Case Law[2024] ZAGPPHC 88South Africa
Financial Sector Conduct Authority and Others v Deighton (A304/2022; 15703/2021) [2024] ZAGPPHC 88 (7 February 2024)
High Court of South Africa (Gauteng Division, Pretoria)
7 February 2024
Headnotes
Summary: A midstream review can be instituted at the investigation stage of proceedings provided that grave injustice can be shown.
Judgment
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## Financial Sector Conduct Authority and Others v Deighton (A304/2022; 15703/2021) [2024] ZAGPPHC 88 (7 February 2024)
Financial Sector Conduct Authority and Others v Deighton (A304/2022; 15703/2021) [2024] ZAGPPHC 88 (7 February 2024)
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sino date 7 February 2024
IN
THE HIGH COURT OF SOUTH AFRICA
GAUTENG
DIVISION, PRETORIA
APPEAL
CASE NO: A304/2022
A
quo CASE NO: 15703/2021
(1)
REPORTABLE: YES/NO
(2)
OF INTEREST TO OTHER JUDGES: YES/NO
(3)
REVISED
DATE:
7/2/2024
SIGNATURE
In
the matter between:-
FINANCIAL
SECTOR CONDUCT AUTHORITY
First
Appellant
THE
FINANCIAL SECTOR REGULATOR
Second Appellant
ALEXANDER
PASCOE
Third Appellant
PRINISHA
PILLAY
Fourth Appellant
DAVID
LOXTON
Fifth Appellant
vs
MICHAEL
EDWARD DEIGHTON
Respondent
Coram:
Kooverjie J
Heard
on:
22 November 2023
Delivered:
2024 - This judgment was handed
down electronically by circulation to the parties'
representatives by
email, by being uploaded to the CaseLines system of the GD and by
release to SAFLII. The date and time for hand-down
is deemed to be
_h_ on 2024.
Summary:
A midstream review can be instituted at the investigation stage of
proceedings provided that
grave injustice can be shown.
Procedural fairness
principles at investigation stage should be distinguished from those
at adjudication stage.
Procedural fairness bears
a flexible interpretation. Firm principles cannot be imposed when
deliberating the aspect of fairness.
ORDER
It
is ordered:-
1.
The appeal succeeds.
JUDGMENT
KOOVERJIE
J
(Nyathi J and Retief J concurring)
[1]
The appellants in this matter, namely the Financial Sector Conduct
Authority ("FSCA"),
the Financial Sector Regulator as well
as the investigators persist in the appeal on the basis that the
court
a quo
erred in its order and judgment. The core grounds
of appeal were the following, namely:
1.1
the review application instituted by the respondent ("Mr
Deighton"), was premature
and incompetent;
1.2
the provisions of the Promotion of Administrative Justice Act
("PAJA") does not
apply;
1.3
there was no basis in law to furnish Mr Deighton with the documents
in advance of his interviews;
1.3
there was no basis for excluding the third to the fifth appellants
from further involvement
in the investigation going forward.
[2]
The court
a quo
, after having heard the review application,
set the investigation aside on the basis that it was procedurally
unfair. Consequently
the court,
inter alia
, ordered that the
investigation be conducted afresh and that the third to fifth
respondents be removed from the investigation.
The court concluded
that the investigation be conducted in terms of Section 3(2) of PAJA
and in accordance with the principles
of natural justice.
CASE
BEFORE THE COURT
A QUO
[3]
The facts have been set out in detail in the judgment of the court a
quo and I do
not deem it necessary to repeat same. At the heart of
the dispute between the parties is whether the investigation process
could
be challenged midstream on the grounds of procedural
unfairness.
[4]
FSCA appointed investigators to investigate possible contraventions
in terms of Section
81 of the Financial Markets Act No. 19 of 2012
("FMA") for a period 2017 to 2018 in respect of the Tongaat
Hulett Group
in respect of certain financial misstatements made.
[5]
Mr Deighton became subject of the investigation due to his position
as a senior executive
of the Tongaat Hulett Group. He was the
managing director of a subsidiary of the Group, Tongaat Hulett
Developments (Pty) Ltd in
this period. Certain findings that emanated
from the Price Waterhouse Coopers Report ("the Report"),
identified that
senior executives were involved in irregular and
undesirable accounting practices that resulted in revenue being
recognized in
prior reporting period.
[6]
The nub of Mr Deighton's grievance is that he was forced to
participate in the investigation
and respond to questions without
being afforded prior access to documents which the investigators
relied on. It was argued that
it was pertinent for him to be afforded
prior access to such documents in order for him to properly prepare
and respond informatively.
[7]
Mr Deighton perceived that substantial injustice would arise if the
court (on review)
did not intervene at this stage of the proceedings.
Section 136 to 140 of the Financial Sector Regulation Act (FSRA)
bestows extensive
powers on investigators. Mr Deighton indicated that
his refusal to respond may subject him to criminal sanctions. The
legal argument
proffered was that the conduct of the investigators
constituted public power which has to be tested in terms of PAJA
and/or legality.
[8]
Finding in support of Mr Deighton, at paragraph [72], [73], and [76]
the court
a quo
stated:
"72. If Mr
Deighton were to have acquiesced and allowed the tribunal to have
conducted the investigation in the manner that
it sought to do, it
would be difficult, if not impossible for him, in the event of an
adverse finding made against him by the FSCA,
to appeal such finding.
73. The finding
would have been premised upon an investigation in respect of which
the procedure was manifestly unfair and
in respect of which he had
acquiesced and committed himself on oath to responses which would
themselves have formed the basis of
the adverse finding. Any
subsequent attempt to clarify or supplement any answer that he had
given, could only occur in circumstances
in which he would have to
admit to having breached at the very least, either of or both
sections 139(3) and (5)....
76.
The appropriate time to have brought this application was when it was
brought to wait until
the process was complete and then after having
acquiesced to responding under oath with the knowledge that the
response may possibly
be neither complete nor misleading would be
absurd."
[9]
The court
a quo
further upheld the respondents' contentions,
namely that:
9.1
FSCA's investigators were attempting to submit Mr Deighton to
"gotcha" questioning
-
expecting him to answer questions about complex transactions that
occurred years ago based on voluminous bundles of documents without
offering him sufficient time to review those documents.
9.2
Investigations conducted in terms of FSCA has serious consequences.
Mr Deighton was forced
to answer questions emanating from the
voluminous documents and he could be manipulated into giving answers
that could later be
used against him.
9.3
There was been no proper tenable explanation regarding the
confidentiality of the documents,
more particularly whether or not
all of the documents were confidential and whether a specific
confidentiality regime could have
been arranged between the parties.
9.4
Mr Deighton should have been afforded a reasonable opportunity to
review the documents that
he would be questioned upon.
9.5
Mr Deighton was willing to participate in the investigation.
[10]
The court
a
quo
,
relying on
John
v Rees
[1]
,
found that natural justice demanded that Mr Deighton ought to be
given the documents beforehand and to ensure that his responses
meet
the standard expected of him by law. In this manner he would be able
to respond truthfully and to the best of his knowledge
thus ensuring
that his responses are neither false nor misleading.
[2]
[11]
It was emphasized that rules of natural justice apply to
investigators as well, which proposition
I do not dispute. Reference
was made to the
Pergamon
Press Limited
[3]
matter, which stated:
"...
while conceding that the proceedings decided nothing in themselves,
Lord Denning warn against underestimating the significance
of the
inspectors' task: They have to make a report which may have wide
repercussions. They may, if they think fit, make findings
of facts
which are very damaging to those who they name. They may accuse some;
they may condemn others; they may ruin reputations
or careers. They
report mainly to judicial proceedings. It may expose persons to
criminal proceedings or to civil actions ... seeing
that they work
and they report mainly to such consequences, I am clearly of the
opinion that the inspectors must act fairly."
[12]
Accordingly the court a quo concluded at paragraph [75]:
"75.
The failure of the panel, at both interviews to appreciate the
consequences of their refusal to allow Mr Deighton prior
access to
the documents upon which he was to be interrogated, having regard to
the particularly serious consequences of any subsequent
possible
adverse finding against him, is to my mind manifestly unjust."
ANALYSIS
[13]
In considering the court a quo's judgment, I find that it erred in
applying the fundamental principles
pertaining to procedural
fairness. More particularly, the court
a quo
in principle
erred in the following manner, namely:
13.1
in finding that the provisions of PAJA was applicable;
13.2
failing to apply the "contextual fairness" test when
evaluating procedural fairness. Consequently
it failed to distinguish
fairness principles at investigation stage and those at an
adjudicative stage; and
13.3
not appreciating that the review would only be permissible if Mr
Deighton demonstrated "grave injustice".
(i)
Applicability of PAJA
[14]
The determination in accordance with PAJA was flawed. The court
a
quo
erred in this regard as it has been affirmed that PAJA does not apply
to investigations. The Supreme Court of Appeal upheld this
principle
on various occasions.
[4]
[15]
Viking Pony
is authority for the proposition that it is
only in instances where there is a determination of and a
pronouncement of culpability,
that a matter would be reviewable. The
Constitutional Court pronounced that:
"Detecting
a reasonable possibility of a fraudulent misrepresentation of facts
would not be said to constitute an administrative
action. It is what
the organ of state decides to do and actually does with the
information it has become aware of wich could potentially
trigger the
applicability of PAJA.
It
is unlikely that the decision to investigate and the process of
investigation which excludes the determination of culpability
could
adversely affect the rights of any person in a manner that has a
direct external legal effect.’
[5]
[16]
Consequently the court at paragraph [39] stated:
"If
the City was about to pronounce on the culpability of Viking,
Hidro-Tech and Viking would have to be afforded an opportunity
in
terms of PAJA to make whatever representations they wish to make
..."
[6]
(ii)
Premature review
[17]
A further contention that the review was instituted prematurely was
raised by the appellants.
A matter should not go to court before a
decision is final or at least ripe for adjudication. In
Rhino
Oil
[7]
the Supreme Court affirmed that:
"As
a general rule, a challenge to the validity of an exercise of public
power that is not final in effect is premature."
[18]
Mr Deighton from the outset, appreciated that the investigation
process was not finalized and
that no decision was made by FSCA. It
is common cause that the process is currently at the investigation
stage. He further appreciated
that procedural adjudication should be
avoided and proceedings should be finalised before proceeding to
court. However, he claimed
that exceptional circumstances demanded
that the court intervene at this stage.
[19]
Notably at the hearing both counsel also accepted the proposition
that investigators are required
to act fairly and that the midstream
review could be entertained in circumstances where grave injustice is
prevalent.
[20]
I am mindful that our authorities have pronounced that courts should
be slow to interfere in
unconcluded proceedings. It is only in the
rarest of cases that intervention is justified. I have been referred
to various decisions
of our higher courts who frown upon intervention
in unconcluded proceedings. The Constitutional Court has cautioned
against piecemeal
litigation.
[8]
(iii)
Distinction between investigative and adjudicative functions
[21]
The fundamental principle recognized by our courts is that a
distinction between the investigation
stage and the adjudication
stage must be drawn when determining procedural fairness.
[22]
At the investigation stage the interested party is only required to
know the essence of the case
that has to be met.
[9]
Persons affected merely have a right to know the substance of the
case they have to meet.
[10]
It
is at the decision-making stage where persons are afforded a full
opportunity to consider all the documents and/or be afforded
a
hearing. Such persons would be entitled to make the necessary
representations against any preliminary adverse findings made against
them.
[23]
The underlying principle for the distinction to be drawn is to ensure
that public bodies are
not unduly restrained in their work when the
exercise of their powers carry no serious or final consequences for
affected parties.
(iv)
The "contextual fairness" test
[24]
Hoexter and Penfold
[11]
elaborated that:
"Procedural
fairness is a principle of good administration that requires
sensitive rather than heavy handed application.
Context is all
important
: The content of fairness is not static but must be
tailored in the particular circumstances of each case. There is no
room now
for the a/I-or-nothing-approach to fairness that
characterise our pre-democratic law, an approach that tender to
produce results
that are either orally burdensome for administration
or entirely unhelpful for the complainant."
[25]
This illustrates that there are no single set of principles that
exist when applying the rules
of natural justice. Flexibility is
required when applying the principles of fairness. In
Novartis
the court cited with approval the authority of
Brenco
as well as the dicta of
Re
Pergamon Press
[12]
where it was stated:
"In
the application of the concept of fair play there must be real
flexibility so that very different situations may be met
without
producing procedures unsuitable to the object in hand. "
[26]
When the court in
Simelane
[13]
was required to have regard to the statutory prescripts of the
Competition Act (89 of 1998) it weighed the functions of the
Competition
Commission and those of the Competition Tribunal. The
court once again upheld the principles enunciated in
Brenco
and
Novartis
.
It examined the particular facts in the said matters and appreciated
the multi-staged process involved that eventually led to
the
decision-making process.
[27]
The court explained that the role of the Commission is investigative
whereas the Tribunal is
adjudicative. The Commission receives a
complaint, investigates and then determines whether it should be
referred to the Tribunal.
It is the Tribunal that determines whether
the complaint is well-founded and then decides what steps are to be
taken.
[14]
[28]
The court in
Simelane
further affirmed the approach in
Novartis
, and stated:
"The
demands of fairness will depend of the context of the decision viewed
within the procedural context in which it arises.
An essential
feature of the context is the empowering statute which creates the
discretion as regards to both its language and
the shape of the legal
and administrative system within which the decision is taken "
[29]
I noted that in their respective arguments, both parties accepted the
"contextual fairness"
principle. However counsel for
the respondent went at length to distinguish the facts herein from
the authorities cited aforesaid.
For instance, a contention was
raised that in
Brenco
a request was made for all the
evidence whereas Mr Deighton herein, only sought specific documents.
Such factual anomalies, in
my view, are not plausible. The general
principle of "contextual fairness" approach must be tested
in each instance.
[30]
In terms of this "contextual fairness" test, the respondent
failed to appreciate that
the facts and circumstances must be
adjudged in a nuanced way. The distinction in the fairness principles
between the two processes
is a fundamental exercise. This would
inevitably include consideration of the particular circumstances, the
applicable statutory
framework, the nature of the investigating
body's functions and powers and the potential impact on the affected
person.
[31]
The argument that was continuously enhanced on behalf of Mr Deighton
was that the investigators'
very decision not to grant Mr Deighton
prior access to the documents had an adverse effect and consequently
serious repercussions
at the decision-making stage. It was argued
that the investigation phase cannot be separated from the
adjudication phase. This
manner of reasoning remains flawed as the
statutory context was not taken into account.
[32]
The respondent particularly relied on the
Earthlife
Africa
[15]
and the
Save
the Vaal
[16]
matters. It was pointed out that our courts have acknowledged
certain instances where a preliminary decision could have serious
consequences at the final decision-making stage. In such cases it was
found that the
audi
alteram partem
rule should be afforded at the stage of the preliminary decision.
[33]
It was pointed out that in
Earthlife
Africa
the court held that a multistage process, involving an investigation
that leads to a recommendation and culminating in a decision,
should
be viewed holistically and should be seen as affecting rights at each
stage. Hence the investigation followed by the eventual
decision
cumulatively may constitute administrative action.
[17]
[34]
For instance the issues for consideration in
Save the Vaal
was whether the preliminary decision taken would have a direct effect
and in
Earthlife
, whether the approval would have a
direct effect. Again I emphasize that the contextual approach finds
application.
[35]
The appellants further contended that the respondent's reliance on
the
Mamasedi
matter was ill conceived in the said
circumstances of this matter. The proposition in
Mamasedi
,
that the investigative process must be viewed holistically together
with the adjudicative process. It was pointed out that since
the
adjudicative process has not been finalised in the current matter,
the holistic approach could not be considered.
Mamasedi
was further distinguishable in that the application for review was
premised on the final decision of the Chief of the South African
Defence Force. It was not a midstream review.
[36]
I reiterate that the facts have to be considered against the backdrop
of the relevant legislation.
In this matter the court
a quo
did not have regard to the statutory scheme as envisaged in the FSRA.
Notably the appellant went at length to discern the internal
processes availed to aggrieved persons in terms of the FSRA and
highlighted that the functions and duties of the investigators
are
delineated from those of the decision makers. The FSRA makes
provision for FSCA to appoint investigators to investigate
contraventions
of financial sector laws. The investigators conduct
the investigation independently and not FSCA. Once the investigation
report
is compiled, FSCA is required to consider the report and make
a decision which includes the imposition of sanctions.
[37]
It is common cause that the investigators were appointed in terms of
Section 135(1) of the FSRA
and their powers are set out in Section
136(1)(a) thereof.
[18]
[38]
On this aspect, I find it apt to refer to the majority decision of
the Appeal Court in
Msiza
[19]
(who disagreed with the minority view pertaining to the role of the
investigators). At paragraph [59] the court held:
"FSCA
may appoint an investigator with the object of gathering information.
The powers afforded to the investigation are discretionary
powers and
the object of the powers are to facilitate investigation. From the
empowering provisions it is clear that the investigator
is not
mandated or empowered to arrive at any decision and/or determine the
value of the evidence and/or make a determination on
culpability."
[20]
Further
at paragraph [61] the court remarked:
"The
investigator is merely required to carry out an investigation. The
discretionary powers awarded to an investigator in
terms of Section
136 of the FSRA enables the collation of information which may or may
not constitute prima facie evidence."
[39]
There must be an appreciation that the FSRA delineates the functions
and powers of the investigators
from that of the FSCA officials
responsible for decision-making at the FSCA. Section 134 read with
the powers of the investigator
as set out in Section 135, 136 and 137
of the FSRA relates to the investigation process.
Msiza
appreciated the distinction between the investigation phase and the
decision-making phase.
[40]
At paragraph [62] the court found that the investigators were not
bestowed with a judicial or quasi-judicial function:
"As
such any opinion expressed by the investigator in a report relating
to the involvement of any person or institution in
maleficence,
uncovered during the course of the investigation by the collation of
information- in the form of documentary evidence
and viva voce
evidence do not
establish
a factual finding but constitutes nothing more than the conveyance of
prima facie view expressed by the investigator to
the appellant with
the intent to enable the appellant to achieve its objects in terms of
the provisions of the FSA
.
[21]
It is
clearly within the absolute discretion of the Appellant with due
regard to its powers and functions in terms of the FSA, to
deal with
the information collated by the investigation in the course of the
investigation in a manner which the appellant deems
fit."
[41]
Moreover in terms of Section 91 of the FSRA, the FSCA is required to
comply with the provisions
of PAJA which would include affording a
person a proper hearing and access to the documents relied upon. As a
matter of practice,
FSCA makes provisions for processes that affords
any affected person a full opportunity to be heard and make
representations:
41.1
firstly, it issues a notice of the proposed administrative action
setting out the Authority's preliminary
findings, a clear statement
of the proposed decision, the reasons for it as well as referring to
the documentation upon which the
decision is based;
41.2
the notice of proposed administrative action invites the affected
person to make representations, to dispute
any of the information
contained in the notice, and, in appropriate circumstances, to appear
before the Authority;
41.3
only after considering the affected person's representations does the
Authority make a final decision, which
sets out its reasons and
informs the affected person of his or her internal remedies under the
FSRA.
[42]
It is at this stage that the decision-making phase is initiated as
contemplated in Section 218
of the FSRA. If a decision remains
adverse, the aggrieved person has a further internal remedy and that
is to approach the Tribunal
to reconsider the FSCA's decision.
[43]
In fact, in
Simelane
, at paragraph [61], the court
similarly recognized the multi staged procedures adopted by
FSCA:
"...
In our view the applicants are emphasizing form over substance. On
the basis of its investigation the Commission determines
whether or
not a prohibited practice has occurred. If the Commission determines
that a prohibited practice has occurred, it cannot
impose a fine or
any other remedy. It must refer the complaint to the Tribunal.
Referring a complaint to the Tribunal is not determinative
of the
complaint. All it means is that the respondent will have to face a
hearing before the Tribunal where it will be given an
opportunity to
respond to the allegations that it has engaged in a prohibited
practice. Even where the Commission decides not to
refer the
complaint, this decision is also not determinative of the complaint -
in terms of Section 51(1) of the Act the complainant
has the right to
refer the complaint to the Tribunal directly. We repeat that we have
stated that a decision by the Commission
to refer a complaint is
merely one of the steps in the resolution of the complaint; it may be
the most important one but it is
not determinative of the complaint.
The respondent gets an opportunity to state its case before the
Tribunal. The decision of the
Tribunal is determinative of the
complaint as a whole and that is why the Act entitles the Respondent
in Tribunal proceedings to
the principle of natural justice.....”
[44]
Notably the Constitutional Court, in Koyabe, announced that statutory
processes cannot merely
be ignored. At paragraph [35], it expressed:
"Internal
remedies are designed to provide immediate and cost effective relief,
giving the Executive an opportunity to utilize
its own mechanisms,
rectifying irregularities first, before aggrieved parties resort to
litigation...”
Aggrieved
or affected parties are obliged to exhaust the statutory remedies
available to itself before its runs to court.
[22]
More recently the Constitutional Court in
Speaker
of the National Assembly
[23]
once again affirmed the principle as set out in
Viking
Pony
.
[45]
In
Seven-Eleven
the court expressed at paragraph [60] that fairness is not
compromised by denying natural justice prematurely, but is only
compromised
if it is ultimately denied.
[24]
[46]
The Financial Services Tribunal, in the
JPR
Michaels
matter
[25]
, acknowledged that
the investigative stage does not involve any decision making.
In the said matter it was emphasized that
FSCA is the final body
responsible to adjudicate decisions and the decision taken at
investigation stage is not adjudicative. In
the context of statutory
interpretation, Chapter 9 of the FSRA pertains to, inter a/ia, the
information gathering process and investigations.
It could not have
been the intention of the legislator to have equipped investigators
with adjudicative powers, if one has regard
to the multi-facetted
processes put in place in the FSRA.
[47]
Consequently the Tribunal exercises an appeal jurisdiction. It would
conduct the appeal (reconsideration)
in the fullest sense. It is not
restricted by the FSCA's decision. It has the power to conduct a
complete re-hearing and make a
fresh determination on the matter.
This would include procedural irregularities.
[26]
It emphasized that FSCA is the body responsible for the adjudicative
decision and the decision taken at determinative stage is
not
adjudicative.
GRAVE
INJUSTICE
[48]
Having set out the fundamental approach regarding procedural
fairness, the next enquiry would
be if a case for "grave
injustice" is made. Intervention of a court is only permissible
in the case of grave injustice,
the pertinent issue that remains - is
whether Mr Deighton's circumstances are such that warrants the
intervention of this court.
[49]
The enquiry would proceed based on the principle of legality which
requires that public power
must be exercised in accordance with the
law and not arbitrarily or unlawfully. A midstream review would be
permissible if it is
found that the investigators had acted
vexaciously or oppressively towards Mr Deighton. Although the court a
quo did not uphold
the allegations of biasness on the part of Mr
Loxton, it found that the conduct of the investigators, by
withholding the documents
from Mr Deighton, was manifestly unfair.
[50]
The court
a
quo's
acknowleged that Section 132 read with Section 139 offers protection
against self-incrimination. It placed emphasis on the fact
that since
Mr Deighton was compelled to respond to the questions and was
required to answer fully and truthfully to the best of
his knowledge,
and thereby not allowed to interfere or hinder the investigation
except for a lawful reason,
[27]
he would compromise himself if he allows the investigators to
continue in their manner of investigation.
[51]
In applying the legality test, the exercise of public power must be
rationally related to the
purpose for which the power was given. The
test is objective.
[28]
Put in
another way, the decisions must be rationally related to the purpose
for which the power was given, otherwise they are in
effect arbitrary
and inconsistent with this requirement. It follows that in order to
pass constitutional scrutiny, the exercise
of public power by the
executive and other functionaries must, at least comply with this
requirement. If it does not, it falls
short of the standards demanded
by our Constitution.
[29]
[52]
In analyzing the facts, the following cannot be disputed, namely that
Mr Deighton was afforded
representation of his lawyers throughout the
investigative process; he was given fair notice of his interview; the
investigators
furnished him with a detailed list in advance of the
twelve issues that were intended to be covered; he was also informed
of his
rights, including the protection regarding self
incriminating evidence as contemplated in Section 140 of the FSRA; he
was
represented by his attorney and counsel; the investigators
further made it clear to Mr Deighton that he would be afforded an
opportunity
during the interview to consider each document put to
him. In fact the investigators advised him that they would afford him
an
opportunity to consult in private with his legal representatives,
if he so requests.
[30]
Moreover the investigators expressed their willingness to adjourn or
postpone the interview at his request. His legal advisors
had sight
of the documents during the interview. On Mr Deighton's own version,
he alleged that he was advised what the focus of
the investigation
would be, namely: regarding the various financial misstatements in
the financial statements and the early recognition
of sales revenue
from the sale of land.
[53]
One of the arguments advanced by Mr Deighton was that he was no
longer employed with the company
and therefore had no access to any
documents relevant to the investigation. This could not be a
determining factor as Mr
Deighton would be furnished with the
documents the investigators intend on relying in their investigation.
An undertaking was made
that he would be allowed to consider the
documents in the presence of his legal representatives and consult
with them. Under these
circumstances there can be no grave injustice.
[54]
In fact Mr Deighton was particularly informed of the issues that were
to be canvassed with him,
particularly his involvement in specific
land sales transactions and the publication of the annual financial
statements.
[55]
The aspect regarding him as a "suspect" was also clarified
with him. He was advised
that the main object of the investigation
was to elicit information from him in accordance with the statutory
powers prescribed
in Section 136(1)(a) of the FSRA. Section
136(1)(a)(i) merely makes reference to "any person who the
investigator reasonably
believes may be able to provide information
relevant to the investigation (including the PWC report).
[56]
He was particularly advised that furnishing him with the copies of
documents would present a
risk to the investigation. During the
interview Mr Pascoe informed Mr Deighton's attorney that he would be
entitled to the documents
if the FSCA makes a decision to proceed
with the enforcement action (adjudication stage).
[57]
In my view, Mr Deighton's fear that substantial injustice would arise
does not advance a case
of grave injustice. Mr Deighton is entitled
to challenge an adverse decision, if any. His grievance would then be
addressed by
the Tribunal.
[58]
I repeat that an undertaking was made by the investigators that he
could adjourn at any stage
of the investigation process to consult
with his legal team and to consider his response. His argument that
he was confined to
time or prevented from evaluating his response is
untenable. The respondents' further argument, that a piecemeal
revelation of
the documents prejudiced Mr Deighton and that he should
be given an opportunity to consider the documents in his own time
together
with his legal representatives and to do so holistically is
not plausible at this stage of FSCA's document collation and
investigation
process as envisaged in Chapter 9 of the FSRA.
CONCLUSION
[59]
In summary, applying the "contextual fairness" test, I
reiterate that Mr Deighton failed
to appreciate the following:
59.1
firstly, that the multistage process is initiated with the
investigation phase. In the event that a preliminary
decision is
being made, Mr Deighton would be entitled to the documents. It may
even result that no adverse finding is made against
Mr Deighton's
conduct;
59.2
secondly, Mr Deighton was informed that the documents were of a
sensitive nature and considered to be privileged
at the time the
investigation was initiated. It was explained that other executives
have also been implicated;
59.3
thirdly, Mr Deighton failed to appreciate the fairness standard
envisaged at the investigation phase;
59.4
although the investigation was initiated the substantive aspects were
not dealt with. Various housekeeping
matters were discussed with Mr
Deighton, which included the nature of the questions that he would be
faced with and the issues
that would be canvassed with him.
Eventually extensive debate ensued concerning the accessibility of
the documents.
[60]
In the absence of a clear illegality the requirement of prejudice may
be a significant obstacle
to overcome.
[31]
Clearly Mr Deighton has not been prejudiced. Applying the fairness
standard at investigation stage, the refusal to allow Mr Deighton
prior access does not fall short of the standards demanded by the
Constitution. In my view, the decision not to furnish Mr Deighton
with documents was rationally related to the investigation process.
[61]
In
Phahlane
,
the court refused to entertain a midstream review pertaining to
incomplete disciplinary proceedings. The court found that the
applicant failed to demonstrate the requisite prejudice to justify
the midstream review. The court explained that it was not enough
to
suggest that the midstream review would obviate a need for the review
at a later stage.
[32]
CONFIDENTIALITY
OF THE DOCUMENTS
[62]
Counsel for the appellant correctly argued that the aspect of
confidentiality only comes into
play if a finding is made that Mr
Deighton was entitled to the documents.
[63]
At this particular stage of the investigation the documents were
sensitive and the disclosure
thereof had the tendency to compromise
their investigation.
REMOVAL
OF THE INVESTIGATORS
[64]
The court a quo ordered that all three investigators be removed. Its
finding was evidently premised
on the fact that they flouted the
rules of natural justice. I have noted that the court a quo did not
make a finding of bias against
Loxton, neither did it made an adverse
finding against the two investigators, nor was it contended that
Pascoe and Pillay be removed
as investigators. Consequently the order
of the court a quo pertaining to their removal remains
incompetent.
[33]
COSTS
[65]
At the hearing, both parties accepted the proposition that the
Biowatch
[34]
principle is applicable unless this court in the exercise of its
discretion finds that Mr Deighton's review application was improper
and frivolous.
[66]
It is trite that if a litigant raises his constitutional rights in
litigation against the State,
in good faith, is entitled to the
Biowatch
protection even if it is to protect only
his/her interests.
[67]
In exercising my judicial discretion, I find that Mr Deighton was
entitled to vindicate his constitutional
rights. The application was
neither frivolous nor instituted in bad faith. There is no reason why
the respondent should be penalized
with costs. Our courts have
emphasized that judicial officers should caution themselves against
discouraging parties who are entitled
to test their constitutional
rights. In the premises, even though the respondent has not
succeeded, he should not be lambasted
with a costs order.
[68]
In conclusion the appeal succeeds.
H
KOOVERJIE
JUDGE
OF THE HIGH COURT
GAUTENG
DIVISION, PRETORIA
I
agree,
JS
NYATHI
JUDGE
OF THE HIGH COURT
GAUTENG
DIVISION, PRETORIA
I
agree, and it is so ordered.
L
A RETIEF
JUDGE
OF THE HIGH COURT
GAUTENG
DIVISION, PRETORIA
Appearances:
Counsel
for the appellants:
Adv.
G Marcus SC
Adv.
M Mbikiwa
Instructed
by:
RW
Attorneys
Counsel
for the respondent:
Adv.
M du Plessis SC
Instructed
by:
Adv.
P Olivier
Larson
Falconer Hassan Parsee
Date
heard:
22
November 2023
Date
of Judgment:
7
February 2024
[1]
[1970] CH 345
at 402 C-E
[2]
The passage quoted from
John
v Rees
at page 402 C-E was the following:
"It
may be that there are some who decry the importance to courts
attached to the observance of the rules of natural justice.
"When something is obvious" they may say "why force
everyone to go through the tiresome waste of time involved
in
framing charges and giving an opportunity to be heard?" The
result is obvious from the start. Those who take this view
do not, I
think, do themselves justice. As anybody who has anything to do with
the law well knows, the path of the law is true
with examples of
open and shut cases which, somehow were not; of unanswerable charges
which, in the event were completely answered;
of inexplicable
conduct which is fully explained; are fixed and unalterable
determinations that by discussion, suffered a change,
nor are those
with any knowledge of
human nature were forced to think for a
moment likely to underestimate the feelings of resentment of those
who find that the decision
against them has been made without them
being afforded an opportunity to influence the cause of events. "
[3]
[1970] All ER 535
CA at 539
[4]
Corpclo 2290 CC t/a U-Care and Another v Registrar of Banks [2013] I
All SA 127 (SCA), paragraph [26] Simelane NO v Seven Eleven
Corporation SA (Pty) Ltd
2003 (3) SA 64
(SCA) and
Competition
Commission v Yara 2013 (6) SA 404 (SCA)
[5]
Viking Pony African Pumps (Pty) Ld t/a Tricom Africa v Hidro-Tch
Systems (Pty) Ltd and Another 2011(1) SA 327 (CC) paragraph
[38] (my
emphasis)
[6]
Paragraph [39] of Viking Pony
[7]
Rhino Oil and Gas Exploration South Africa (Pty) Ltd v Normandien
Farms
2019 (6) SA 400
(SCA) at paragraph 33
Hoexter
et al supra at page 840
[8]
Magistrate, Stutterheim v Mashiya
2004 (5) SA 209
(SCA)
Wahlhaus
and Others v Additional Magistrate, Johannesburg and Another
1959
(3) SA 113
(AD)
Ascendis
Animal Health (Pty) Ltd v Merck Sharpe Dohme Corporation and Others
2020 (I) SA 327 para 108
[9]
Novartis SA (Pty) Ltd and Others v Competition Commission and Others
(CT 22/CR/B/JUN 01, 2.7.2001 paragraphs [7] and (35)-[61]
I
have further taken note of the approach affirmed by our courts,
namely various matters starting with
Park-Ross (1998), Brenco
(2001)
to the more recent matter of
Msiza (2023)
[10]
Prudential Authority of the South African Reserve Bank v Msiza
(2023] ZAGPPHC 313 (2 May 2023)
[11]
Cora Hoexter and Glenn Penfold Administrative Law in South Africa
Third Edition 2021 at page 501 (and my emphasis)
[12]
[1970] 3 ALL ER 535
(CA), (cited with approval in Brenco)
[13]
Simelane NO and Other v Seven-Eleven Corporation SA (Pty) Ltd and
Another
2003 (3) SA 64
(SCA) and Competition Commission v Yara
(South African) (Pty) Ltd and Others 2013 (6) SA 404 (SCA)
[14]
Competition Commission of South Africa v Telkom SA Ld and Another
the SCA affirmed the approach in Simelane.
[15]
Earth life Africa (Cape Town) v Director-General: Department of
Environmental Affairs and Tourism
[2005] ZAWCHC 7
;
2005 (3) SA 156
Cat paragraph [35]
[16]
Director: Mineral Development Gauteng Region vs Save the Vaal
Environment
1999 (2) SA 709
SCA at paragraph [17]
[17]
Minister of Defence & Military Veterans v Marnasedi
2018 (2) SA
305
SCA paragraphs [14] to [15]
[18]
18 Section 136(1)(a) reads:
An
investigator may, for the purposes of conducting an investigation,
do any of the following:
(i)
by written notice, require any person who the investigator
reasonably believes
may be able to provide information relevant to
the investigation to appear before the investigator, at a time and
place specified
in a notice, to be questioned by the investigator;
(ii)
by written notice, require any person who the investigator
reasonably believes
may be
able
to produce a document or item relevant to the investigation to-
(aa)
produce a document or item to an investigator, at the time and place
specified in a notice;
or
(bb)
produce a document or item to an investigator, at the time and place
specified
in a notice, to be questioned by the investigator about the document
or item;
(iii)
question a person who is complying with a notice in terms of(l)(i)
or (ii)(bb)
to make
an
oath or affirmation and administer such oath or affirmation;
(iv)
(v)
examine, copy or make extracts from any document or item produced to
an investigator
as required in terms of this paragraph;
(vi)
take possession of, and retain, any document or item produced to an
investigator
in
terms
of this paragraph;
(vii)
gave direction to a person present while the investigator is
exercising power in terms
of this paragraph, to facilitate the
exercise of such powers.
[19]
South African Reserve Bank v Msiza and Another 2023 JDR 163 GP at
paragraph [59] **
[20]
Paragraph [59]
[21]
my emphasis
[22]
Koyabe and Others v Minister of Home Affairs and Others 2010 (4) SA
327 (CC)
[23]
Speaker of the National Assembly v Public Protector and Others
2023
(3) SA 1
(CC) paragraph 91
[24]
page 77 of the Seven-Eleven matter
[25]
JPR Michaels v Financial Sector Conduct Authority, case no A25/2023,
decision of Financial Services Tribunal dated I November
2023
[26]
Nichol and Another v Registrar of Pension Fund and Others
2008 (1)
SA 383
(SCA)
JSE
Limited v The Registrar of Security Services, a decision of the then
Appeal Board of the Financial Services Board
MET
Collective Investments (RF) (Pty) Ltd v Financial Sector Conduct
Authority, case no. A23/2019 dated 29 July 2020, decision
of the
Tribunal
[27]
Section 139(1) to (4) of the FSRA
[28]
Minister of Defence v Motau
2014 (5) SA 69
(CC) at paragraph [61]
[29]
Pharmaceutical Manufacturers Association of South Africa and
Another: in re ex parte President of the Republic of South Africa
and Others
[2000] ZACC 1
;
2000 (2) SA 674
(CC) at paragraph
[88]
[30]
Annexure 'FS7', Volume I paragraph [10] and paragraph [69] (SUP3A),
Volume 2, page Al46 line 34 to 37
[31]
Hoexter supra at page 584
[32]
Lieutenant-General Phahlane v National Commissioner of the South
African Police Services 2020 JDR 0938 GP, paragraph [30]
[33]
Fisher and Another v Ramahlele and Others
2014 (4) SA 614
(SCA) at
paragraphs [13] and [14]
[34]
Biowatch Trust v Registrar Genetic Resources, and Others
2009 (6) SA
232
(CC)
sino noindex
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