that the legal assessment does not go against common sense. In
my opinion, this assessment alone should have sufficed for it to be
concluded that the impugned measure amounted to a “penalty” in the sense
of Article 7, followed by a proportionality analysis. Otherwise, the fifth
factor, or the third Engel criterion, would be totally unimportant, virtually
not a criterion at all. And had the proportionality analysis been undertaken
by the Chamber, the finding that the measure in question was
disproportionate to the legitimate aim pursued would have been
consequential.
The majority, however, stop immediately after admitting that the
consequence was “rather severe”. What do they make of this important
acknowledgement? Nothing.
Or, frankly speaking, – not even as little as “nothing”. The next sentence,
which comes immediately after this admission and which (this is
particularly noteworthy) begins with the word “however” and refers to
unidentified “circumstances of the present case” (paragraph 66), serves no
other purpose than that of neutralising the acknowledgement. What the left
hand giveth, the right hand taketh away, as if the giving was meant only to
tease (see also paragraphs 16 above and 33, 35 and 42 below).
29. And not only that. The majority persistently avoid – and this is so
throughout the whole text of the judgment – even a hint that the impugned
measure had any retributive (which effectively would mean punitive) effect
and that by it the applicant was additionally sanctioned for his criminal
offence (see also paragraphs 16 above and 35 below).
30. Thirdly, the conclusion (at the end of the third, final, sentence, of
paragraph 66) that “the mere fact that the impugned measure was of a
permanent nature does not suffice for the revocation of the applicant’s
licence to be regarded as a penalty within the meaning of Article 7” is based
on three premises (compare paragraph 25 above). As we shall see, they are
all very shaky. These premises are:
(a) “the above principle”;
(b) “the considerations made in respect of other factors”;
(c) “the fact that the revocation of the applicant’s licence did not
prevent him from practising any other profession within his field of
expertise”.
31. In this list, “the above principle” is nothing other than the quotation
from Welch (cited above). Its dubious appropriateness and no less dubious
relevance to the applicant’s situation have already been dealt with (see
paragraph 26 above).
32. “The considerations made in respect of other factors” include –
alongside the least contentious issues of the formally non-criminal nature,
38 ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS
under the domestic law, of the legal provision applied and the procedure of
its application – the confusion of the purpose of the provision with any other
(that is to say, not directly related to that purpose) functions it may perform.
This also has been dealt with (see paragraphs 19-23 above).
33. But even the issue of the non-criminal nature, under the domestic
law, of the legal provision applied, is referred to by the majority only in the
context of “the considerations made” (emphasis added). Words matter. At
that stage one very important consideration has not yet been “made”. It is
the one identified in paragraph 14 above – regarding the close relationship
between the impugned formally non-criminal measure and the substantive
criminal law. At that stage, at which “the considerations made in respect of
other factors” have been mentioned, that particular consideration has yet to
be “made”. It will be “made” in the further pages of the judgment, namely
in its paragraph 83, in the context of the applicant’s complaint under
Article 1 of Protocol No. 1, and not in the context of Article 7 (or, for that
matter, Article 4 of Protocol No. 7). But it is precisely that consideration
which emasculates so substantially the overly formal(istic) classification –
not only in domestic law, but also from the perspective of the fourth factor
(the second Engel criterion), as erroneously applied in this case, – of the
measure in question as not belonging to the domain of criminal law (see
also paragraphs 16 and 28 above; compare also paragraphs 35 and 42
below).
One cannot therefore assert that the applicant erroneously equated, in his
application, the non-punitive measure imposed on him with the criminal
sanction. On the contrary, the majority chose to ignore the perdurable
relationship between that measure and the applicant’s criminal conviction –
and did this at the stage of the examination of the instant case at which that
relationship was most relevant. In the judgment, this relationship is noted –
in a different context – only after the crucial issue of (non-)applicability of
Article 7 has been decided (see also paragraphs 14 and 33 above).
34. It is noteworthy that the list of three premises, in which the reference
is made only to the “other factors”, effectively excludes and thereby dodges
one factor, which many (including myself) would see as the most relevant
one: the severity of the impugned measure. The majority admit that the
measure was “rather severe”, but utter these words as if by the way, then
neutralise the acknowledgment immediately, thus giving it no prominence
whatsoever (see paragraph 28 above).
35. Nor do the majority give any prominence to the concrete
circumstances of the applicant’s situation – and this notwithstanding the
explicit reference to “the circumstances of the present case”, in which they
conclude that the impugned measure is not to be regarded as a “penalty”
within the meaning of Article 7! “The circumstances of the present case” are
not dealt with. The reference to them is therefore obscure. In particular, in
the context of the applicant’s complaint under Article 7 there is no
ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS 39
consideration whatsoever of: the fact that the criminal offence for which the
applicant was convicted, bore no relation to the profession of liquidator; the
fact that his sentence was suspended; his family situation – not only at the
time when the applicant’s licence was revoked, but also when a new licence
was not granted; his inability to find other professional employment
(perhaps not owing to a failure to search for it); and – last but not least – the
fact that although the applicant was found guilty of domestic violence, he
(and not the other parent) appeared in the end to be in sole custody of his
children, etc. These circumstances are not at all irrelevant from various
perspectives. They clearly call for a proportionality analysis, the outcome of
which would indeed be not unpredictable. But the majority attribute no
significance to any of them. Or, to be more precise, they briefly mention
some of them only later on, in the context of the applicant’s complaint under
Article 1 of Protocol No. 1, that is to say, they do this only after the issue of
(non-)applicability of Article 7 has been decided unfavourably for the
applicant (see also paragraphs 28 above and 42 below; compare also
paragraphs 16 and 33 above).
36. Instead, the majority confer what seems a disproportionately great
prominence on the third of the above-listed premises (see paragraph 30
above). The latter merits attention, especially as it is the last point before the
interim conclusion that the revocation of the applicant’s licence is not a
penalty within the meaning of Article 7 (paragraph 66) and then the final
conclusion that Article 7 is not applicable in the present case (and that there
has accordingly been no violation of that provision) (paragraph 67).
37. That third premise is “the fact that the revocation of the applicant’s
licence did not prevent him from practising any other profession within his
field of expertise”.
This is so wobbly! What is the “field of expertise” of a liquidator in
insolvency proceedings? Well, insolvency proceedings, of course. The
judgment does not shed any light on what prohibitive conditions are
stipulated in Slovenian legislation as regards other jobs in this field, but as
far as one can infer from the legal provision applied in the instant case and
the comparable (although not identical) prohibitive clause of the Notary Act
(which was upheld by the Constitutional Court’s decision of 1 June 1995;
see paragraphs 14-16 above), it is most likely there are some – and most
likely they are no less severe. If not, how come the applicant was (still is?)
unemployed (at least in the capacity of a professional), was receiving
unemployment benefit, found it difficult to provide for his children, and was
able to be employed only “through a programme for older workers”
(paragraphs 16, 20 and 70)? The majority are not concerned by this at all.
The allusion to the possibilities of “practising any other profession within
his field of expertise” is a mere smokescreen with no identifiable content.
40 ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS
38. All in all, the reasoning, on which the conclusion that Article 7 is not
applicable in the present case (and that there has accordingly been no
violation of that provision) is based, is (to put it mildly) inaccurate.
This reasoning disregards the importance and the strength of the fifth
factor (the third Engel criterion). It undeservedly favours the cumulative
approach (over the alternative one) to the application of the Engel criteria
and the similar factors to be taken into account in examining the complaints
under Article 7 (and, for that matter, Article 4 of Protocol No. 7). At the
same time, the preference given to the cumulative approach has not been
substantiated in any way – in that sense it has not been demonstrated that a
“separate analysis of each criterion” is not sufficient to form “a clear
conclusion as to the existence of a criminal [penalty]” (see paragraphs 7
and 8 above). This is especially striking in view of the finding of the non-
application of Article 7 (and, by extension, of Article 4 of Protocol No. 7) to
the applicant’s situation.
The above-analysed reasoning also overplays the formal non-attribution
to the domain of criminal law of a prohibitive and retributive (which
virtually amounts to punitive) provision in question and thus displays one of
the most compromising fallacies of the legalistic thinking.
On top of that, the majority’s reasoning gives prominence to dubious
factual circumstances (and even artificially invents one of them, namely that
which pertains to “practising any other profession within [the applicant’s]
field of expertise”; see paragraphs 36-37 above), while at the same time
neglecting others, among them the important ones.
39. What is most important (and disappointing) is that the reasoning
criticised here vividly shows, how insensitive law can be and how its
“relative autonomy” (on which there are volumes of legal-sociological
literature) may be misused or even abused. This insensitivity – if not
loftiness – appears to be incidental not only to statutory law (la loi, c’est la
loi; dura lex sed lex), but also to judge-made law. Alas, even judge-made
human rights law.
40. In the latter regard the majority’s reasoning and the finding based on
it follows in the footsteps of the two judgments of the Slovenian
Constitutional Court, which the latter adopted with regard to the applicant’s
constitutional complaints.
41. The Slovenian Constitutional Court was seized twice of the issue of
the severity of the impugned measure. First it decided not to consider the
applicant’s constitutional complaint regarding the revocation of his licence
(on 6 November 2013, paragraph 15). Then it rejected the applicant’s
second constitutional complaint regarding the refusal to grant him a new
licence as inadmissible (on 14 December 2015, paragraph 26).
42. The second paragraph of section 55(b) of the Constitutional Court
Act, on which the Constitutional Court relied in both these cases, commands
it to be ascertained, for the consideration of a constitutional complaint,
ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS 41
consider that the nature of the proceedings cannot in the present case carry
any particular weight in the determination of the existence of a “penalty”.
5. Regarding the third criterion, namely the legal characterisation in
domestic law, the measure in question admittedly did not fall within any of
the formal categories of criminal sanctions as so characterised by the
Criminal Code or the Old Criminal Code. Instead, as rightly and
unanimously held by the Chamber in the framework of its examination of
the applicant’s complaint under Article 1 of Protocol No. 1, the measure is
to be characterised as a “legal consequence of conviction”. However, this
issue alone does not detach the impugned measure from the applicability of
the provisions of criminal law, i.e. in the specific context of the domestic
law of the respondent State, of its Criminal Code or Old Criminal Code.
Notably, the basis, incurrence and limits of a “legal consequence of
conviction” were set out in the criminal law. In particular, Article 100 of the
Old Criminal Code (as well as Article 79 of the Criminal Code) set out
measures which were to be regarded as “legal consequences of conviction”,
including termination of authorisation to perform a public function and a bar
to the acquisition of certain rights, such as the right to hold public office and
to practise certain professions. Furthermore, Article 99 of the Old Criminal
Code (as well as Article 78 of the Criminal Code) limited the incurrence of
a “legal consequence of conviction” to cases of a custodial sentence. It
further provided that only a statute could prescribe “legal consequences of
conviction” and that the latter should not be applied retroactively (ibid.). We
wish to highlight that these requirements are expressions of two
fundamental principles of criminal law, namely the principle of legality and
the prohibition of retroactive application of law, as embodied in Article 7 of
the Convention (see Del Río Prada v. Spain [GC], no. 42750/09, § 78,
ECHR 2013).
6. The intrinsic link between the impugned measure and the provisions
of criminal law has been acknowledged by the Government in their
assertion that the Financial Operations Act had been “a partial
implementation act within the framework of the Criminal Code or the Old
Criminal Code” (see paragraph 52 of the judgment). Nevertheless, the
domestic authorities failed to address whether the impugned measure was of
a criminal-law nature or to determine whether the relevant provisions of the
Criminal Code were applicable to the applicant’s case.
7. As regards the fourth criterion, namely the nature and purpose of the
measure, we note the fact that the applicant was unable to reapply for a
licence once the criminal conviction had been expunged from his criminal
record. This feature of the measure is in our view the decisive factor,
because it shows that the measure’s purpose was not merely to ensure the
applicant’s suitability for the professional activity in question. Maintaining
an inability to reapply for the licence beyond the time limit of legal
rehabilitation clearly indicates that the measure’s purpose was essentially
ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS 45
punitive, adding another, and in many respects much heavier, legal burden
upon the applicant than the imposed criminal sanction itself.
8. Last but not least, in respect of the fifth criterion, we emphasise the
particular severity of the measure imposed on the applicant. Such severity
obviously impacts upon the characterisation of a measure as a penalty under
Article 7 of the Convention. The Court has held that lifelong
disqualification from a profession or withdrawal of a licence, which
constitute the primary means of subsistence of an individual, are particularly
grave (see, for example, Rivard v. Switzerland, no. 21563/12, § 24,
4 October 2016).
9. We therefore consider that the strict and automatic link between the
criminal conviction and the contested measure, leaving no room to the
competent authorities for an assessment of circumstances or the exercise of
discretionary powers, together with the essentially punitive purpose of the
measure and its rather severe consequences for the applicant, lead to the
conclusion that the impugned revocation of his licence is a “penalty” within
the meaning of Article 7. We accordingly believe that the Court should have
dismissed the Government’s objection and concluded that Article 7 is
applicable in the present case.
10. Turning to the assessment of whether the contested measure
complied with the requirements of Article 7 of the Convention, we reiterate
that this provision prohibits the retrospective application of criminal law to
the detriment of the accused person. More generally, it embodies the
principle that only the law can define a crime and prescribe a penalty (see
Koprivnikar v. Slovenia, no. 67503/13, § 46, 24 January 2017).
11. We further observe that in the present case at the time the criminal
offences in question were committed, under the applicable law, that is to say
the Bankruptcy Act, the relevant conditions for a liquidator’s licence were
limited to the absence of a criminal conviction which would render the
person morally unfit to perform the functions of a liquidator. It is
undisputed that this law was not applied to the applicant’s case, but instead
a later law (the Financial Operations Act) extending the condition to, inter
alia, the absence of any publicly prosecutable criminal offences committed
with intent, was applied. This, in our opinion, amounted to a retrospective
application of the law to the applicant’s disadvantage and was therefore in
violation of Article 7 of the Convention (see Del Río Prada, cited above,
§ 116).
12. In addition, we observe that, pursuant to both the Old Criminal Code
and the Criminal Code, a suspended prison sentence, which was the
sentence imposed on the applicant by the criminal court, could not have
entailed any legal consequences. We think that the applicant should not
have been made to face a “penalty” which had been explicitly proscribed by
the criminal law when the offence in question had been committed.
46 ROLA v. SLOVENIA JUDGMENT - SEPARATE OPINIONS
13. In sum, we consider that for all of the above reasons, the revocation
of the applicant’s licence contravened the principle of legality embodied in
Article 7 of the Convention and that there has been a violation of that
Convention provision.