"It would require a very strong case to interfere with sentence in such a case because the disciplinary committee are the best possible people for weighing the seriousness of the professional misconduct."
"From this review of authority I conclude that the statements of principle set out by the Master of the Rolls in Bolton remain good law, subject to this qualification. In applying the Bolton principles the Solicitors Disciplinary Tribunal must also take into account the rights of a solicitor under articles 6 and 8 of the Convention. It is now an overstatement to say that 'a very strong case' is required before the Court will interfere with the sentence imposed by the Solicitors Disciplinary Tribunal. The correct analysis is that the Solicitors Disciplinary Tribunal comprises an expert and informed Tribunal, which is particularly well placed in any case to assess what measures are required to deal with defaulting solicitors and to protect the public interest. Absent any error of law, the High Court must pay considerable respect to the sentencing decisions of the tribunal. Nevertheless, if the High Court, despite paying such respect, is satisfied that the sentencing decision was clearly inappropriate, then the Court will interfere. It should also be noted that an appeal from the Solicitors Disciplinary Tribunal to the High Court normally proceeds by way of review; seeCPR Rule 52.11 (1)."
"that in entering into and then proceeding with conditional fee arrangements with Flavell Co for Mr Flavell to provide 'expert' advice and reports in connection with housing disrepair claims in the circumstances set out below and (so far as necessary) by doing so where he knew or ought to have known that (a) Mr Flavell was not fit, competent or appropriately qualified to act as an expert and/or (b) was willing to profess to competence and/or qualifications which he did not possess and/or views which he did not hold, and/or (c) the conditional nature of the fee arrangement would not be disclosed to the other opposing parties to the claims, the Second Respondent: 2.1 (at all material times) acted in a manner unbefitting a solicitor. 2.2 (before1 July 2007 ) 2.2.1 compromised his integrity and independence and/or acted in a manner likely to compromise his independence and integrity contrary to Rule 1(a) of theSolicitors' Practice Rules 1990 ("the SPR"); and/or 2.2.2 acted in a manner likely to compromise or impair his good repute and/or the good repute of the solicitors' profession contrary toRule 1(d) of the SPR . 2.3 (after1 July 2007 ) 2.3.1 compromised his integrity and independence contrary to Rules 1.02 and 1.03 of the SCC; 2.3.2 acted in a manner likely to diminish the trust the public placed in him or the legal profession contrary to Rule 1.06 of the SCC; and/or 2.3.2 acted in breach of Rule 11.07 of the SCC."
"The Tribunal found beyond doubt that the Firm had instructed Mr Flavell in matters in which it was known he was not competent, qualified or fit to give expert evidence after the point at which both Respondents knew he was unfit."
"... the Tribunal found that by early June 2007 both were aware that Mr Flavell was prepared to present himself as possessing expertise which he did not in fact possess, and which expertise had been challenged in at least two court hearings. For an expert witness to profess to expertise s/he does not possess is a serious matter and undermines the trust which can be placed in that expert's reliability and integrity."
"The Tribunal was satisfied to the required standard as a fact that both Respondents knew by6 June 2007 that Mr Flavell was prepared to say things which he did not believe to be true, either in court or in giving an account of his expertise. Whatever his practical experience, his conduct in this regard meant he was unfit to be an expert witness in any cases. Further, both knew that such behaviour was not consistent with the professional standards expected of any expert witness in litigation; both had told the Tribunal that they were aware of the duties of experts, as set out for example inCPR Part 35 and the related Practice Direction."
"There was no doubt that after6 June 2007 Mr Flavell was instructed by the Firm to produce reports, in particular on s11 LTA claims but also on at least four occasions... reports relevant to s82 EPA claims. On those reports Mr Flavell had specifically stated: 'I confirm that I have not entered into an arrangement whereby my fee is in any way dependent upon the outcome of this case.'"
"30. Suspension from the Roll will be the appropriate penalty where the Tribunal has determined that: • the seriousness of the misconduct is such that neither a Reprimand nor a Fine is a sufficient sanction or in all the circumstances appropriate. • there is a need to protect both the public and the reputation of the profession from future harm from the respondent by removing his/her ability to practise, but • neither the protection of the public nor the protection of the reputation of the profession justifies striking off the Roll. • public confidence in the profession demands no lesser sanction. • professional performance, including a lack of sufficient insight by the respondent, is such as to call into question the continued ability to practise appropriately. 31. Suspension from the Roll, and thereby from practice, reflects serious misconduct."