The Professional Conflict Pertaining to Confidentiality—The Obligation of Disclosure for Intermediaries of Financial Transactions
Abstract
:1. Introduction
2. Methods
3. Findings
3.1. Highlights of the Present Regulation Regarding Obligation to Notify/Inform
3.1.1. The Current International and European Legal Framework regulating the Obligation to Disclose Tax-Related Information
- (i)
- The existence of an arrangement in the taxation field.
- (ii)
- An activity having cross-border effects within the EU.
- (iii)
- A performance of the “main benefit test”. This test is considered to be “(…) satisfied if it can be established that the main benefit or one of the main benefits which, having regard to all relevant facts and circumstances, a person may reasonably expect to derive from an arrangement is the obtaining of a tax advantage” (Annex IV—Part I), e.g., related to tax exemptions, tax reimbursements, maximizing tax deductions, tax losses, as well as diminished income or gain.
3.1.2. The Transposition of DAC6—The Romanian Case
- -
- On 28 January 2020, the Government Ordinance no. 5/2020 for amending and supplementing Law no. 207/2015 on the Tax Procedure Code (GO no. 5/2020) was adopted, which aims at transposing DAC6.
- -
- Soon thereafter, on 13 January 2021, a guide on the interpretation of DAC6 was published on the website of the National Agency for Tax Administration (ANAF).
- (i)
- The notion of earnings (EBIT) as per DAC6 is used instead of income, as the GO no. 5/2020 provided.
- (ii)
- Further clarification is brought about with respect to “circular transactions (…) involving interposed entities without other primary commercial function or transactions that offset or cancel each other (…)”.
- (iii)
- The EU/OECD list of non-cooperating jurisdictions is considered automatically reportable. It is questionable to what extent the guide may be invoked by national authorities, as it is not a binding piece of legislation, but it is useful at least as a guidance tool when construing the provisions set out under the GO no. 5/2020 in relation to DAC6.
3.2. The Configuration of Lawyers’ Legal Obligation of Professional Secrecy in National System of Law—A Romanian Case
3.2.1. Procedural Guarantees Ensuring Lawyers’ Professional Secrecy in National Legal Systems
3.2.2. Sanctions for Unlawful Breaches of the Obligation to Observe Professional Secrecy
3.3. Case Law Clarifying the Concepts of Professional Secrecy and the Duty to Inform, Resolving the Underlying Conflict between the Two
3.3.1. The European Court of Human Rights (ECHR) Approach
- -
- Pursuant to the judgment rendered in the Case Pruteanu v. Romania (n.d.) (ECLI:CE:ECHR:2015:0203JUD003018105), the wiretapping of lawyer–client telephone correspondence was considered to have caused a violation of Article 8 of the European Convention on Human Rights (the Convention) regarding the respect to private life and the freedom of correspondence.
- -
- In the Case of Iordachi and others v. Moldova (n.d.) (ECLI:CE:ECHR:2009:0210JUD002519802), the ECHR held that the mere possibility for lawyer–client telephone discussions to be wiretapped amounted to a violation of the right to a private life.
- -
- In an older case, namely the Case of Kopp v. Switzerland (n.d.) (Application no. 23224/94 Judgment 25.3.1998), the ECHR had already established that telephone calls made from or to business premises, such as those of a law firm, may be covered by the notions of private life and correspondence within the meaning of Article 8 para. 1 of the Convention (Stefanelli 2011).
- -
- Relating to searches, in the Case Mancevschi v. Moldova (n.d.) (ECLI:CE:ECHR:2008:1007JUD003306604), the ECHR ruled that searching the law office of a lawyer has an impact on the lawyer–client privilege and, consequently, the investigating judge should have given “compelling and detailed reasons” for authorizing such search warrants and enforce particular measures to safeguard the privileged materials protected by professional secrecy.
- -
- Lastly, the ECHR has emphasized that Article 8 of the Convention confers “strengthened protection to exchanges between lawyers and their clients” on account that “(…) lawyers are assigned a fundamental role in a democratic society, that of defending litigants. Yet, lawyers cannot carry out this essential task if they are unable to guarantee to those they are defending that their exchanges will remain confidential. It is the relationship of trust between them, essential to the accomplishment of that mission, that is at stake (…)”. The ECHR expressed this opinion in Case Michaud v. France (n.d.) (ECLI:CE:ECHR:2012:1206JUD001232311).
3.3.2. The Court of Justice of the European Union (CJEU) Approach
- (i)
- The confidentiality of all correspondence between lawyers and their clients guarantees the activity of defense and the secrecy of the legal consultation;
- (ii)
- The persons consulting a lawyer should legitimately expect that the lawyer will not disclose to anyone that they are consulting him/her;
- (iii)
- The lawyers’ fundamental role in a democratic society comprises the requirement that any person should be able to freely consult a lawyer, while relying on his/her good faith.
- (i)
- The restrictions are provided by law;
- (ii)
- They comply with the essence of the right in question;
- (iii)
- They are appropriate and necessary and meet an objective of general interest recognized by the EU.
4. Discussions
4.1. Comparative View of DAC6 National Transposition in Other Member States
4.2. The Romanian and Belgian Transposition Laws
- (i)
- Persons that design, market, organize or make available for implementation or manages the implementation of a reportable cross-border arrangement, therein named “promoters”.
- (ii)
- Persons that know or could be reasonably expected to know that they have undertaken to provide, directly or by means of other persons, aid, assistance or advice with respect to designing, marketing, organizing, making available for implementation or managing the implementation of a reportable cross-border arrangement, therein named “service providers”. This classification closely follows the definition pursuant to DAC6.
5. Conclusions
Author Contributions
Funding
Institutional Review Board Statement
Informed Consent Statement
Data Availability Statement
Conflicts of Interest
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Tofan, M.; Arseni, A.-A. The Professional Conflict Pertaining to Confidentiality—The Obligation of Disclosure for Intermediaries of Financial Transactions. Laws 2024, 13, 2. https://doi.org/10.3390/laws13010002
Tofan M, Arseni A-A. The Professional Conflict Pertaining to Confidentiality—The Obligation of Disclosure for Intermediaries of Financial Transactions. Laws. 2024; 13(1):2. https://doi.org/10.3390/laws13010002
Chicago/Turabian StyleTofan, Mihaela, and Alina-Adriana Arseni. 2024. "The Professional Conflict Pertaining to Confidentiality—The Obligation of Disclosure for Intermediaries of Financial Transactions" Laws 13, no. 1: 2. https://doi.org/10.3390/laws13010002
APA StyleTofan, M., & Arseni, A. -A. (2024). The Professional Conflict Pertaining to Confidentiality—The Obligation of Disclosure for Intermediaries of Financial Transactions. Laws, 13(1), 2. https://doi.org/10.3390/laws13010002