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  • The trials and convictions of Carlos Hill

    The trials and convictions of Carlos Hill
    Cash Plus boss jailed in 1990s for racketeering, mail fraud in US

    Wednesday, December 05, 2007


    Hill. filed many appeals
    Cash Plus boss Carlos Hill was convicted of racketeering, mail fraud and of making a false statement in the US in the 1990s and was sentenced to near 30 years in prison, court documents obtained by the Observer have shown.

    Beginning in April 1990 when he pleaded guilty in the District Court of New Jersey to one count of racketeering conspiracy, Hill was at the centre of a long list of court proceedings during which he fired a court-appointed attorney but saw his appeals against his sentences for racketeering and mail fraud rejected by the Courts of Appeal in New Jersey and Texas.

    A US District Court of New Jersey document signed by Hill as the defendant on April 26, 1990 shows that he entered a guilty plea saying that he "conspired with co-racketeers to commit fraud in interstate commerce regarding mortgages and other collateral instruments".

    Yesterday, local handwriting expert Beverley East, whose firm Strokes and Slants does work for a number of Jamaica's leading private sector companies and law firms, examined the signature on the New Jersey District Court document and compared it with Hill's signature on a lawsuit he filed against the Observer last month and found them to be one and the same.

    Hill filed the suit after the newspaper published a summary of a court case between the US Government and one Carlos Hill in the November 9 edition of the Observer's Caribbean Business Report.

    The article accompanied another looking at issues relating to Cash Plus, one of the many alternative investment schemes that are now at the centre of controversy in Jamaica.
    The New Jersey court document also listed Hill's birth date as 6/20/47, the same date of birth on the Cash Plus boss' TRN.

    In the New Jersey Court document Hill named his lawyer at the time as Bradford Bury and declared that he (Hill) had "not been forced, coerced or threatened in any manner by any person to plead guilty". He also stated that he was not told that other persons would be prosecuted if he refused to plead guilty.

    "I offer my plea of guilty freely and voluntarily and of my own in this application and in the certification of my lawyer which is attached to this application," the document signed by Hill said, adding that the statements made in the document are true.

    In an interview published in the Sunday Gleaner on November 25, Hill admitted to running afoul of the US authorities but said it was nothing that he could not stand up and defend.

    "My family migrated to the United States in 1967 where, at a young age, I ended up in banking," he told the newspaper. "I worked with one of the largest minority banks in New Jersey, where, later on, I would end up being the president. I eventually got bored and got my own company.

    "We were doing portfolio loans and were very successful at it. We would later run into problems, in that, we loaned out too much money and weren't able to fulfil some of our obligations. I was in violation and the US Justice Department asked me if I would co-operate. The year was 1986. If you have never had a failure in life then you will never be able to appreciate what true success is."

    He said he had learnt from that ordeal and was a much better person today. "The US authorities shocked me by giving me back my loan portfolio in the end, and I have made good use of it," he added.

    But according to the case file reported in 1996 Westlaw (WL 33648765), Hill, at his April 26, 1996 plea hearing in New Jersey, "confessed that he and his co-conspirators used various corporate entities, including Citywide Mortgage Corporation and Citywide Financial Services, to engage in an 'advance fee scheme'".

    Added the Westlaw report: "More specifically, defendant solicited and accepted money from customers (an 'advance fee' of about (US)$25,000 - (US)$35,000) based on a fraudulent promise to arrange funding for loans which never materialised. As a result of this scheme, Hill and his collaborators defrauded nearly 500 victims out of an estimated (US)eight million dollars."

    The Westlaw report also revealed that on the same day, Hill also pleaded guilty to a related one-count indictment arising out of the Southern District of New York which charged him with making a false statement in an application submitted to the Commodities Future Trading Commission.

    For that offence he was sentenced to five years' probation and ordered to make full restitution to the victims in connection with that offence.

    On April 3, 1991, Hill appeared before the Honourable Stanley S Brotman for sentencing. According to Westlaw, the assistant United States Attorney told the court that "hill had co-operated with the government in its investigation of his companies and had provided 'considerable information' concerning a number of individuals".

    The document also said that the government asked the court not to consider an ongoing investigation by the Postal Inspector's Office in Dallas, Texas which implicated Hill in another mail fraud while he was co-operating with the authorities in New Jersey.

    Hill, the document explained, was convicted of this fraud in the fall of 1993 and sentenced to an additional 57 months in prison.

    A report in the Dallas Morning News on November 6, 1993 said that government officials had estimated that the conspiracy, based in Dallas and operated across the United States from 1989 until 1991, "cost taxpayers more than US$100 million".

    However, the Westlaw report said: "After hearing counsels' recommendations, the court indicated that it was 'very much concerned' because 'a lot of people lost a lot of money here'. The court also found that defendant showed no remorse and had submitted 'highly suspect' financial statements.

    "The court then imposed a sentence of 20 years' imprisonment and a (US)$25,000 fine, and ordered defendant to make full restitution to the victims of his offence."
    Westlaw said that Hill did not file a direct appeal from his conviction and sentence, neither did he submit a restitution plan as ordered by the court.

    He served time at the Federal Correctional Institution (FCI) in Fairton, a medium security facility for male offenders located in rural south central New Jersey, as well as the Mansfield Law Enforcement Centre in Texas.

    On August 5, 1991, Hill sought an extension for time to file "a motion for reconsideration of sentence" and asked that he be appointed a lawyer. However, the district court denied the motion - termed a Rule 25(b) motion - on the ground that it was filed after the 120-day jurisdictional period had elapsed. The court also dismissed his request for appointment of counsel as moot, Westlaw said.

    On May 21, 1992, Westlaw said he filed a second Rule 25(b) motion requesting reconsideration on the ground that his failure to file on time was due to "the ineffective assistance of his attorney".

    However, the court denied the motion on June 17 on the ground that it had no jurisdiction to hear a Rule 25(b) motion filed "out of time".

    The following month, on July 6, Hill appealed the court's decision, but the court denied it on February 3, 1993 for want of jurisdiction.

    According to Westlaw, Hill filed the first "of many pro se motions to vacate his sentence" on February 22, 1993, arguing again that he was entitled to have his sentence reduced based on ineffective representation by his lawyer.

    He also filed what is termed a section 2255 motion alleging that his attorney had failed to inform him that he had the right to appeal his sentence, even though section 18f of his signed guilty plea to the New Jersey District Court stated, "I understand that under some circumstances I or the Government may have the right to appeal any sentence imposed".

    The Westlaw report said that in October 1993, the district court appointed Federal Public Defender Richard Coughlin as counsel to defend Hill in connection with both claims.

    "In light of the defendant's failure to comply with the court's order regarding restitution, the court also appointed the Joshua Markowitz law firm as a receiver to assess the viability of restitution in this case," Westlaw said.

    But Hill, the document continued, in a series of motions filed from approximately December 1994 through February 1995, "abandoned the limited issues raised in his prior Rule 25(b)/section 2255 motion in favour of a more sweeping attack upon his entire criminal case".

    Hill, the document said, deserted his argument that his attorney failed to timely file a motion for reduction of sentence and failed to advise him of his right to appeal. Instead, he sought to set aside his sentence on four other grounds:

    1) the information was insufficient;
    2) his plea was invalid;
    3) he was denied due process of law; and
    4) he received ineffective assistance of counsel when his attorney advised him to plead guilty.

    On March 10, 1995 when the district court conducted the first of two evidentiary hearings with respect to Hill's claims, Coughlin testified that he had provided files to the Markowitz firm from approximately 130 boxes of Hill's business documents seized by the Federal Bureau of Investigations (FBI).

    Said Westlaw: "Mr Coughlin explained that according to Hill, these files reflected good loans which could be liquidated and collected to help refund his victims. Contrary to defendant's representations, however, the Markowitz firm's review of these files revealed that no recoverable loans existed. Particularly, many of the loan documents were not signed, while others were impossible to collect. Moreover, the Markowitz firm testified that when they met with Hill, he was not forthcoming regarding the whereabouts of any viable funds."

    Judge Brotman presided over the second evidentiary hearing of Hill's section 2255 motion on August 28, 1995. Prior to that hearing, Hill, according to Westlaw, moved to terminate Coughlin as his attorney and "proceed pro se".

    The court granted the motion and heard testimony from Bury, the lawyer who represented Hill at the time of his guilty plea. Bury told the court that based on his extensive experience as both a state prosecutor and criminal defence attorney, and in light of the overwhelming evidence against his client, he had advised Hill to co-operate and plead guilty.

    Bury also testified that in his opinion, the information properly charged a conspiracy under the Racketeering Influence and Corrupt Organisation (RICO) Act, that the plea was "fully knowing and voluntary" and that Hill received due process.
    On September 29, 1995, Judge Brotman rejected each of Hill's arguments and denied his section 2255.

    In a 34-page opinion, the district court concluded that after being fully instructed on the law and the consequences of his plea, Hill waived his rights and entered a knowing and voluntary guilty plea to a properly charged RICO conspiracy. Accordingly, there was simply no support for his arguments.
    Just under a month later, on October 11, Hill filed a timely Notice of Appeal from the district court's opinion.

    The Westlaw report said that despite his arguments, the district court properly denied section 2255 relief as the majority of his claims were waived when he knowingly and voluntarily pleaded guilty to the offence of conviction.

    "To the extent defendant attempts to circumvent his waiver by couching his argument in jurisdictional terms, his argument is foreclosed by the law," said the document. "Not surprisingly, defendant fails to find any legal support for his claim that the information does not state an offence - because it did not name Hill's co-conspirators - or suffers from any defect at all.

    "Similarly, defendant's attempt to retract his guilty plea on the grounds that it lacked a factual basis and was not knowingly and voluntarily entered, is meritless. In response to the court's probing questions, defendant himself explicitly admitted, under oath and free from coercion, that he had committed the crime alleged in the information. Finally, to the extent defendant blames his guilty plea upon attorney error, the record demonstrates that in light of the evidence, his attorney's advice that pleading guilty was in defendant's best interests fell within the wide boundaries of effective assistance."

    According to Westlaw, the information in the racketeering case detailed 10 separate racketeering acts carried out by Hill and "certain unknown co-racketeers".

    Hill, however, claimed that the information was defective, arguing that the information failed to properly charge RICO conspiracy because his co-racketeers were not listed in the information by name. He also complained that the information failed to allege an enterprise or specify the predicate acts and a pattern of racketeering activity.

    But, said the Westlaw report, "An information need not identify co-conspirators by name. and is legally sufficient if it simply charges that the defendant conspired with others. Indeed, 'the identity of the other members of the conspiracy is not needed, inasmuch as one person can be convicted of conspiring with persons whose names are unknown'.

    "Moreover, although Hill complains that the information failed to state an offence, he is careful not to argue (and indeed cannot) that he did not actually know his co-conspirators or that he acted alone. In fact, as the district court remarked, Hill's claim is entirely undercut by his own April 26, 1990 plea allocution where he confessed that he participated in a scheme with other co-racketeers to accept payment for fraudulent promises to arrange funding or letters of credit.
    More damaging still, Hill's former attorney, Bradfurd Bury, later confirmed at the evidentiary hearing that Hill knew exactly who his co-conspirators were. Indeed, Hill provided Bury with a handwritten list naming 13 co-racketeers. Thus, regardless of whether the information identified the co-conspirators by name and despite the fact that defendant was the only one charged, Hill suffered no prejudice as he himself provided sufficient evidence to support his conspiracy conviction."

    The law document also said that by pleading guilty, Hill waived any challenge he might have invented regarding the alleged defects in the information. "Even if he had not waived his arguments by pleading guilty, however, his contentions would still fail as he can produce no legal support for the proposition that the information must list and/or charge his co-racketeers. Accordingly, his conviction and sentence should be affirmed," it said.

    The Westlaw report of the case said the court described Hill as disingenuous for arguing that his plea was not made knowingly, given that he had received a copy of the charge, had discussed it with his lawyer and understood the charge.

    The district court also said it perceived that Hill had proven himself to be more sophisticated than the average layperson, and thus, he required no additional explanation of the conspiracy elements (especially as these elements 'are not complex').

    "Indeed, at the time of his plea hearing, Hill was the college-educated president of four corporations involved in real estate and mortgage services whose yearly gross income exceeded $350,000," said the court. "At the height of the Citywide conspiracy, Hill and his cohorts controlled 35 corporations with offices across this country, Europe and the British West Indies; obtained $8 million from 500 customers; engaged in numerous, sophisticated business transactions, including purchasing a national commercial bank, arranging fraudulent loans to shell corporations, establishing a law office, and creating false financial statements, letters of credit, and escrow accounts; and conducted an elaborate and complex 'Ponzi scheme' where current advance fees were used to partially fund some loan commitments and thus, perpetuate the scheme.

    "The fact that defendant is astute, educated, sophisticated, and capable of managing not only an array of 'legitimate' businesses, but also, multifarious illegal schemes, demonstrates as well as anything that he clearly understood the elements of the RICO conspiracy charge.

    "Furthermore, defendant was not a novice with respect to the criminal justice system. By the date of his plea in New Jersey, Hill had two prior arrests, and a conviction, following a trial, for obtaining money under false pretenses. In light of this past criminal record, it stretches belief that Hill was unaware, when he pled guilty in New Jersey, of the significance of his plea."

    Westlaw also said that at the plea hearing, the court asked and Hill answered approximately 23 separate questions to establish a factual basis for his plea of guilty to the RICO information.

    "Specifically, Hill confessed that he owned and controlled Citywide entities, that these entities did business in interstate commerce, and that he operated these businesses along with 'co-racketeers'. He admitted further to knowingly and fraudulently taking $8 million in advance fees from individuals, to transporting that money in interstate commerce, and to establishing bogus lending institutions which generated false letters of credit and confirmations of funding.

    "Defendant also confessed that between August and December 1986, he and his co-racketeers employed misrepresentations, false statements and delay tactics to prevent customers from obtaining refunds, while at the same time, diverting the advance fees to their own use.

    "Finally, defendant indicated that his responses to the court's numerous questions provided merely a "synopsis" of his criminal acts, and that there were numerous others which were not recited in the interest of brevity."

    The court also vindicated Bury for advising Hill to plead guilty, saying that the advice paid off because in light of Hill's co-operation, his attorney was able to negotiate a favourable global plea agreement, disposing of investigations and charges pending in seven states.

    "In return for defendant's guilty plea, the United States Attorney's Office agreed:

    (1) not to prosecute any other criminal offenses arising from the Citywide Enterprise scheme;
    (2) to bring Hill's co-operation to the attention of other prosecuting offices; and
    (3) to consent to a request to the court recommending against deportation.

    "As all sides agreed that Hill would not prevail if he attempted to defend this case, Mr Bury's advice to plead guilty was not ineffective assistance of counsel, but rather prudent strategy and correct advice."


    BLACK LIVES MATTER

  • #2
    The questions that naturally follow are; when did the Observer gather this information and when was it aware of this information? ....did the Observer have this information and or was aware of this information before it allowed to be published in its paper Mark Wignall's columns attacking the banks, etc., encouraging persons to take their chances in businesses run by Carlos Hill?

    ...did the Observer do similar investigative work on Carlos Hill relative to his local reaching enterprises? ...if so, what are the findings?

    ...did the Observer in its investigations of Carlos Hill have cause to interview local law enforcement officials and or government officials and or local banking officials? ...as a corporate citizen did the Observer have any discussions with local law enforcement sources and or government officials and or local banking officials and alert the parties to its findings and or share its findings?

    The 64 million dollar question is; Did the Observer as corporate citizen act in what could be considered best interest of the Jamaican people before its current release of these findings?
    Last edited by Karl; December 5, 2007, 09:27 AM.
    "Never doubt that a small group of thoughtful, committed citizens can change the world. Indeed, it is the only thing that ever has."

    Comment


    • #3
      karl, you ask some very pertinent and legitimate questions...

      however, the bigger question is how could a country with a banking and finance authority allow a person with his background to be the principal in the operation of an oviously illegal scheme...

      that i blame on the previous government... how could they expose the people and their interests to this affirmed corrupt individual... its mind boggling... does anyone conduct a background check on any of these persons operating these schemes... at the very least since they were identified and deemed illegal, they shoud have been shut down immediately and assets seized by the gov't... charge and bring the principals to trial... like i said in an earlier post, there will be big names that will be exposed, because these operations could not exist and allowed to operate without cooperation from a higher level... this doesn't look good...
      'to get what we've never had, we MUST do what we've never done'

      Comment


      • #4
        Originally posted by Baddaz View Post
        karl, you ask some very pertinent and legitimate questions...

        however, the bigger question is how could a country with a banking and finance authority allow a person with his background to be the principal in the operation of an oviously illegal scheme...
        Yuh guh far!
        It matters not how the scheme 'turns out' i.e. what is the end product or products...someone with his background should never have been allowed to engage in activities which have to be approved or 'blessed' under our Securities and Exchange Act.

        ...that i blame on the previous government... how could they expose the people and their interests to this affirmed corrupt individual... its mind boggling... does anyone conduct a background check on any of these persons operating these schemes... at the very least since they were identified and deemed illegal, they shoud have been shut down immediately and assets seized by the gov't... charge and bring the principals to trial... like i said in an earlier post, there will be big names that will be exposed, because these operations could not exist and allowed to operate without cooperation from a higher level... this doesn't look good...
        It is the normal way we do business. An individual or individuals are allowed to set up public and or private companies that have public input and after these companies are up and running they are "encouraged to comply with rules, regulations and laws".

        Seems to me to be the wrong way/limited in manner of going about business. It would appear to me that the Registrar of Companies would accept the applications and 'regularising' of a company i.e. compliances obtained before there is 'openning for business' to the public.

        ...plus...after the business is up and running monitoring to ensure full compliance is done/is constantly in place.
        "Never doubt that a small group of thoughtful, committed citizens can change the world. Indeed, it is the only thing that ever has."

        Comment


        • #5
          good questions ..BUT is that the observer's job? what about the authorities? if the observer could find it out .....

          Infidelity does not consist in believing, or in disbelieving; it consists in professing to believe what he does not believe. Thomas Paine

          Comment


          • #6
            Originally posted by Gamma View Post
            good questions ..BUT is that the observer's job? what about the authorities? if the observer could find it out .....


            ...what is the Observer's job as it relates to what it encourages our citizens to engage?

            ...and, additionally is the Observer outside the expectations as it relates to acting within boundary/boundaries as good corporate citizen?

            ...I am not sure the Observer is not mandated to, by any law or laws...as are any other corporate entity...and, if we expand even an individual citizen...to make defense and or act as protectors of our people and country from 'bad things'...

            ...but, are you suggesting corporate entities be given a pass there? ...should not care a fig if their action or actions and or if previous knowledge/access to information tells then their action or action encourage and or lead to (great) damage (material damage or harm) to individual citizens and or the country?
            "Never doubt that a small group of thoughtful, committed citizens can change the world. Indeed, it is the only thing that ever has."

            Comment


            • #7
              are you holding the observer to a higher standard than the authorities?

              yuh just hell bent on cussing the observer.....again the observer has no LEGAL obligation to to any of this.

              if i understand correctly the observer has released this info because they were threatened by hill.

              anyway yuh gwa'an expect the media to do the authorities job and see where we end up...oops...we have a convicted conman running an investment scheme in jamaica....is that the observer's fault?

              Infidelity does not consist in believing, or in disbelieving; it consists in professing to believe what he does not believe. Thomas Paine

              Comment


              • #8
                Originally posted by Gamma View Post

                yuh just hell bent on cussing the observer.....again the observer has no LEGAL obligation to to any of this.
                You may have seen the post above in which I, in reply to baddaz, commented directly on the responsibility of the 'authorities'? ...but, even if you did not see that post, why would you make the following incorrect comment -

                yuh just hell bent on cussing the observer.....?

                ...and, I am dead sure you know I made no statement on the Observer having LEGAL OBLIGATION to manage how it dealt with any information it may have had!

                ...so again why?
                "Never doubt that a small group of thoughtful, committed citizens can change the world. Indeed, it is the only thing that ever has."

                Comment


                • #9
                  because you seem think that they have a greater responsibility than they actually do...this is a black eye on the authorities and can in no way be seen as a responsibility of the observer.

                  not even sure if they have a moral obligation either...theerfore in either case what's the point? focus yuh energy on the authorities....

                  Infidelity does not consist in believing, or in disbelieving; it consists in professing to believe what he does not believe. Thomas Paine

                  Comment


                  • #10
                    totally agree gamma... that is not the job of the observer or any other media...

                    it is solely the responsiblity of the relevant authorities... the media is more likely to report on that which have already occurred... in many instances the media will learn of things before the authorities... not sure this applies in this instance... however, upon discovery, the expectation is for the authorities to act with speed to arrest any operation that places the peoples interest at risk...
                    'to get what we've never had, we MUST do what we've never done'

                    Comment


                    • #11
                      Originally posted by Gamma View Post
                      because you seem think that they have a greater responsibility than they actually do...this is a black eye on the authorities and can in no way be seen as a responsibility of the observer.

                      not even sure if they have a moral obligation either...theerfore in either case what's the point? focus yuh energy on the authorities....
                      Figment of your imagination?

                      I am questioning (wondering on) the Observer's actions as it relates to when they got the information and any possible subsequent publications encouraging, either directly or subliminally/indirectly, citizens to 'jump in' with their cash...and, whether that type action when compared to, again I stress - when they had the info relative to any subsequent article published in any - should be compared with...put along side...any 'good corporate action' they could have taken.
                      "Never doubt that a small group of thoughtful, committed citizens can change the world. Indeed, it is the only thing that ever has."

                      Comment


                      • #12
                        no figment....clear as day. if they have no obligation to do anything.

                        as i said other it appears that you placing more emphasis on what the observer knew and when it knew it as opposed to why the authorities didn't know it. i can only surmise is that it perhaps because at the time the authorities was your party.....sorry but it is only in that context that i can unsderstand your fixation with what the observer knew and when it knew it.

                        Infidelity does not consist in believing, or in disbelieving; it consists in professing to believe what he does not believe. Thomas Paine

                        Comment


                        • #13
                          What's is Karl's problem? Why should it be Observer's duty to report this, even while the real authorities take a nap?

                          There is a lot more going on here. In my view, the Observer and it's board of directors have begun to take this thing personally. Isn't Zacca on the Observer board, and isn'tg he also president of the PSOJ? The Observer allows their big boys too much say in the running of the newspaper, and I don't like it. And I don't like their big boys!


                          BLACK LIVES MATTER

                          Comment


                          • #14
                            Originally posted by Gamma View Post
                            no figment....clear as day. if they have no obligation to do anything.

                            as i said other it appears that you placing more emphasis on what the observer knew and when it knew it as opposed to why the authorities didn't know it. i can only surmise is that it perhaps because at the time the authorities was your party.....sorry but it is only in that context that i can unsderstand your fixation with what the observer knew and when it knew it.
                            http://www.reggaeboyzsc.com/forum1/s...6975#post66975

                            What can I say?
                            ...OK! - Not many can divorce self from biases. They, therefore, find it difficult to arrive at logical conclusions. Do not normanlly see you in that group
                            "Never doubt that a small group of thoughtful, committed citizens can change the world. Indeed, it is the only thing that ever has."

                            Comment


                            • #15
                              Originally posted by Mosiah View Post
                              What's is Karl's problem? Why should it be Observer's duty to report this, even while the real authorities take a nap?

                              There is a lot more going on here. In my view, the Observer and it's board of directors have begun to take this thing personally. Isn't Zacca on the Observer board, and isn'tg he also president of the PSOJ? The Observer allows their big boys too much say in the running of the newspaper, and I don't like it. And I don't like their big boys!
                              Well if you return to reading what I wrote you shall see my questions are about that "why?"

                              ...and, "how? the Observer is managing the "problem"?

                              http://www.reggaeboyzsc.com/forum1/s...6975#post66975

                              ...and, I do not know the answers...but, I am wondering on it!
                              "Never doubt that a small group of thoughtful, committed citizens can change the world. Indeed, it is the only thing that ever has."

                              Comment

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