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JOHANS v. FINLAND

Doc ref: 410/02 • ECHR ID: 001-66630

Document date: August 31, 2004

  • Inbound citations: 1
  • Cited paragraphs: 0
  • Outbound citations: 3

JOHANS v. FINLAND

Doc ref: 410/02 • ECHR ID: 001-66630

Document date: August 31, 2004

Cited paragraphs only

FOURTH SECTION

DECISION

AS TO THE ADMISSIBILITY OF

Application no. 410/02 by Raija JOHANS against Finland

The European Court of Human Rights (Fourth Section), sitting on 31 August 2004 as a Chamber composed of:

Sir Nicolas Bratza , President , Mr J. Casadevall , Mr M. Pellonpää , Mr S. Pavlovschi , Mr J. Borrego Borrego , Mrs E. Fura-Sandström , Ms L. Mijović , judges ,

and Mr M. O ’ Boyle , Section Registrar ,

Having regard to the above application lodged on 28 December 2001 ,

Having deliberated, decides as follows:

THE FACTS

The applicant, M r s Raija Johans, is a Finnish national, who was born in 1942 and lives in Uusikaupunki. She is not represented before the Court.

A. T he circumstances of the case

The facts of the case, as submitted by the applicant and as they appear from the documents , may be summarised as follows.

1. The first set of proceedings

A bank commenced an action against the applicant and her company, claiming re payment of loan s . They contested the claim, arguing that the bank had agreed to extend the term of payment.

On 5 September 1997 t he District Court ( käräjäoikeus , tingsrätten ) of Mynämäki sanctioned the claim and order ed the applicant and her company to re pay the loan s . They appealed.

On 10 March 1998 the Turku Court of Appeal ( hovioikeus , hovrätten ) held an oral hearing during which the persons heard before the District Court were reheard. During the hearing the applicant and her company argued that the District Court Judge X was disqualified from deciding their case on the ground that he at the same time acted as a supervisor of the plaintiff bank. Commercial bank supervisors ’ duties within the bank ’ s administration entail promot ing and supervis ing a particular office ’ s activities and act ing as th at office manager ’ s supporting person.

The Court of Appeal invited X to comment on the issue, which he did. According to X , he had acted as a supervisor of effectively the same bank since the 1970s. All the parties file d observations on X ’ s comment.

By its judgment of 24 November 1998 the Court of Appeal , rejecting the disqualification allegation, upheld the lower court ’ s judgment. As to the alleged partiality it noted that the name of J udge X, who ruled on the case in the District Court, had been on the list of the plaintiff bank ’ s supervisors until the end of 1997. However, on 25 November 1996 , i.e. prior to the case becoming pending , X informed the bank in writing that he would resign as a supervisor. The Court of Appeal considered that the mere fact that in 1997 X still remained on the list of supervisors did not call his objective impartiality into question. There was nothing to indicate his subjective partiality. The applicant and her company requested leave to appeal.

On 13 September 2000 the Supreme Court ( korkein oikeus , högsta domstolen ) granted them leave to appeal as far as the disqualification claim was concerned.

On 28 June 2001 the Supreme Court (decision no. 1391), having first noted that X , despite his declaration of 25 November 1996, had acted as a supervisor for the bank until the end of 1997 and thus, at the time when he decided the present case, rejected the disqualification claim giving the following reasons:

“A commercial bank supervisor cannot be considered disqualified from deciding litigation where the bank in question is a party to the proceedings in light of chapter 13, section 1 of the Code of Judicial Procedure.

In assessing whether a judge is disqualified, attention has to be paid also to the provisions of the European Convention on Human Rights and Fundamental Freedoms and the case-law of the European Court of Human Rights.

In the determination of his civil rights and obligations everyone is entitled to a hearing by an independent and impartial tribunal according to Article 6 § 1 of the Convention. In light of the Human Rights Court ’ s case-law, a judge must not hold a preconception or have a prejudged view of the case in question or have a desire to favour one of the parties ’ interests (subjective impartiality). In addition, all legitimate doubts as to the judge ’ s impartiality must be eliminated (objective impartiality). In assessing impartiality from the last-mentioned point of view, attention has to be paid to whether the judge ’ s previous activities or his relations to the parties from an objective point of view give a party reason to believe that his impartiality is jeopardized.

In his comment to the Court of Appeal X stated that the credits in question had come to his knowledge when the case became pending. As he also had knowledge of also other claims related to a company previously run by the applicant and her husband which was being dissolved ... X had said in open court that the granting of additional loans to the same debtor caused him astonishment.

In their appeal the applicant and her company argued that the above statement showed that X had a certain bias with regard to the present case.

Having regard on the one hand to the content s of the statement and on the other to the issues in dispute, the Supreme Court considers that the statement is not a sufficient indication of X ’ s personal bias or his desire to favour the bank ’ s interests. Nor are there any other such indications . Accordingly, t he allegation that X would have been partial from a subjective point of view is unfounded.

C ommercial bank supervisors ’ position, duties or responsibility within the bank ’ s administration are not based on the law. However, they are based on the statute approved by the bank ’ s board of governors. According to the statute the supervisors ’ duty is to promote and supervise a particular branch ’ s activities and act as th at branch manager ’ s supporting person.

If the judge deciding a litigation in addition to his or her regular post holds a position of trust and according to the description of that position has a relation ship as mentioned above with the other party to the proceedings, this fact is likely to raise questions as to whether the judge ’ s impartiality is jeopardized. According to the constant case-law of the European Court of Human Rights, in assessing whether a judge is disqualified attention has to be pai d to the impression given in the circumstances to an observer (see the reasoning in the cases of Wettstein v. Switzerland , no. 33958/96, § 44, ECHR 2000-XII and Ferrantelli and Santangelo v. Italy , judgment of 7 December 1996, Reports of Judgments and Decisions 1996-III, § 58 and other authorities mentioned therein). H aving regard to the above-mentioned paragraphs in particular and the fact that the litigation concerns the acts by the branch in question, t he supervisors ’ duty description in the bank ’ s statute contains features that may give an observer an objectively justified fear that the judge may have ties of loyalty to the bank or the office ’ s management that jeopardize his impartiality.

The duties, obligations or expectations that attach to the supervisors ’ position are , however , not precise or strict. Also the remuneration is so modest that it cannot as such be assumed to bring pressure to bear on the supervisors to render the bank or its branch special favours. The factual role of the supervisor and his or her possible ties to the bank and the branch ’ s management in question thus depends to a large extent on the supervisor ’ s individual attitude and may in practice be small or even non-existent.

A bout six months prior to the present case bec oming pend ing, X already considered that the supervisor ’ s position with regard to the office of a judge may be problematic in the eyes of an observer and bring about unnecessary fear of partiality. Therefore he informed the branch in question that he was no longer at the bank ’ s disposal as a supervisor. However, from a formal point of view, X ’ s position as supervisor ended at the end of the term. Having regard to the a bove concerning a supervisor ’ s factual role, the Supreme Court considers that regard has to be paid to X ’ s letter of resignation in assessing whether he was partial in deciding the present case. X resigned specificall y with a view to preventing an y suspicion as to his impartiality. His conduct has been such that he can be considered to have resigned from the position as a supervisor already when he left his letter of resignation and not when h is term formally ended. In these circumstances X ’ s ties to the bank and its office in question or its management cannot be considered to be such at the time during which the present case has been pending that they warrant the conclusion that there is objectively justified suspicion as to his impartiality.

T hese reasons can warrant the conclu sion that X was not disqualified from examining and deciding the present case”.

The Supreme Court ’ s decision became a precedent (KKO 2001:69).

2. The second set of proceedings

The afore-mentioned bank commenced an other action against the applicant and her company, claiming re payment of loans. O n 22 January 1999 the District Court of Vakka-Suomi sanctioned the claim and ordered the applicant and her company to re pay the loans. On 7 January 2000 the Turku Court of Appeal upheld the judgment.

On 13 September 2000 the Supreme Court granted the applicant and her company leave to appeal as far as the disqualification claim against X was concerned. By its judgment of 28 June 2001 (decision no. 1392) it rejected the disqualification claim on the same grounds as in the first set of proceedings.

B. Relevant domestic law

Chapter 13, section 1 of the Code of Judicial Procedure ( oikeudenkäymiskaari , rättegångsbalken ), as in force at the material time, provided in relevant part:

“... The following shall be the legal grounds for disqualification [of a judge]: when the judge is related by blood or marriage to one or the other party in a manner where marriage is prohibited under chapter 2 of the (1734) Marriage Code, including cousinship by blood although not by marriage; when the judge is the opposing party or a public opponent of a party; when the judge or his or her relative here listed has an interest in the case, when they stand to obtain particular benefit or suffer particular loss as a result of it; when the judge has served as a judge in the case in another court; when the judge has served as an advocate or a witness in the case; or when the judge has previously, on the orders of a court, decided a part of the case; or when the judge has a similar cas e pending before another court ...”

COMPLAINT S

1. The applicant complains that the District Court Judge X was disqualified from deciding her cases on the grounds that he acted at the same time as a supervisor of the plaintiff bank and that in 1979 he had allegedly neglected his duties as a trustee in the estate inventory of he r father. She does not invoke any provisions of the Convention.

2. In her submission of 26 February 2002 the applicant also complains, without invoking any Article, about the outcome of the proceedings.

THE LAW

The applicant complains that the District Court Judge X was disqualified from deciding her cases and about the outcome of the proceedings.

The Court has examined the complaint s under Article 6 § 1 of the Convention, which reads in relevant part:

“In the determination of his civil rights and obligations ... everyone is entitled to a fair ... hearing ... by an independent and impartial tribunal ... ”

A. Alleged partiality

1. The first set of proceedings

a) As to the complaint that X was disqualified on the ground of having allegedly neglected his duties as a trustee in the inventory of the estate of the applicant ’ s father in 1979, the Court notes that s he did not raise this issue before the domestic courts.

The Court recalls that it may only deal with a matter after all domestic remedies have been exhausted, according to the generally recognised rules of international law .

It follows that this part of the disqualification complaint must be rejected under Article 3 5 §§ 1 and 4 of the Convention for non-exhaustion of domestic remedies.

b) As to the remainder of the disqualification complaint , t he Court need not decide whether the first instance tribunal lacked impartiality or whether the reasons given by the Supreme Court were compatible with Article 6 of the Convention , because in determining issues of fairness for the purposes of that Article , the Court must consider the proceedings as a whole, including the decision of the appellate court ( Edwards v. the United Kingdom , judgment of 16 December 1992, Series A no. 247-B, § 34; C.G. v. the United Kingdom , no. 43373/98, judgment of 19 December 2001, § 35). It is not its function to substitute its own assessment of the facts for that of the domestic courts and, as a general rule, it is for these courts to assess the evidence before them. The Court ’ s task is to ascertain whether the proceedings in their entirety were fair (see Doorson v. the Netherlands , judgment of 26 March 1996 , Reports 1996-II, p. 470, § 67).

The Court considers that the real issue in the case is whether the Court of Appeal was capable of remedying any perceived unfairness at first instance. It is well established in the Court ’ s case law that a defect at first instance may be remedied on appeal, so long as the appeal body has full jurisdiction. Where a complaint is made of a lack of impartiality on the part of the decision-making body, the concept of “full jurisdiction” involves that the reviewing court not only considers the complaint but has the ability to quash the impugned decision and either to take the decision itself, or to remit the case for a new decision by an impartial body ( De Haan v. the Netherlands, judgment of 26 August 1997, Reports 1997 ‑ IV, §§ 53-54; and more recently, Kingsley v. the United Kingdom, no. 35605/97, § 58 , 7 November 2000, unreported).

Turning to the present case , the Court notes that the first instance judgment was open for review both as to the facts and as to the law before the appellate court . Thus, the Court of Appeal enjoyed “full jurisdiction” in the sense described above .

As to procedure before the Court of Appeal, the Court notes that the applicant had ample opportunity to convince the court of the merits of her argument. The Court of Appeal reached its own conclusion having held an oral hearing during which the persons heard before the District Court had been reheard.

Accordingly, the Court finds that the proceedings were not unfair overall and that th is part of the complaint is manifestly ill-founded. It must therefore be declared inadmissible under Article 35 §§ 3 and 4.

2. The second set of proceedings

The Court may only deal with a matter after all domestic remedies have been exhausted and within a period of six months from the date on which the final decision was taken.

The applicant introduced her disqualification complaint as to the second set of proceedings in a submission of 4 January 2002 . The Court finds that the final domestic decision within the meaning of Article 35 § 1 of the Convention was given on 28 June 2001 , i.e. more than six months before the date on which the complaint was submitted to the Court.

It follows that this part of the application has been introduced out of time and must be rejected in accordance with Article 35 §§ 1 and 4 of the Convention.

B. The outcome of the proceedings

The Court notes that the applicant introduced this complaint in a submission of 26 February 2002 , whereas the final domestic decisions were given on 28 June 2001 .

It follows that this part of the application has been introduced out of time and must be rejected in accordance with Article 35 §§ 1 and 4 of the Convention.

For these reasons, the Court unanimously

Declares the application inadmissible.

Michael O ’ Boyle Nicolas bratza Registrar President

© European Union, https://eur-lex.europa.eu, 1998 - 2026

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