CRIME INSIDE NEWSLETTER Winter 2007
Transcription
CRIME INSIDE NEWSLETTER Winter 2007
CRIME NEWSLETTER Winter 2007 EDITORIAL INSIDE by Christopher Donnellan, head of the Criminal Team The daily challenge to the practitioner is to meet the complications thrown up by recent legislation. This edition of the Newsletter addresses three areas which have exercised the expertise of members of the Criminal Team. Matthew Lowe has analysed and illustrated the restriction of Parliament’s intention to chip away at a pillar of our criminal justice system: the burden of proof. I have addressed an unintended consequence of a ‘care worker offence’ in the Sexual Offences Act 2003. Felicity Gerry has identified the proper approach to obtaining a ‘Goodyear’ indication for a dangerous offender facing IPP, with a short update on the same topic from Declan O’Callaghan. We will continue to provide a programme of seminars on developments in Criminal Law, practice and procedure throughout 2008. Details will appear on our website and members of the Criminal Team will be contributing to the International Law Seminar at Exeter University in April. Finally, we are delighted to announce that Adrienne Lucking has accepted an invitation to join Chambers. Adrienne joins the Criminal Team from De Montfort Chambers. Reverse burden of proof provisions and how to challenge them Matthew Lowe 1 Patients, sex and the perils of the “Care Worker” Christopher Donnellan 3 Goodyear indications and IPP sentences Felicity Gerry 5 Recent judgments Declan O’Callaghan 5 International Law Seminar 6 Reverse burden of proof provisions and how to challenge them by Matthew Lowe On the face of it a rather dry and esoteric area of the Criminal Law. It is however one of those few areas where the Human Rights Act has had anything approaching a meaningful impact on Criminal trials in England and Wales. In dealing with this issue the House of Lords have made it plain that each statutory provision will be considered on a statute by statute basis. There are plenty of relevant statutes where the point has yet to be litigated in the appellate courts. Apart from anything else it is an opportunity to make some law. What do we mean by reverse burden provisions? Simply put it arises where a statute creating a criminal offence imposes a legal burden on the accused to prove a defence. Almost invariably the provision will relate to the mental element of the offence rather than the act or acts, usually in the following terms: “it shall be a defence for the defendant to prove that at the material time he reasonably believed x y z” The argument challenging these provisions Stripped down the argument runs as follows: 1. A statutory provision that imposes on the accused a legal burden of proving a defence offends the presumption of innocence and therefore the right to a fair trial protected by Article 6 of the European Convention on Human Rights. The relevant part of Article 6 is: • • • • • • • • • • • • • • Mrs Frances Oldham QC Mr Brian Escott-Cox QC Mr Franz Muller QC Mr Rex Tedd QC Mr David Farrell QC Mr Jeremy Richardson QC Mr Richard Wilson QC Miss Lynn Tayton QC Mr William Harbage QC Mr Andrew Urquhart Mr David Altaras Mr David Lee Mr Jamie De Burgos Mr Michael Fowler Mr Allan (Sam) Mainds Mr Charles Lewis Miss Catherine Gargan Miss Gillian Temple-Bone • • • • • • • • • Mr Martin Beddoe Mr Christopher Donnellan Miss Charlotte Friedman Miss Mercy Akman Miss Jacqueline Matthews-Stroud Miss Joanne Ecob Mr Robert Underwood Mr Benjamin Gumpert Mr Amjad Malik Mr Peter Dean Mr Richard O’Dair Mr Gregory Pryce Mr Andrew Howarth Miss Patricia Cave Miss Adrienne Lucking Miss Amanda Johnson Mr John Gibson Mr Matthew Lowe • • • • • • • • • • “everyone charged with a criminal offence shall be presumed innocent until proved guilty according to law” down some more general guidance and tried to reconcile some earlier decisions. The case concerned two cases and two very different statutory provisions. 2. The relevant statutory provision should be ‘read down’ so as to impose an evidential burden only on the defendant thus ensuring compatibility with the Convention. This reading down would of course take place by virtue of s.3 of the Human Rights Act 1998. 1. Mr. Sheldrake was charged with an offence under s.5(1)(b) of the Road Traffic Act 1988 (in charge of a car with excess alcohol). It is a defence under s.5(2) if defendant proves that there was no likelihood of him driving while over the limit. It was argued that this defence under s.5(2) The argument can be expressed in another way: was not compliant with Article 6 unless it was The effect of the legal burden being on the construed as to impose only an evidential rather accused is that a jury could convict of an offence than a legal burden on the defence. simply because the defence fail to discharge the The Magistrates convicted. The Divisional “balance of probabilities” standard. In other words: Court ruled that it violated the presumption of the jury could convict despite being unsure as to innocence. whether an essential ingredient of the offence has been proved by the Prosecution. 2. The second case charged under s.11(1) Terrorism Act 2000 alleged the defendant The approach adopted by the was a member of a proscribed organisation Appellate Courts (Hamas). Section 11(2) provides: The leading authority is Sheldrake [2004] UKHL 43. The House of Lords attempted to set “It is a defence for a person charged with an Miss Sarah Gaunt Mr Stuart Alford Miss Rosa Dean Mr John Lloyd-Jones Miss Felicity Gerry Mr Christopher Jacobs Mr Mark O’Connor Miss Hari Kaur Mr Andrzej Bojarski Mr Declan O’Callaghan Mr Jonathan Spicer Mr Jonathan Kirk Mr William Tyler Mr Rupert Skilbeck Mr Philip Nathan Mr Oliver Connolly Mr Jonathon Rushton Mr Kevin Barry • • • • • • • • • • Mr Nick Blake Miss Hannah Markham Miss Rebecca Crane Mr Martin Knight Miss Catarina Sjölin Mr Simon Ash Mrs Penelope Wood Mr Martin Kingerley Miss Katya Saudek Mr Adam Pearson Miss Allison Summers Miss Miriam Carrion Benitez Mr Daniel McDowell Mr Daniel Leader Miss Nadia Silver Mr Christopher Carr Mr Cameron Crowe Miss Kate Tompkins • • • • Miss Joanna O’Connell Miss Claire Howell Miss Kathryn Howarth Miss Victoria Lorne 36 Bedford Row London WC1R 4JH dx: 360 LDE tel: +44 (0)20 7421 8000 fax: +44 (0)20 7421 8080 David Green Senior Clerk Harri Gibson Senior Criminal Clerk Rachel Shepherd Hayley Jones Joanna Booker [email protected] • member of the Criminal Team www.36bedfordrow.co.uk CRIME NEWSLETTER Winter 2007 Reverse burden of proof provisions (continued) offence under subsection (1) to prove that he has not taken part in the activities of the organisation at any time while it was proscribed. At first instance the Crown had conceded that only an evidential burden was imposed by s.11(2). The Judge concluded that defence had discharged that evidential burden and that the Crown had failed to prove that the Defendant had taken part in Hamas related activities since it was proscribed. A ‘no case’ submission succeeded and the defendant was acquitted. The Attorney General took the case to the Court of Appeal who decided that a legal burden was imposed by s.11(2). The issue was referred onto the House of Lords and heard at the same time as the rather more prosaic case of Sheldrake. The following principles can be distilled from the judgement: a. The European Convention on Human Rights does not outlaw presumptions of fact or law but requires that they are kept within reasonable limits and should not be arbitrary; b. Governments are entitled to pass laws defining criminal offences excluding any requirements of mens rea (i.e. strict liability) but again these must be proportionate and reasonable; Lord Bingham said: “The task of the court is never to decide whether a reverse burden should be placed on a defendant, but always to assess whether a burden enacted by parliament unjustifiably infringes the presumption of innocence” c. These questions will be decided on statute by statute basis. Lord Bingham said: “The justifiability of any infringement of the presumption of innocence cannot be resolved by any rule of thumb, but on examination of all the facts and circumstances of the particular provision as applied in the particular case.” Therefore, when confronted with a reverse burden provision it is helpful to ask two questions: 1. Conventionally construed does the provision impose a legal or evidential burden upon the defence? If only an evidential burden then no sustainable argument exists. If a conventional construction reveals a legal burden then consider question 2: 2. Is the imposition of a legal burden compatible with the Article 6 right to a fair trial; i.e. is a legal burden reasonable, justified and proportionate? Reasonable, justified and proportionate? In looking at these issues of justification and proportionality the court will consider the following factors: • What is maximum sentence for the offence? • In the event of conviction will the offence have great impact upon defendant over and above the sentence itself? Will he be met with opprobrium and disapproval from the community or society at large? • Does the presumption relate to an issue peculiarly within the knowledge of the defendant? • What is the opportunity or ability of the defendant to prove the issue in his favour? • In the absence of a legal presumption how easy is it for Crown to prove issue in their favour? • In the absence of a legal presumption how workable or effective is the statute? • What mischief is the act directed at? • Is the presumption directed at an issue that is commonly an ingredient in a criminal offence (i.e. mens rea). In Sheldrake the House of Lords ruled differently in each of the cases it was considering. The burden imposed by s.5(2) of the Road Traffic Act was a legal one. An accused would have to prove on a balance of probabilities that he would not have driven whilst unfit. This burden was justified principally because it related to a matter closely associated with the accused’s own knowledge. The imposition of such a burden did not go beyond what was necessary and reasonable and it was directed at a legitimate objective namely preventing serious injury and death on the roads. In relation to the Terrorism Act the House of Lords held that Parliament had intended to impose a legal burden on the accused but that amounted to a clear breach of the presumption of innocence. It was not a proportionate and justifiable legislative response to the threat of terrorism. Therefore despite the clear intention of parliament the section was to be read down to impose an evidential burden only. • There was an objective element to the defence “reasonable cause”. This made it easier for the prosecution because it was not necessary to disprove a subjective view held by the defendant. • The decisive factor was whether the reverse burden was necessary to ensure that the offences remained workable. The conclusion of the court was the section remained workable even in the absence of a reverse legal burden. Therefore the imposition of a legal burden was not proportionate or justified. R v Lambert [2002] 2 AC 545 Section 28 Misuse of Drugs Act 1971 Burden on the accused to prove that he neither believed nor suspected nor had reason to suspect that the item in his possession was a controlled drug. The Court of Appeal held that on a natural reading the subsection imposed a legal burden and this undermined the presumption of innocence to an unreasonable extent. The section should be read down so as to impose an evidential burden only. Decisive in the Court’s reasoning was the fact that offences under this act might carry a life sentence. If a legal burden remained, a jury could convict even though they were not sure that Defendant knew that he possessed controlled drugs. R v Johnstone [2003] 1 WLR 1736 Section 92(5) Trade Marks Act 1994 It is a defence to an offence under the act if the accused proves that he believed on reasonable grounds that the use of the mark in the manner in which it was used was not an infringement of the registered trademark. Held: A legal burden was imposed and this was both justified and proportionate. Why? • The urgent international pressure in the interests of consumers and traders to restrain fraudulent trading in counterfeit goods; • The reliance in the defence on matters within the defendant’s own knowledge; • The legal burden was needed to ensure that those committing these offences could effectively be brought to book. Useful examples: Keogh [2007] EWCA Crim 528 Sections 2 and 3 Official Secrets Act 1989 The Court of Appeal on appeal from a ruling given at a preparatory hearing, held that the defences provided under s.2(3) and s.3(4) of the Act conventionally construed imposed a legal burden upon the defence. However, that burden amounted to a significant infringement of the presumption and should be read down to impose an evidential burden only. The following factors seemed to influence the Court’s decision: • They looked at what it was that the defence were required to prove. Here it amounted to a requirement to disprove a substantial ingredient of the offence namely the mens rea of the offence; • They looked at the ability of Prosecution to prove that element. The prosecution would commonly be able to prove this mental ingredient by the use of inferences. 2 L v DPP [2003] QB 137 (Divisional Court) Section 139(4) Criminal Justice Act 1988 Burden on the defendant to prove that he had good reason or lawful authority for having a bladed article in a public place. The Court held that the legal burden imposed was compatible with Article 6. Why? • Strong public interest in bladed articles not being carried without good reason; • Accused had to prove something within his own knowledge; • Sentencing powers limited to two years (unless on school premises). There are many reverse burden statutory provisions that have yet to have an airing in the Court of Appeal. Be prepared to argue for the proper construction to achieve a fair trial. Patients, sex and the peril of the “Care Worker” by Christopher Donnellan The State, rightly, wants to protect the vulnerable in society. Some of the provisions of the Sexual Offences Act 2003 are deliberately designed as much to protect the vulnerable from themselves as from the offender. Previous articles have dealt with the thorny issue of voluntary drunkenness and consent, and with the exercise of discretion to prosecute the young defendant. Now for another issue: for an adult group of people considered by the law to be vulnerable—persons suffering from a mental disorder. Mental disorders are many and varied and range from the most debilitating, requiring constant supervision and care to those that may require occasional periods of in-patient care, and, perhaps with medication, enable an individual to lead a normal active life with relationships. Those with mental disorders have as much right to their family life, including their chosen form of sexual relationships, as enshrined in Article 8 of the ECHR. How does this square with ss.38 and 42 of the Sexual Offences Act 2003? Is it now a care worker who might become the person vulnerable to the application of the law? Section 38 An offence is committed under s. 38(1) if (a) A person (A) intentionally touches another person (B); (b) the touching is sexual; (c) B has a mental disorder; (d) A knows or could reasonably be expected to know that B has a mental disorder; and (e) A is involved in B’s care in a way that falls within s.42. Once it is proved that B has a mental disorder s.38(2) states that “it is to be taken that the defendant knew or could reasonably have been expected to know that that person had a mental disorder unless sufficient evidence is adduced to raise an issue as to whether he knew or could reasonably have been expected to know it”. By s.38(3), f the touching is a penetrative offence the maximum sentence is 14 years, otherwise 10 years. Section 42(1) For the purposes of ss.38 to 41, a person (A) is involved in the care of another person (B) in a way that falls within this section if any of subsections (2) to (4) applies. 1 HL Deb 28 April 2003 c535 2 H.O. Circular 21/2004 (2) This subsection applies if (a) B is accommodated and cared for in a care home, community home, voluntary home or children’s home, and (b) A has functions to perform in the home in the course of employment which have brought him or are likely to bring him into regular face to face contact with B. (3) This subsection applies if B is a patient for whom services are provided (a) by a National Health Service body or an independent medical agency, or (b) in an independent clinic or an independent hospital, and A has functions to perform for the body or agency or in the clinic or hospital in the course of employment which have brought him or are likely to bring him into regular face to face contact with B. (4) This subsection applies if A (a) is, whether or not in the course of employment, a provider of care, assistance or services to B in connection with B’s mental disorder, and (b) as such, has had or is likely to have regular face to face contact with B. In the House of Lords debate during the passage of the Bill, Lord Falconer said “Consent here is totally irrelevant. It plays no part in the ingredients of the offences. To put it simply, the elements required for an offence are the relationship of care between the defendant and the victim, and the occurrence of sexual activity”1 Home Office Guidance The Home Office Guidance Document2 on the offence, and interpretation of “Care Worker” is as follows: Section 38 167.Section 38 makes it an offence for a care worker to engage in sexual touching with a person with a mental disorder where he is involved in his care. 168.“Touching” covers all physical contact, including touching with any part of the body, with anything else and through anything, for example, through clothing. It includes penetration. Section 42 181.This section defines a relationship of care for the purposes of ss.38 to 41. This relationship is defined broadly to cover circumstances where a relationship exists because one person has a mental disorder and another person is regularly involved (or likely to be involved) face to face 3 in their care and that care arises from the mental disorder, whether on a primary or ancillary level, and whether on a paid or voluntary basis. It can include, for example, not only doctors, nurses and social workers but also receptionists, cleaning staff, advocates or voluntary helpers. 182. Subsections (2) to (4) describe the circumstances in which a relationship of care exists. Subsection (2) deals with the case where the person cared for is accommodated in a care home, community home, voluntary home or children’s home. An example of a relationship covered by subsection (2) would be where the care worker is a member of staff in a care home and the person with a mental disorder is resident there. Subsection (3) deals with the case where the person cared for is in receipt of services provided by an NHS body or private medical agency or an independent clinic or independent hospital. An example of a relationship covered by subsection (3) would be where the care worker is a receptionist at a clinic attended regularly by the person with a mental disorder. In these cases, the carer provides functions in the home or for the body or agency in the course of employment which bring him into, or are likely to bring him into, regular face to face contact with the person cared for. Subsection (4) deals with any situation where care, assistance or services are provided, whether in the course of employment or otherwise. In this case, the care worker must be involved, or be likely to become involved, in regular face to face contact with the person with a mental disorder. An example of a relationship covered by subsection (4) would be where the care worker takes the person with a mental disorder on outings every week or visits him at home to provide complementary therapy. The inclusion of the situation where the care worker is “likely to have” regular face to face contact is in recognition of the fact that a relationship of care could be established on the first occasion. While many will have thought they could recognise a “Care Worker” it will no doubt come as a surprise to many that receptionists and cleaning staff are included in the “care relationship” identified in the statute. Consider this scenario: A person (C) is employed in a hospital as an assistant to a Registered Mental Nurse to carry out daily living tasks with the patients. A supportive relationship develops between C and a short term voluntary in-patient (P) at an NHS Trust Hospital, who suffers from “emotionally unstable personality disorder”. After P leaves the hospital she receives care from the same NHS Trust through the community based service (e.g. Community Psychiatric Nurse). A few weeks later P returns, unexpectedly and voluntarily, to the hospital and is admitted for a few days and then discharges herself again; C is on leave at that time so was not involved in her care but learns of P’s admission and discharge on his return. P receives further “out-patient” follow up. P occasionally returns to the hospital to collect medication, but is not seen by C on those occasions. Over the next few months C has social contact with P, now the former in-patient, and a consensual sexual relationship develops. They “fall out”, the patient complains to friends that C had committed a sexual assault. The Police were called. P insists that full sexual intercourse over a period of time was with her consent, but that on the last occasion when she had invited C to come to her home by text from her mobile, as she had done on previous occasions, he had committed an assault. C admits the details of the sexual activity except as alleged on the last occasion. Does C have a defence to a charge under s.38 of the penetrative offences and the touching offence? In our example of P and C there is no issue about the ingredients of s.38, save for s.38(1)(e). Section 42 provides the interpretation of Care Workers. The ingredients of the offence seem to be fulfilled. The care worker interpretation in s.42(3) would apply to the case. P was an NHS patient who had received in-patient treatment and was continuing to receive NHS care in the community described by the NHS Trust as an “informal patient”. C has functions to perform for the hospital in the course of employment which have brought him into contact with P. Further, although unlikely in the particular circumstances, there remains a possibility that she returns for further in-patient treatment, and if she comes in to the same hospital it follows that his functions as a health care assistant are likely to bring him into regular face to face contact with P. Has this made it an absolute offence for C to have a sexual relationship with P while he remains employed by the NHS Trust? As long as there is no qualification to s.42, there would appear to be no cut off period after which it would be permissible to embark on a relationship with someone who, after discharge as an in-patient, has consensually developed that relationship. Section 43 allows a marriage exception. If the defendant proves that he and the patient, who must be over 16, were lawfully married at the time of the sexual touching, then no offence is committed. Was it the intention of Parliament to legislate (a) that the care relationship continues without limit of time, or alternatively (b) that there should be no sex before marriage with the mentally disordered? The onus is on the care worker to find out the law, but would he or his lawyer understand it? This law needs clarification. The case raised another issue: The disciplinary investigator suggested that the Nursing and Midwifery Council’s Code of Professional Conduct does not apply to healthcare assistants. The internal disciplinary proceedings found no evidence that C had been made aware that relationships with recently discharged patients are inappropriate. Ignorance of the law is no excuse, but if the perception is that the relationship is only “inappropriate” rather than a criminal offence carrying 14 years maximum sentence, it would suggest that the application of the law is not clear to those most closely affected by it. In R v Rimmington [2005] UKHL 63. [2006] 1 A.C. 459 at [30], Lord Bingham considered Article 7 ECHR: As for C: the initial decision was to charge— primarily based on C’s admission. The decision was reviewed after considering further material including the disciplinary findings and lack of clear guidance. Was it fair to put the vulnerable complainant through a trial, or the defendant, in order to try and obtain a ruling of a higher court? Would the jury have convicted? Unlikely. The decision to prosecute was reversed. “Article 7... sustains [the] contention that a criminal offence must be clearly defined in law, and represents the operation of ‘the principle of legal certainty’ ... The principle enables each community to regulate itself ‘with reference to the norms prevailing in the society in which they live. That generally entails that the law must be adequately accessible - an individual must have an indication of the legal rules applicable in a given case - and he must be able to foresee the consequences of his actions, in particular to be able to avoid incurring the sanction of the criminal law.” More tersely, in Warner v Metropolitan Police Commissioner [1969] 2 AC 256, 296, Lord Morris of Borth-y-Gest said: “...In criminal matters it is important to have clarity and certainty.” Further note on IPP Ignorance of the law was argued in the prosecution of members of the Pitcairn Island Declan O’Callaghan community for serious sexual offences. In Christian The Divisional Court has considered the issue & others v R [2006] UKPC 47 [40] Lord Woolf of the lawfulness of the detention of prisoners stated: beyond the minimum term specified period in an IPP where insufficient provision has been made “...it is a requirement of almost every modern for the offender to have access to the means to system of criminal law, that persons who are reduce the risk factor: Wells v The Parole Board; intended to be bound by a criminal statute Walker v The Secretary of State for Justice [2007 must first be given either actual or at least EWHC1835. To the extent that such prisoners constructive notice of what the law requires. This is would remain incarcerated after tariff expiry a requirement of the rule of law, which in relation without any effective assessment of the danger to the criminal law reflects the need for legal they did or did not pose, such detention could certainty... governments must ensure adequate not be justified and was unlawful There is as yet publication or at least reasonable access to the no indication of when the House of Lords will criminal laws which they wish to enforce.” consider the matter. Whilst ruling that the defendants had adequate awareness that their conduct (rape and indecent assault) was contrary to the criminal law, he also went on to say [41]: “The sheer volume of the law in England... creates real problems of access even to lawyers unless they are experts in the particular field of law in question. The criminal law can only operate on Pitcairn, as elsewhere, if the onus is firmly placed on a person, who is or ought to be on notice that conduct he is intending to embark on may contravene the criminal law, to take the action that is open to him to find out what are the provisions of that law.” 4 Disabled Access Chambers is committed to providing a high standard of service to all its clients, including clients with any form of disability. Chambers is accessible by wheelchair users. There is a ramp providing easy access to the front door and a door entry system at wheelchair height. Additionally, our conference facilities and unisex disabled toilet are situated on the ground floor. If solicitors have clients who are visiting Chambers and have any other particular needs arising from a disability, they should telephone Chambers (as far in advance of the relevant visit as possible) and ask to discuss the relevant client’s needs with David Green, Harri Gibson or Richard Cade. We shall do our best to meet the needs of any client with a disability. Members are pleased to attend conferences with clients at a suitable location on circuit. Equal Opportunities 36 Bedford Row operates an Equal Opportunities policy. Equal opportunities officers: Christopher Donnellan, Rosa Dean and Daniel Leader. CRIME NEWSLETTER Winter 2007 Goodyear indications and IPP sentences by Felicity Gerry A Crown Court Judge is entitled to give an indication, in open Court, as to the maximum sentence that might be imposed on a plea of guilty to a given offence (R v Karl Goodyear [2005] EWCA Crim 888) . Goodyear indications, as they have become known, are now a common feature of pretrial negotiations. In many cases the Court has to decide whether the “dangerous” provisions of the CJA 2003 are triggered and therefore whether the Defendant should receive a sentence of imprisonment for public protection (IPP). In R v Kulah 2007 EWCA Crim 1701 the Court of Appeal reconciled the decision in Goodyear (made on the 19th of April 2005) with the sentencing provisions of the CJA 2003 (in force 1st May 2005). The Court held that it is not necessarily inappropriate for a Goodyear indication to be sought or given, but, where the offence involved is specified (within Schedule 15 of the CJA 2003) and no risk assessment is available to enable the judge to decide whether a sentence of imprisonment for public protection is appropriate, such an indication should be restricted to what the notional determinate period would be In that case the Recorder of Cardiff refused to give an indication in relation to an offence of Attempted Robbery where the Defendant had several specified previous convictions and no pre sentence report (PSR) was available. 4 days later the matter was listed for mention before a different judge who was not told of the Recorder’s refusal. The second judge gave an indication of a determinate sentence and said that there would be no IPP sentence, again without a PSR. The Defendant pleaded guilty. Thereafter, there was some confusion as to whether the indication was determinate or not. He was sentenced by a third judge to an IPP sentence (with a report regarding breaches of a Community Order but no PSR). Once the Defendant realized his sentence was indeterminate, he appealed. His application for leave to appeal out of time was allowed. The Court of Appeal made a fresh assessment of dangerousness and concluded that it would be unreasonable to conclude that there was a significant risk to the public of serious harm by the commission of further offences by the Defendant. His appeal was allowed and a determinate sentence of 3 years imposed. The following guidance was given: (vi) If the matter is listed before different judges, it is important that each judge is told if there has been a previous application for an indication and, if an indication was given, the subsequent judge should be informed of the exact terms (i) A Goodyear indication can be sought and given where the dangerous offender provisions apply (ii) The judge is under no obligation to give any indication and may not wish to do so where no risk assessment is available. (iii) If an indication is given, it should be made clear that the “dangerous offender” provisions apply and that the indication is subject to the appropriate material being available to enable the Court to consider the risks posed by any future offending by the Defendant (iv) If an indication is given and the Defendant is not assessed as “dangerous”, the indication can be deemed to be as to the maximum determinate sentence to be imposed (v) If an indication is given and the offender is later assessed as “dangerous”, the indication can only relate to the notional determinate period used to calculate the time an offender has to serve before he can apply for parole The importance of this guidance can be highlighted by the events in R v MacDonald 2007 Crim 1117 where an indication of 5 years was given, the offender was later assessed as “dangerous” and an IPP sentence was imposed by a different judge. The Court of Appeal held that the indication was binding and quashed the IPP sentence As an aside, for those defending, before seeking an indication, ensure that the Court has as much information about a Defendant as possible since the Court of Appeal has also held in R v Karen Linda Fletcher (currently unreported) that judges are not required to reduce sentences following a Goodyear indication due to matters of mitigation that they may not have known about at the time of giving the indication. The Court said that it is the judge’s duty to impose the appropriate sentence for an offence based on all the circumstances, but not beyond the sentence length indicated in the Goodyear indication. An appeal, in which it was said that the Crown Court judge had failed to give weight to mitigation which he had no heard at the time of giving a Goodyear indication, was dismissed. imprisonment. Accordingly the case did not qualify under section 225(1)(b) and no sentence under that section could lawfully be passed. However, the judge could and should have used his powers under s.227 to pass an extended sentence as the offence was a specified violent offence as defined by s.224(3) and Schedule 15 Part 1 to the Act and the dangerousness condition was fulfilled. The judge clearly had in mind a determinate sentence of three years’ imprisonment. That would have been both proper and lawful although the judge should have extended that sentence under s.227(2) in respect of licence and could have done so by up to two years taking the case to the permitted maximum under s.227(5). Had he done that no complaint could or would have been made of the sentence. The court could and did substitute that sentence for the one imposed by the judge. A person sentenced to imprisonment for public protection could not have his case considered by the Parole Board until he had served the minimum term. Thereafter he could not be released until it was considered safe to do so. After release he remained subject to licence indefinitely unless the Parole Board directed that the licence should cease to have effect. However, no such direction could be given until at least 10 years had expired since the date of actual release. An extended sentence entitled a prisoner to be released at the half way point of the custodial term specified, which would be 18 months in the instant case. He then remained on licence and at risk of recall until the expiration of the whole term, which would be five years in the instant case. It followed that, taking the instant case as a whole, the proposed sentence was not more onerous than the one in fact passed. Recent Judgments by Declan O’Callaghan Sentencing: extended sentence substituted for IPP R v Mackie [2007] EWCA Crim 2486 The appellant (M) appealed against a sentence of Imprisonment for Public Protection with a specified term of 18 months imposed after he pleaded guilty to an offence of assault occasioning actual bodily harm to his partner B. M had previous convictions including seven for violence, with B among the victims. The Judge found that the dangerousness provisions under ss. 224–229 Criminal Justice Act 2003 were satisfied, and he purported to impose a term of imprisonment for public protection pursuant to section 225. The Court of Appeal allowed the appeal. The judge’s sentence was unlawful since the offence was not a serious offence within s.224(2) (b) because the maximum penalty was five years’ 5 INTERNATIONAL LAW SEMINAR in association with Park Crescent Conference Centre 229 Great Portland Street London W1W 5PN Tuesday 22 April 2008 9.30am—5.30pm NEW DA TE FOR 2008 Iraq, Cambodia and beyond— fair trials in an international setting Keynote speaker His Honour Judge Howard Morrison QC OBE—formerly Defence counsel at the International Criminal Tribunal for Rwanda (ICTR) and at the International Criminal Tribunal for the former Yugoslavia (ICTY)— sets the theme for the day. Why did it take a decade to reach verdicts in Rwanda? Benjamin Gumpert—Defence Counsel in a genocide trial at the International Criminal Tribunal for Rwanda. Special Court for Sierra Leone Kathryn Howarth—former Consultant at the Office of the Prosecutor, Special Court for Sierra Leone and Law Clerk at the Prosecutors Office, War Crimes Division, Court of Bosnia and Herzegovina, and Graham Fellow of the International Human Rights Project at the University of Toronto. Arab perspectives on the current system of International Criminal Justice Judge Adel Ibrahim Maged—Special Advisor to the Islamic Criminal Justice Project, Counsellor at the Egyptian Court of Appeals, on secondment to the Ministry of Justice of the United Arab Emirates (UAE) as Legal Advisor on International (Criminal) Law and Treaty Affairs and lecturer in international criminal law at the Institute for Training & Judicial Studies, Abu Dhabi, United Arab Emirates (UAE). A retrospective after the trial of Saddam Hussein Stuart Alford—Chair of the International Bar Association/ Foreign Office Training Programme for the judges and prosecutors of the Iraq High Tribunal. 30 years on—defence rights at the Khmer Rouge Tribunal Rupert Skilbeck (in person or on DVD if abroad) Head of Defence Support Section at the Extraordinary Chamber of the Court of Cambodia. International crimes and Admissible Defences—the input of the Rome Statute Dr Caroline Fournet—Lecturer in Law, University of Exeter. 6 hours CPD accredited Corporate Liability for human rights abuses—time to hold companies to account Students: FREE; Academics: £40; Others: £80 For more information or to book a place, please contact Daniel Leader—International and Public Law Barrister who has worked on access to justice issues and public interest litigation in the Democratic Republic of Congo and in Kenya. He has a particular interest in business and human rights and has participated in numerous complaints against British companies under the OECD Guidelines for Multinational Enterprises. Yvonne Saunders Marketing Coordinator 36 Bedford Row London WC1R 4JH dx: 360 LDE tel: +44 (0)20 7421 8000 [email protected] Is the International Criminal Court the way ahead? Declan O’Callaghan—Visiting Scholar at the University of Exeter; International and Public Law Barrister with experience training Iraqi judges in Dubai. or book online at www.36bedfordrow.co.uk (click on ‘Events’) 6