delivered the opinion of the Court.
In this appeal, we consider whether the trial court erred in holding that consent to an administrative search is always invalid unless the one consenting to the search is informed that, as a result of the search, his company might be cited for violations of administrative regulations.
On February 28, 1979, Alexander Mayes, an employee of the Department of Labor and Industry, arrived at a factory operated by E. A. Clore Sons, Inc. (hereafter, “E.A. Clore”), to conduct an inspection for violations of worker safety regulations. According to testimony produced by E. A. Clore, Mayes introduced himself to Lucian Walter Clore, president of E. A. Clore, showed his credentials, “said he was from OSHA [Occupational Safety and Health Administration] or whatever it is, and . . . said, ‘I’d like to look around a little bit today ....’” Deciding to “be nice to him,” Lucian Clore consented. After getting his camera, Mayes, accompanied by Lucian Clore and John William Clore (vice-president of E. A. Clore), began his inspection. At the end of the inspection, he informed Lucian Clore that E. A. Clore would be cited for violations of safety regulations. Lucian Clore testified that he thought Mayes merely intended to warn him of violations and that he would not have consented to the inspection if he had known E. A. Clore might be cited for violations.
On the other hand, Mayes testified that when he arrived at the factory he informed Lucian Clore of “the nature and purpose of [his] visit” and told Clore the inspection was an “enforcement type of visit.” According to Mayes, Lucian Clore told him that his company had been inspected previously by federal OSHA officials, that he was “familiar with this type of inspection,” and that the federal inspection had resulted in citations and fines. Mayes acknowledged failing to inform the Clores during the initial conference that E. A. Clore would be cited for any violations of safety regulations. He did, however, point out violations to the Clores during the inspection itself.
On appeal from the district court’s dismissal of the Department’s complaint against E. A. Clore for violations uncovered by *546 the inspection, E. A. Clore filed a motion to dismiss in the circuit court on the ground that the inspection was conducted without a warrant and without the consent of E. A. Clore’s agents. The circuit court crystallized the issue as being “whether or not [Lucian Clore] had given [Mayes] informed consent.” Although not concluding Mayes had intentionally deceived the Clores concerning the nature of his visit, the circuit court held that Mayes was obliged to inform the Clores before the inspection that E.A. Clore would be cited for any violations uncovered by the inspection. The court concluded that, because Mayes had not given the Clores this information, Lucian Clore’s consent was not “informed” and hence was invalid. On appeal, the Department contends that the consent to the inspection was voluntary even though Mayes did not inform the Clores that E. A. Clore would be cited for any violations.
E.A. Clore does not contend that any Virginia statute or regula-. tion in effect at the time of the inspection required Mayes to inform Lucian Clore the Department might issue citations. 1 Hence, the only issue before us is whether the state or federal constitutions required Mayes to inform Lucian Clore of the potential consequences of an inspection before obtaining his consent.
In
Schneckloth
v.
Bustamonte,
Rejecting the defendant’s argument, the Court held that “[wjhile knowledge of the right to refuse consent is one factor to be taken into account, the government need not establish such knowledge as the
sine qua non
of an effective consent.”
The
Schneckloth
“totality of the circumstances” test for judging the voluntariness of consent to a search, formulated in the context of a criminal case, is applicable to cases involving the imposition of civil penalties.
Stephenson Enterprises, Inc.
v.
Marshall,
Of course, where the consent to a search is induced by fraud, trickery, or misrepresentation, the fruits of the search must be suppressed.
Gouled
v.
United States,
The foregoing analysis of case law leads us to conclude that the circuit court applied the wrong standard in determining the voluntariness of Clore’s consent. The circuit court made no finding that Mayes had intentionally deceived or had misrepresented his purpose in conducting the investigation. 5 Instead, contrary to Schneckloth, the court held that the consent could not be effective unless “informed,” viz., unless Mayes told Lucian Clore of the potential consequences of consent. While Clore’s knowledge of his right to refuse consent and of the potential consequences of his consent are relevant factors to a determination of whether his consent was voluntary, the Department was not required to show Clore’s knowledge of these facts as a prerequisite to showing voluntary consent. Rather than undertaking an analysis of the voluntariness of the consent under the appropriate standard, we will reverse the judgment and remand the case to the circuit court so that it can pass upon the issue and determine whether in light of the totality of circumstances Clore’s consent was voluntary.
Reversed and remanded.
Notes
The statutes in effect at the time of the search did not impose a warrant requirement. 1972 Acts, c. 602, at 746; 1970 Acts, c. 321, at 441.
See also
29 U.S.C. § 657(a). Following
Marshall
v.
Barlow's, Inc.,
Miranda required that specific warnings be given to individuals prior to custodial interrogation. One of the Miranda warnings, that information provided in the interrogation can be used against the individual being interrogated, is somewhat akin to the trial court’s requirement that inspectors inform employers that they might be cited for violations of administrative regulations as a result of the inspection.
Lower federal courts have uniformly held that a consent to a search may be voluntary even though the one consenting to the search was not informed that anything found could be used against him.
See, e.g.. United States
v.
Lemon,
Our own decisions subsequent to
Schneckloth
have relied repeatedly upon the
Schneckloth
test for voluntariness.
See, e.g., Lowe
v.
Commonwealth,
The circuit court and the parties have assumed that the exclusionary rule is applicable to cases involving the imposition of civil penalties. While the Supreme Court has applied the exclusionary rule to “quasi-criminal” forfeiture proceedings based upon violations of criminal law,
One 1958 Plymouth Sedan
v.
Pennsylvania,
Indeed, the trial judge on one occasion expressly stated that he was not making such a finding and on another said he “didn’t believe” the case involved “clear deception on the part of the Department.”
