Case Law[2022] ZAGPPHC 520South Africa
Deighton v Financial Sector Conduct Authority and Others (15703/2021) [2022] ZAGPPHC 520 (8 July 2022)
Headnotes
Summary: Review of decision of FSCA investigating panel to deny proper and timeous access to documents upon which applicant was to be questioned beforehand - adverse finding and decision against applicant subjecting him to potentially unlimited fine - no substantial redress on appeal of any decision - failure by panel members to appreciate consequences of inherently unjust procedure adopted by them - investigation as well as composition of panel reviewed and set aside.
Judgment
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## Deighton v Financial Sector Conduct Authority and Others (15703/2021) [2022] ZAGPPHC 520 (8 July 2022)
Deighton v Financial Sector Conduct Authority and Others (15703/2021) [2022] ZAGPPHC 520 (8 July 2022)
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sino date 8 July 2022
FLYNOTES:
ACCESS
TO DOCUMENTS AND NATURAL JUSTICE
Administrative
law – Natural justice – Procedural fairness –
Investigation panel – Financial Sector
Conduct Authority –
Person required to attend interview – Not provided
beforehand with documents on which he
would be questioned –
Inherently unjust procedure – Investigation as well as
composition of panel reviewed and
set aside –
Financial
Services Regulation Act 9 of 2017.
IN
THE HIGH
COURT OF
SOUTH AFRICA
(GAUTENG
DIVISION, PRETORIA)
Case
No.
15703/2021
REPORTABLE:NO
OF
INTEREST TO OTHER JUDGES:NO
REVISED
NO
8
JULY 2022
In
the matter between
:
DEIGHTON,
MICHAEL EDWARD
Applicant
A
nd
FINANCIAL
SECTOR CONDUCT
AUTHORITY
FIRST
RESPONDENT
THE
FINANCIAL SECTOR REGULATOR
SECOND
RESPONDENT
PASCOE,
ALEXANDER
THIRD
RESPONDENT
PILLAY,
PRINISHA
FOURTH
RESPONDENT
LOXTON,
DAVID
FIFTH
RESPONDENT
Coram:
Millar
J
Heard
on
:
9 May 2022
Delivered:
8
July 2022 -
Th
i
s
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
SAFLll.
The
date and time for
hand-down is deemed to be 1OHOO on 8 July 2022
.
Summary:
Review
of
decision of FSCA investigating panel to deny proper and
timeous
access
to
documents upon
which
applicant
was
to
be
questioned beforehand
-
adverse
finding and
decision
against
applicant subjecting him
to potentially
unlimited
fine
-
no
substantial
redress
on appeal
of any
decision -
failure
by
panel
members
to
apprec
i
ate
consequences of
inherently unjust
procedure
adopted
by
th
e
m
-
i
nvestigat
i
on
as
well
as
composition
of
panel
reviewed
and
set
aside
.
ORDER
It
is Ordered
:
1.
It
is
declared that the
investigation
and/or
action
undertaken
against
the
appl
i
cant
pursuant
to
the
Respondents'
I
nvestigation
Instruction
dated
26
October
2020
is unlawful on
the
basis
that
it
is
procedurally
unfair;
2.
The
investigation
instituted
and pursued by the Respondents
against
the
Applicant
in terms
of
the
Financial
Services
Regulation
Ac
t
,
9 of 2017
,
is reviewed
and
set
aside on
the
basis that
i
t
violates
the
requirements of
procedural fairness
.
3.
If
the first
Respondent
chooses
to
proceed afresh with
the
investigation
aga
in
st
the Applicant
,
then that
must
only be
done
provided
that:
3.1
the
third,
fourth and fifth
respondents are removed and take no
further
part
in
the
investigation
and/or action against the applicant.
3.2
The
in
vestigation
against
the
Applicant
is
conducted
in accordance with
the
pr
inci
ples
of
natural
justice
,
procedural
fairnes
s
,
and
section
3(2)
of
the
Promotion of
Administrative
Justice
Act
3
of 2000
(PAJA)
,
with due
regard
to the
findings
made
by
the
Court
in
this judgment
as
regards the
requirements
of
fairness
as applied
to
the facts of
this
case
.
4.
The
Respondents
are
to
pay the costs of this
application
,
on
the
scale
as
between
party
and
party
which
costs
are
to
i
nclude
the
costs
consequent
upon the
employment
of
two
counse
l
,
jointly
and
severally
,
the
one
paying
,
othe
r/
s
to
be
absolved
.
JUDGMENT
MILLAR
J
1.
This is
an appl
i
cation
in
which
the applicant
,
Mr. Deighton seeks an
order reviewing and
setting
aside
the
steps
taken
pursuant
to
an
investigation
of
h
i
m
,
authorized
by
the
first
respondent
and
conducted
by
the
third
,
fourth
and
fifth
respondents
.
The
crux
of the
appl
i
cant's
case
is that
the way
the
investigation
,
through
an interview
,
was conducted
offended
his right
to a fair
and
just
administrative process
.
2.
The
respondents dispute that the process adopted was neither fair nor
just.
They
further
contend
that the
present
applicatio
n
,
brought as
it
has been, prior to the
conclusion
of
the
investigation
and
any
decision
against
him
is
premature
and
subversive
of
the
of
the
investigative
scheme
of
the Financial
Sector
Regulation
Act
[1]
.
3.
The investigation has
as its
genesis
events
that occurred during
May
2019
regarding
the
financial
statements
of
the
Tongaat
Hulett
group
of
companies
.
Tongaat
Hulett Limited
('THL
'
)
is a multinational agricultural and
agri-proces
s
i
ng
business with
i
nterests
in the Republic as well as in
Zimbabwe and
Mozambique.
4.
During May 2019
,
allegations
surfaced regarding the manner i
n
which
the group
'
s
financial statements had been
prepared and presented
.
THL
then appointed Price
Waterhouse
Coopers
(
'
PWC
'
)
to
r
eport
on the allegation
s
.
5.
In
November 2019
,
PWC reported and
identified certain matters of concern which
i
ncluded
inter a
li
a
the
i
nvolvement
of certain senior executives,
one of whom was the
applicant
("Mr
.
Deighton
"
)
.
He had
been
the
managing
director
of Tongaat
Hulett Developments
(
"
THD
"
).
It
was alleged that he
had been
engaged in
undesirable
accounting
practices
which
included
the
early
recognition
of
sales
revenue from the sale
of
l
and
.
6.
In
consequence
,
THL
reported itself
to
the
first
respondent ('FSCA')
and
furnished
it
with
the
PWC
report.
THL
unilaterally
acknowledged
that
it
had contravened
section
81
of the
Financial
Markets
Act
[2]
('FM
Act')
in
respect
of the
accounting
periods
ending
March
2017 and April
2018
respectively.
7.
The
commissioning
of
both
the
report
as
well
as
the
acknowledgement
of
a
contravention
of
the FM
Act,
occurred in circumstances where the applicant,
who
had been the
managing
director
of
one
of
THL's
subsidiaries
from
March
2017
until
April 2018
,
was neither consulted in regard to the terms of reference for the PWC
report,
or
in
the
process
l
eading
to
the
preparation
of
the
report
or
the
subsequent
admission
by
THL of its contravention
of
section 81
[3]
of the
FM
Act.
This
was
all
common cause
between
the parties.
8.
On
21
August 2020,
and
by agreement
between
THL and
the
FSCA,
an administrative
penalty
of R118 340 000.00 was imposed on THL.
The
majority of
the
penalty
was
remitted
in
terms
of
section
173
of
the
Financial
Sector
Regulation
Act
[4]
with the
result
that THL had to only pay R20 million.
9.
Now
armed with the PWC report and the admission
made
by THL,
the
group for
which
all
of
the implicated executives had
worked
,the
FSCA
on 26 October 2020,
initiated
a
"new"
investigation
[5]
of
certain
of
the
former
executives
individually,
premised
entirely
upon
the
veracity
of
the
PWC
report.
An
investigation
panel
('the
panel')
consisting
of
the third
respondent
('Mr.
Pascoe'), fourth
respondent
('Ms.
Pillay')
and
fifth
respondent
('Mr.
Loxton')
were
appointed
to
conduct
the
interview
and investigation.
1
0
.
On 5 November 2020
,
the
panel wrote to Mr. Deighton's attorneys informing him of
the
investigation
and
the
period
to
which
it
related.
The
letter
pertinently
referred
to
Section
81
and
although
not
specifically
referred
to
in
the
l
etter,
annexed
to
it
were
extracts
from
various
Acts
.
[6]
They
also
requested
that
he
indicate
his
availability
to
be
interviewed.
The
following
day,
on
6
November
2020, his
attorneys
responded requesting an indication of the specific issues that
would
be traversed
during
the interview and that once they
had
that,
they
would
then
be in a position to agree dates.
11.
On
7
November
2020
,
the
panel responded
by
advising the
background
to the
reasons for the
investigation,
the
purpose
of the
interview
as well
as the
topics
that would be
traversed.
12.
The
topics
to
be traversed
included
general
matters
relating
to
Mr.
Deighton
'
s
qualifications as well
as his
role
and reporting
l
ine
within the THL grou
p
,
and his
involvement
in
the
compilation
or
submission
of
information forming
part
of
the
annual
financial
statements
of TH
D
.
Most pertinently
,
the
l
etter
indicated specific issues to be
traversed
which
included
:
'
5.
Your
involvement
with
regards
to
the
land sale
transactions
at
THD
;
6.
Th
e
process followed
at
THD
regarding
land
sale
transactions
.
7.
The
policies
followed
by
THD in
concluding
land
sale
transactions
.
8.
Your involvement
relating
to
the
conclusion
of
the
following
land
sale
transactions
:
a.
MPW
Cape
Properties
(Pty)
Ltd
;
b
.
Africa
Rising
In
v
estments
(Pty)
Ltd;
c
.
The
Toyota
South Africa Educational
Trust
;
d.
Govender
S
&
Viahakis
T incorporated
a
company
to become the
Pur
c
haser
Ridgeside P4 Residential
Estates
(Pty)
Ltd
;
e.
D
exap
hase
(Pty)
Ltd
;
f.
The Ocean Forest
Club Trust
;
g.
Taylor-made
Property
Asset
Managers
(Pty)
Ltd
'
9
.
Your
invo
l
ve
ment
in
the
drafting
and/or
publica
t
io
n
in
respect of the
Annual
Fin
ancia
l
Statements
of
Tongaat for the
years ended 31
March 2017
and
31 March
2018
.'
13.
Besides
the
specific
topics
identified,
the
l
etter
also
advised
that
the
interview
may
also cover
'
any
other matter
that
may
arise from the
interview
'.
14.
On
13
November
2020
,
the
panel issued a
notice
in
terms
of Section
136
(1)
of
the
FSR
Act requiring Mr
.
Deighton to attend an interview on 18
November 2020
.
Attached
to this notice were
also the same annexures which
had been attached to
the
5
November 2020
letter
.
He duly
attended
together
with
his legal
rep
r
esentat
i
ves
.
15.
The commencement
of the interview
,
as happens often in
l
egal
proceedings
,
was occupied
by
preliminary
procedural
matters.
Foremost
amongst
these
was
the complaint by
Mr
.
Deighton that
he had not
been given
prior access
to copies of
the
documents
relating
to
the
specific
transact
i
ons
about
which
he
was
to
be interviewed and
furthermore that he had not been warned that he
was a
'
suspect'
as
contemplated
in Section 135 of
the
FSR Act.
16.
The documents
in question
,
which also
i
ncluded
a copy of the
PWC
report
,
were
contained
in
a
bundle which
had been made
available to the
panel beforehand
and with
which
they
had
presumably prepared for the
interview.
17.
Initially the panel
took the view
that they would only
permit Mr
.
Deighton
to
peruse
the
specific
documents
upon
which he was being quest
i
oned
while he was being questioned. The
reason
advanced for not
allowing
him
prior
access
to
or possession of the
documents
upon
which he was to be questioned was
that
they
were
confidential
,
notwithstanding
that
he
had been a signatory to several of
the
documents
.
This
was
objected
to
on
the
basis
that
it
was
prejudicial. The panel
then
indicated
that he
would be permitted to
request
ad
hoc
adjournments
in
order
to
consult
with
h
i
s
l
egal
representatives
as the interview
progresse
d
.
18.
The
first
interview
besides
dealing with
a
general
discussion
of
Mr
.
Deighton
'
s
qualifications
and work
history with THO was
also to
be
in
respect of what
was
alleged to
be the back
dating or earlier
recognition
in the
financial statements
of
certain
property
sale transactions
-
a sample of 6 were
identified for
discussion
at
the
interview.
19.
Mr
.
Deighton made clear
during
the interview
that he was
not
an
accountant
and
although
he
had signed
the
financial
statements
,
he
had
no direct
role
in
their
preparatio
n
.
He
was
unequivocal
that
THD
'
s
accounting policy with
regard to the
recognition
of
sales
of
l
and
transactions
in
the financial
records
of
the
company was only meant
to occur once the
transfer
of the property
had taken place
.
20.
Ms. Pillay
explained
the
significance
of the date of the sale being
reflected
in
the
financial statements
as opposed to
the
date of
transfe
r
,
particularly
over a
financial
year end
-
if
the
revenue was
i
ncluded
before the
transfer
occurred and
fell
into
an
earlier
financial
period
,
i
t
would
result
in
an overstatement
revenue for
the
specific
prior
period
.
Mr
.
Pascoe
then
indicated
that
the
i
nvestment
community
made
decisions
based
on
the
financial
results
for
each
accounting
period
.
Their respective
statements made
that
either
the
failure
to
apply
the
accounting pol
i
cy
or
the
backdating
of the
transactions
would fall foul of
Section
81 of the
FM
Act.
21.
It was
in
the
context
of
a
discussion
during
the
interview
that
Mr
.
Loxton then
stated
:
'
But
is the
actua
l
effect actually
relevant
,
because if
you
look
at
the
legislation all
we
have
to
show
is
there
is
a
misrepresentation
and
that
is
it
,
game
,
set and match
.
'
22.
In
response
to a question as
to
whether
the
matter was a simple as
that, he
then
went on to say
:
'
Well
if you
look
at the
legislation
,
I
mean
it is actually
very
,
very clear
.
If
a
person
makes
or publishes
in
respect
of
securities
a
statement
,
promise
or
forecast
etc
.
there
is
no
need
to
read
all
those
details
and
the person
knows
or reasonably
[ought]
to know it is
false
,
misleading
or
deceptive
,
now
it
doesn
'
t
you
don
'
t
need
an
accountant
to understand
that if you
overstate
revenue
,
if you['re]
taking
revenue
from year
one
,
and
putting
it
in
,
year
two
putting
it
in
year
one
,
that
is
a
misrepresentation
in
anybody's
language
.
'
23.
The
phrase
,
'
game
set
and match
'
was thereafter
repeated
several
times
by Mr
.
Loxton
in
his efforts to explain that
he had been referring
to what
the
l
egislation
provided
for
in
the
event
of
findings
adverse
to
Mr
.
Deighton
.
The
use
of
the
phrase
was
seized upon by Mr
.
Deighton
'
s
representatives
at the
interview
(and
also
in this
hearing)
as
being
indicative
of the fact
that
any
panel
,
if
Mr
.
Loxton
was a part of
it
,
was
incapable
of
giving Mr
.
Deighton
a fair hearing.
24.
The
first
interview
was almost at an end and arrangements were being made for
a
second
interview,
when
the
following
exchange
took
place
between
Mr.
Deighton's
legal
representatives
[7]
and
members of the panel:
'
Mr
.
Parsee
Could
we
have
a
copy of the
bundle
of
documents
?
Mr
.
Pascoe
No
,
it's
confidentia
l
.
Mr
.
Parsee Oh the ones that you
are going to
show
us?
Mr
.
Loxton
That you can look .. it in the meeting and deal with them, but you
cannot have them. '
25.
And
l
ater
:
'
Mr
.
Parsee
:
Why
is it confidential not to give us beforehand but not confidential
when we, when you want to deal with it?
Mr
.
Par
see
:
So,
are wegoing to get copies of the documents that you, you present in
the enquiry, will we get copies after that?
Mr
Pascoe
No. Not
in this enquiry, not at this stage. If this gets, if for example, if
the authority makes a decision to proceed with the
enforcement action
you would have the opportunity, as I said you will get the audit
letter, you will get the report, all the annexures
alleging the
contravention, you will have it all at that stage of the process '.
:
26.
And
'
Mr
.
Haus (sic)
:
And we
referred
to
the
objection that
we
noted
on
the
previous
occasion
.
In 2
.
2
.
2
,
we asked for copies of all the
documents
,
sought
to be put
to
client
which
we asked
on the previous
occasion
.
But
what
we then
established
is
that
client
had
been
given
a
file
of
certain
contracts
by
the
PWC
,
was
it?
Or
was
it
the
investigating
officer?
Mr
.
Deighton
:
Well
,
it is PWC
'
s
file
,
but
handed
to us by
the
investigating
officer
.
'
27.
And
'
Mr
.
Pascoe
:
You
know, ours is based on a balance of probabilities whereby criminals
(sic) beyond a reasonable doubt. Okay?
Mr.
Pascoe:
Our administrative process
,
you know
,
it
is
really on the
papers.
So
as I have explained
,
you
know
,
that
whole
enforcement
process
to
you
.
I do not know if
you can
recall.
28.
And
'
Mr
.
Haus
(sic)
:
But
just
for our
present purposes
,
Ijust
wanted
to
confirm that
as
far
as
Mike
is
concerned
,
for example
,
the penalty
,
the administrative
penalty
for
section
81 is limitles
s
.
It
is
in the
discretion
of
F
SA.
Mr
.
Pascoe
:
Of
the decision makers,
the authority
Mr.
Haus
(sic)
:
Okay.
For the
admin
,
he
can
face a limitless
fine
.
In other
words
,
one
that
is
a
higher fine than the crime
.
Mr
.
Haus
(sic)
:
So
,
based on
what
we
discussed
now
.
I think there
can
be no doubt
that
the
subject
matter
here materially
and adversely
affects
Mike because
,
I mean
,
he can face a limitless
fine.
Mr
.
Pascoe
:
Sure
.'
29.
The
first
interview ended without
any interrogation of
the substantive matters
for
which the interview
had been convened.
30.
A
second
interview
was
held on 4
December
2020
.
Between
the
holding
of the
first
interview
and
the
second,
correspondence was
exchanged between
Mr
.
Deighton's
l
egal
representatives
and
the
panel. On
25
November
2020
,
they specifically
requested
that
he
be
furnished
before
the
second
interview
,
with
'
copies
of all the documents sought
to
be
put
to our
client at
the hearin
g
'.
31.
On 27 November
2020
,
the
panel responded
.
The
response
referred
to
Section
81
of
the
FM Act
and
Sections
135
and
136 of
the
FSR
Act.
The
panel
then
asserted that:
'
8
.
What is
required
of
Mr
.
Deighton
is
that he
answers
questions
lawfully put
to
him
,
and that
he
tells the truth
.
9
…
10.
This
is
an
ongoing
investigation
,
and
we
believe that
placing copies
of
documents
in circulation would
present
a
clear
and present risk to
properly
conducting the
investigation.
As
happened
on
20
November
2020
,
your
client
will be afforded
suffi
c
ient
time to
evaluate any
document
that
may
be
presented
to
him
.
We
refer
you to Section 272 of the FSR Act
.
.
.'
32.
The
response
was
clear
in
its
terms
.
Mr
.
Deighton
would
not
be furnished
with
any
documents
beforehand
to enable
him
to
prepare
or cons
i
der
their
contents
and the implications of his
responses
to any questions put to
him
.
33.
The
panel held to
the
view
expressed
at the first
interview
that
he would only
be
permitted
to
see
the
documents upon
which
he
was
to
be
questioned
contemporaneously
with the
questioning during the
interview
and
that
he
would be given what
the
panel considered
to
be
'
sufficient
time to evaluate
any
document
that may be presented
to
him
'.
34.
Mr
.
Deighton
attended
the
second
interview.
The
panel
,
on
this
occasion
,
was
represented
by
Mr
.
Pascoe and Ms
.
Pillay
.
Mr
.
Loxton
was not present.
Further
procedural
matters
were
raised
on
behalf
of
Mr.
Deighton
at
the
commencement.
I
t
suffices
to
say that the second
i
nterview
ended
in
the same way as the
first
-
without
any
progress
in
the
conduct
of
the
investigation.
35.
What transpired
between
Mr
.
Deighton
'
s
legal representatives,
Mr. Deighton as
well
as the members
of
the panel in the
exchange
of
correspondence
and
during
the
two
interviews
,
was contemporaneously
recorded
.
36.
The
parties
'
views
of
the
manner
in
which
the
interview
was
conducted
differ markedly.
37.
Counsel
for Mr.
Deighton
argued that the entire process should be impeached on the basis that
it was devoid of fairness and, that if conducted on
the basis that
the panel
had
endeavored
to
do,
would
offend
his
right
to
a
fair
[8]
administrative
process
and
would
furthermore
natural
justice
and
was
akin
to
subjecting
Mr.
Deighton
to
a
'Court
of
the
Star
Chamber.
[9]
'
38.
On
the
other
hand,
Counsel
for the respondents
argued that the present
application was
premature as
the
investigation
,
which was
subject to a different
standard of fairness,
was not finalized
.
Absent the finalising
of the
investigation,
no
decision
adverse to
Mr
.
Deighton
had or could be
taken
and
in
consequence
besides being
premature,
the present application
amounted
to
an
improper
interference in the
conduct of
the
investigation.
39.
I
s
there merit to the contention that the interview process ought to be
impeached
as
argued
by
Mr.
Deighton
or
should
he
have
accepted
the
investigation
and
interview
process
determined
by
the
panel
and
only
in
circumstances
of
an
adverse
finding
against
him, have
then
,
at that
stage
have challenged
both the
process and decision?
40.
.
What
then
is the
statutory
scheme
in
terms of which
the
interview
was
called
for and then
conducted
and was
Mr
.
Deighton entitled to
the
rights
that
he
sought to assert?
41.
.
The Act provides in
section
135(1)(a)
[10]
that
the FSCA may appoint an
investigator
if
there
is
a
reasonable
suspicion
.
of
a
contravention
of
a
financial
sector
law
having taken
place,
and in
terms
of
section
135(2)
[11]
particularly,
to
investigate
any matter relating
to
a contravention of section 81 of the Financial
Markets
Act.
42.
.
The investigator once appointed has the powers set out in sections
136
to
138
of the Act. These powers are
wide
ranging and empower the investigators to
require
any
person
they
bel
i
eve
may be able
to
provide information to
submit
to questioning
[12]
,
or
to produce documents and then submit to
questioning
in regard thereto
[13]
-
all under oath.
[14]
The
investigator may
furthermore
take possession of
any
document
produced
[15]
and
may also give directions to any person present to facilitate
the
exercise
of
his
powers
[16]
.
The
powers
also
extend
to
taking
possession of
documents
produced
[17]
.
43.
Section
136(2)
also
provides that:
'A
person
being questioned in terms of this
section
is
entitled to have
a
legal
practitioner present
at
the
questioning
to
assist
the
person
'
Besides
the
powers
set
out
in
section
136,
an
i
nvestigator
may
also
enter
and
search
premises
[18]
s
either
with
consent or in
terms
of
a
warrant
issued on
application
[19]
by
the
investigator
.
44.
.
The
Act,
besides
conferring
upon the investigators
the
powers set out in
sections
136 to
138,
also
impose
obligations
upon
any
person
who
is
summoned
to
an
investigat
i
on
or required
to
produce document
s
.
These
obligations
are set out in section
139
and specifically
provide
that a person may
not
either intentionally or
negligently
interfere or hinder the conduct of an investigation
,
[20]
must
follow any direct
i
ves
given,
[21]
must answer any
question put to him
fully
and truthfully
[22]
(my
emphasis).
45.
He
may also not refuse to answer
any
question or to comply with any direction
[23]
and
perhaps
most
relevant to the present proceedings
[24]
:
'
(
5
)
A per
s
on
may n
o
t
give an in
v
e
s
tig
a
tor
any information that is false or
mi
s
leading
,
i
n
c
lu
d
in
g
by o
mi
ss
i
o
n
,
and is
re
l
ev
ant
t
o
an
in
v
es
t
i
ga
ti
o
n
,
if th
e
p
e
rson
kn
e
w
tha
t
t
h
e
in
f
or
mat
i
on
w
as
f
a
l
se
or
mi
s
leading
,
including b
y
o
mission
.
'
46.
The
obligations
set
out in
section
139 are tempered
by
the protections as set out
in
sect
i
on
1
40
[25]
.
The
protections
provided
for
in
this section, howeve
r
,
relate to
protect
i
on
against
self-incrimination
in
any
cr
i
minal
proceedings in consequence of
or
related
to
the
subject
matter
of
the
investigation
.
The
protections
do
not
extend
to
self-incrimination
within
the
context
of
the
FSCA
investigation
or
its
consequences
.
47.
Once
the
investigation
has been
completed, a report
together
with
all
the
evidence
gathered
during
the
investigation
is then
submitted
with
a
recommendation
to
the
FSCA.
The
Act
provides
in
section
67 for
the
specific
process that
is
be
followed
by the executive
committee who makes a decision on what
is placed before it.
48.
.
While
the
process and procedure to be employed by the investigating
committee
is set out in
the
FSCA Act, the process and procedure of the executive
committee
to
whom
the
report
of
the
investigating
committee
and
its
recommendation
is
submitted
,
is
not predetermined
.
The
committee determines its own process and procedure
[26]
.
Nowhere
in
the
FSCA
Act
is
there
any
provision
for
the
specific
process and procedure to be followed
in
the
evaluation of the investigation report or the
recommendations
made
therein. However, the FSCA
has
indicated
the
procedure
that
it
follow
s
.
Counsel
for
the
FSCA
explained
the
procedure
as
follows
[27]
:
48.1
'
First
,
it
issues
a
notice
of
the
proposed
administrative
action
,
which
sets
out
the
FS
CA
'
s
preliminary
and
prima
facie
views
,
the reasons
for such
views and
all
documentation
upon
which
they are
based
.
48.2
Th
e
notice
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 FSCA.
48.3
Only
after
considering
the
affected
person
’s
representations
does
the
FSCA
make
a
final
de
c
ision
,
in
which
it
sets out
its
reasons
and
informs
the affected
person of
his
or
her
internal
remedies
under
the FSR
Act.
'
49.
Chapter
10
of the
FSCA
Act
deals
with
enforcement
and
sets
out
the
possible
sanctions
that may be
i
mposed
on any person who has contravened any financial sector law.
Most
pertinent
and
relevant in
the
present
matter
is
the
power
contained
in
section
167
[28]
which
entitles the
FSCA,
besides
imposing
an
unlimited
penalty,
to
also include
in
the
determination
of
that penalty, the amount
of
i
ts
reasonable
costs
incurred
[29]
.
The
penalty
provisions
in
section
167
are
supported
by
a provision for the payment of the
penalty,
interest
on the penalty
as
well as having the penalty made an order of court.
[30]
50.
It
was
argued
on
behalf
of
the
respondents
that
the
present
application
was
premature
because it was only after the FSCA had exercised its powers,with the
executive committee deciding
[31]
and
communicating that decision and the
reasons
for the decision
[32]
,
that the applicant
could
and
then
should more appropriately
bring
the
present
application for
revie
w
.
The
argument was
premised
on
the
basis
that
the
conduct
of
the
investigation
as
well
as
the
submission
of
the investigation
report
and recommendations
were
not
in and of
themselves
'decisions'
as contemplated
in
section 218
of
the
FSCA
Act and for
that
reason not subject to review.
51.
However
.
while section 218(k) of
the FSCA Act specifically excludes
'
a
decision to
conduct
a
supervisory
on-site
inspection
or an
investigation
'
from the
definition
of
a
'
decision
'
,
it does
not exclude
the decisions
taken
by the
relevant
parties during
an on-site
inspection
or for that matter
during an investigation
.
52.
In
arguing
that
the
present
application
was
prematur
e
,
I
was
referred
to
Minister
of
Environmental
Affairs
and
Tourism
v
Scenematic
Fourteen
(Pty)
Ltd
[33]
.
I
t
was
argued
that
any
procedural
irregularity
can
be
'
cured
by
a
procedurally
fair
appeal/
[34]
'
and
I
was
also referred to Rhino
Oil
& Gas Exploration SA (Pty) Ltd
v
Normandien
Farms
(Pty)
Ltd
and
Another
[35]
i
n
which
i
t
was
stated
that:
'
As
a
general
rule
,
a
challenge
to the
validity
of an exercise
of public power that is not final
in
effect
is
prematur
e
.
An
application
to
review
the
action
will
not
be
ripe
,
and
cannot
succeed
on that account
...
There
is
a
close
connection
between
prejudice and
ripeness Baxter
states that
'
the
appropriate
criterion
by
which
the
ripeness
of
an action
in
question is
to
be measured
is whether
prejudice
has
already
resulted
or
is
inevitable
,
irrespective
of
whether
the
action
is complete or
not
.
·
53.
In
Esau and Others v Minister of Co-Operative Governance and Traditional
Affairs
and
Others
[36]
it
was
also stated that:
Two
principles
come into
play
in
this
regard
:
first
,
that in
order
for an
exercise
of public
power
to be
ripe
for review,
it
should
ordinarily
be
final
in effect
;
and
secondly
,
that
the
decision
must
have
some
adverse effect
for the person
who
wishes
to review
it
,
because
otherwise
its
setting-aside
would
be
an
academic
exercise
which
courts generally
eschew
.'
54.
Counsel
for
the
respondents
argued
that
the
decision
of
the
investigating
committee
carried
'no
serious
or
final
consequences
'
[37]
for
the
applicant
because
it
was
not
a final decision and that it was
merely
'the
preliminary
step
of a process that
.
does
not affect the respondent's rights
[38]
'
Furthermore
,
i
t
was
argued that the PAJA
[39]
did
not arise in the present case.
55.
In
support of this
I
was
referred
to the finding of the Constitutional
Court
in
Viking
Pony
Africa
Pumps
(Pty)
Ltd
t/a Tricom Africa v
Hidrotech
Systems (Pty) Ltd and
Another
[40]
in
which
it
was
held:
'
[38]
Detecting
a
reasonable
possibility
of
a
fraudulent
misrepresentation
of facts
,
as
in
this case
,
could hardly 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 which could
potentially
trigger the
applicability
of
PAJA. It
is
unlikely that
a
de
c
ision
to investigate and the
process
of
investigation
,
which
e
x
cludes
a
determination of
culpability
,
could itself adversely
affect
the
rights of
any
person
,
in
a
manner
that has
a
direct
and e
x
ternal
legal effect
.'
56.
The
question
of
whether
it
is
self-evident
that
the
decision
of
the
investigating committee
has no serious or final
consequences
or
does not affect Mr
.
Deighton
'
s
rights must,
it
seems to me of
necessity
,
be considered in light
of both
the
statutory
scheme
in terms of which the
investigation
was conducte
d
,
as well as the specific
consequences
that would attach to
the failure
by
him to comply with the directions
given
in
terms of the statutory
scheme by the investigating committee
.
57.
Although
the
investigating
committee
would
i
tself
not make any
binding decision on Mr.
Deighton,
it
would gather evidence
,
on oath
,
to either support or dispel the
findings
of
the
PWC
report.
This
would be done
by questioning him on
specific
documents
in
respect of which conclusions
had been drawn
in
the
PWC
report.
58.
The
panel
had
indicated
to
Mr
.
Deighton at
the commencement of
the
first
interview
that
-
'
We
are investigating
a
possible
contravention
of section
81
of
the
FMA,
which
relates
to
false
,
misleading
or deceptive
statements
,
promises
or forecasts
.
'
59.
Howeve
r
,
THL had already
provided a report
which
purportedly demonstrated such
contraventions,
and
had thereafter
admitted to
such
contraventions
,
and
agreed
the
initial penalty
of
R 118 340
000,00
which was then
reduced
to
R20
million
.
All
that
rema
i
ned
in
terms
of
the
investigation,
at
l
east
as
far
as
Mr
.
Deighton
was concerne
d
,
was whether
he too was to
be found
to have contravened
section 81
during
his
tenure
with the group
.
60.
What is
apparent
i
s
that
there
was no need for any
further
investigation,
at
l
east
as far
as
THL
was
concerned
-
the
investigation
and
any
further
steps
that
it
may
have
led
to
,
once
it had
been
completed, was
clearly
aimed at
either
exonerating
or
implicating
Mr
.
Deighton personally. It
is
through
this
l
ens
that the
entirety
of
the process
ought
properly to be considere
d
.
61.
Mr. Deighton
himself
understood
the gravity
of an adverse
finding
by
the
panel
against him
-
the
panel
was precognized of this by him at the outset of
the
first
interview
when
he
informed
the
panel
that:
'Tongaat
Hulett
ha
ve
steadfastl
y
,
after
two years
of
attack
against
me
,
has
steadfastly
refused
to provide
me
any
meaningful
information
about
the
basis
of
their
allegations
against
me in multiple
activities
.
I
am
a
pe
r
son
and I have got
extremely limited
financial
means
.
They have
conducted
,
amongst other
things
,
a
press
campaign
to
support
what's
happened over
this
last
period
.
'
62.
Was the way the
investigating committee conducted the interview biased or was it
unfair and offensive to
natural justice? The two main grounds upon which this was
premised was firstly
,
the
repeated use by Mr.
Loxton of the phrase
'
game
,
set
and
matc
h
'
as being indicative
of
some
bias on his part and
secondly
,
the fact that
he
was
not
given
a full and proper opportunity
to consider beforehand
all
the
documentation
which the investigators
intended to put to him in questioning
.
63.
Given the
context
within which
Mr. Loxton uttered the
phrase on more than
one
occasion
,
I
am
not persuaded that
it
was
indicative
per
se
of
any
bias
on his part
against Mr
.
Deighton
.
It seems to me that his
use of the phrase was
rather part of
his
i
diom
and the way
he expressed
his view as to when
the
investigation would be
conclude
d
.
The use of a particular
i
diom
is
not
in
and
of
i
tself
indicative of any
bias
.
64.
The
investigation
and
interview
did
not
progress
to
a
stage
where
Mr.
Deighton
committed
himself
on
any substantive
matter
- the
highwater
mark
of this
argument
could
only be regarding the findings in the PWC report which was
part
of
the
brief
of the
panel
and the veracity
of
which, at
l
east
insofar
as it may have
related
to Mr. Deighton,
was
the
very
subject
of the investigation.
It
was
held
in
Hamata
v Chairperson
Penninsula
Technikon Internal Disciplinary Committee
[41]
'
I
t
is
not
bias
per se
to
hold certain tentat
i
ve
views about a matter. It
is human nature to have
certain
prima
facie
views on any
subject. A line must be drawn
,
howeve
r
,
between
issues
mere
pred
i
spositions
or
attitudes
,
on
the
one
hand
,
and
pre-judgment of
the
issues
to
be
decide
d
,
on
the
other. Bias
or partiality
occurs when the
tribunal approaches a
case
not
with
i
ts
m
i
nd
open to persuasion nor conceding that
exceptions could be made to its
attitudes
or
opinions
.
but
when
it
shuts
i
ts
mind to any subm
i
ssions
made or evidence
tendered
in support
of the
case it
has
to
decide
.
No one can fairly
decide
a case
before
him if he has already
prejudged it.
'
65.
In
the
present
matter
,
given
the
exchanges and
limited
concessions made
in regard to
inspection
of the documents
,
I
am
not
persuaded that
the
members of
the
tribunal
,
and particularly Mr.
Loxton
,
conducted themselves in
a manner which
can fairly
be described as partial
or biased
.
66.
However,
central
to the conduct of investigations by the FSCA, is that the
person
or
persons appointed
to
conduct he investigations must have
'appropriate
skills and
expertis
e
.
[42]
'
This
provision is particularly important given the wide powers granted to
the investigators
[43]
.
Most
significantly are the provisions of section 139.
67.
It
i
s
essential when
an investigation
is
conducte
d
,
particularly
involving
the
interview
of
a
private
individual
,
who
is
subject
to
the
provisions
of
section
139
,
such investigation
must be conducted
in
as
fair and constitutional
manner as the
circumstances
permit.
Whi
l
e
section
139
read together with
section
140
does offer
a protection against
self-incrimination
in
any criminal
proceedings
,
it
nevertheless
:
67.1
prohibits
intentional or even negl
i
gent
interference with or hinderance
with
the conduct of the investigation
[44]
except
with
l
awful
excuse
[45]
67.2
compels
compliance with any directives given by the tribunal
[46]
67.3
compels
a response to questions put 'fully
and
truthfully to the best of
the
person's
knowledge'
[47]
67.4
compels
a
response
·
that
is
not
false
or
misleading
including
by
omission which is relevant to an investigation
[48]
68.
It
is
having
regard to the statutory obligations upon Mr. Deighton and those set
out
in
sections
139(3)
and 139(5)
,
that the refusal of the
tribunal to afford Mr
.
Deighton
an opportunity to
properly consider
and take advice about
the documents
he
was to be questioned
on
beforehand
,
is
to be considered
.
69.
I
t
is
indisputable
that
i
f
a person is to be questioned
upon specific documents
and the law
compels
him
to
answer
fully
and
truthfully and to the best of his knowledge
and
,
to
ensure
that
his
responses
are neither false nor
misleading
even
by
omission,
that
natural
justice
demands that
he
ought to be given
those
documents
beforehand to ensure
that
his
responses meet
the
standard expected of him
by
the
law
.
70.
It
was
observed
in John v
Rees
[49]
that:
'
It
ma
y
be that there are some who would
decry
the
importance
which the courts
attach to
the
observance
of
the rules
of
natural justice
.
"
When
something
is
obvious
,"
they
may
sa
y
,
"
why
force everybody
to go through
the tiresome
waste
of
time involved
in framing
charges
and
giv
i
ng
an opportunity
to be
heard?
The result
is
obvious
from
the start
."
Th
os
e
w
ho
take this
vie
w
do not
,
I
think
,
do themselve
s
justice
.
As
everybody
w
ho
has
an
y
thing
to do with the
law
well knows
,
the path
of
the
law
is strewn
with
e
x
amples
of open
and
shut cases
w
hich
,
s
omeho
w
,
were
not
;
of
unanswerable
charges which
,
in
the
event
,
we
re
c
ompletely
answered
;
of ine
x
plicable
conduct which
was
fully
e
x
plained
;
of fi
x
ed
and
unalterable
determinations
that
,
by
discussion
,
suffered
a
change
Nor
are those
with
any
knowledge
of human nature
who pause
to
think
for
a moment likely to underestimate
the
feel
i
ngs
of
resentment
of
those
who
find
that
a
decision
against
them
has
been
made
w
ithout
th
e
ir
being afforded an
y
opportunit
y
to influence
the
course of
events
.'
71.
It
was
argued
on
behalf
of
Mr.
Deighton that
the
process
to which
he
was
to
be
subjected
by
the
tribunal
in
having
to
answer
quest
i
ons
on
or
about
documents
that he had little or no time to consider beforehand, was
an
egregious
limitation
of
his
right to fair administrative
proces
s
.
Apposite
to the present matter, it was held
in
Pergamon Press Ltd,
Re
[50]
'
.
.
.
While
conceding
that
the
proceedings
decided nothing in themse
l
ve
s
,
Lord Denning
warned
against
underestimating
the
significance
of
the
inspectors
'
task
:
'They
have to
make
a
report
w
hich
may have wide repercussions
.
They may,
if
they think
fit
,
make findings
of
fact
w
hich
are very damaging
to thos
e
w
hom
they name
.
They
may
accuse
some
;
they
may
condemn
others
;
they
may
ruin
reputations
or
careers
.
Their
rep
o
rt
may
le
a
d
to
judici
a
l
proceedings
.
It may e
x
pose
persons
to
criminal
proceedings
or
to
civil
actions
....
Seeing
that
their
work
and
their
report
may
lead
to
such
conseq
uenc
es
,
I
am
cle
a
rly
of opinion that the inspectors
must
act
fairly.
'
72.
If Mr
.
Deighton were
to
have acquiesced and
allowed
the
tribunal
to
have
conducted
the
investigation in the
manner that
i
i.
sought to do
,
i
t
would be difficult if
not
imposs
i
ble
for
h
im,
in
the
event
of
an
adverse
finding
against
him
by the
'
·
FSCA
,
to
appeal
such
findin
g
.
73.
The f
i
nding
would
have been
premised
upon
an
investigation
in respect
of which the
p
r
ocedure
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
l
east
,
either of or both
sections 139(3) and
(5)
.
74.
It
is for
this
reason
that
the
provisions
of
section
134(2)(c)
are
important.
This
section
is
meant
to provide the necessary direction for the FSCA to ensure that the
members
of
the
tribunal
are
not
only
qual
i
fied
from
a
forensic
perspective to conduct
the
investigation
but
also
from
a
l
egal
perspective
to
ensure
that
the
investigation
is
conducted
in
a
manner
which
is
consonant
with
the
provisions
of
section
33(1)
of
the
Constitution
[51]
and
section
3(1)
[52]
of
PAJA.
75.
The
failure of the panel,
at
both interviews,
to
appreciate the consequences of their
refusal
to allow Mr. Deighton pr
i
or
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
[53]
.
76.
The
appropriate
time
to
have
brought
this
application
was
when it was
brought
-
to
wait until
the process
was complete
a11d
to
then
,
after
having
acquiesced to
responding
under
oath
with the knowledge that
the response
may
possibly be
neither
complete
nor
misleading
would be
absurd
.
77.
Self-evidently,
and having regard to the specific scheme of the FSCA Act and the
failure
of the
panel
to allow suff
i
cient
and timeous access to the documents
upon
which
Mr.
Deighton
was
to be questioned - Once committed on oath,
Mr.
Deighton
would
find
h
i
mse
l
f
between
Scylla
and
Charybdis
regarding
any
appeal
in
the
event
of an adverse decision
[54]
.
78.
I
find
that
the failure
of
the panel
to
make the documents
upon
which he
was
to be
questioned
available
to
Mr.
Deighton
beforehan
d
,
procedurally
unfair
[55]
55and
it
is
for
this
reason that
I
intend
to make the order that
I
do.
79.
The costs order will
follow the result
.
This matter is one of sufficient
importance to
the
respective parties that they
each chose, wisely
and reasonably
in my view
,
to
employ
the services of two
counsel and hence the order
in this regard
.
80.
In
the
circumstances I
make
the
following
order
:
80.1
It is declared that the
investigation and/or
action
undertaken
against the
applicant
pursuant to the Respondent
s
'
Investigation
Instruction
dated 26
October 2020 is
unlawful on the basis that it is procedurally
unfair
;
80.2
The investigation
instituted and pursued by the Respondents against the Applicant
i
n
terms
of the
Financial Services
Regulation Act
,
9 of 2017
,
is
reviewed
and
set aside on the
basis that
it violates the
requirements of
procedural fairnes
s
;
80.3
If the first
Respondent chooses
to
proceed afresh with the
i
nvestigation
against the Applicant
,
then that must only be done provided
that:
80.3.1
the third
,
fourth and fifth
respondents are removed and take no further
part
in the
investigation
and/or
action
against
the
applicant.
80.3.2
The investigation
against the
Applicant
is
conducted
in
accordance
with
the
provisions
of
natural justice,
procedural
fairness
,
and
section
3(2)
of
the
Promotion
of
Administrative
Justice Act
3 of 2000
,
with due regard to the findings
made by
the Court in
this
judgment
as regards the
requirements of
fairness as applied to
the facts of this case
;
80.4
The Respondents are to
pay the costs of this application, on the scale as
between party and party
which costs are to include the costs consequent
upon
the
employmen
t
of
t
wo
counsel, jointly
and
severally
,
the one
payin
g
,
other/s to
be abso
l
ved
.
A
MILLAR
JUDGE
OF THE HIGH COURT
GAUTENG
DIVISION, PRETORIA
HEARD
ON:
9 MAY 2022
JUDGMENT
DELIVERED ON:
8 JULY 2022
COUNSEL
FOR THE APPLICANT:
ADV. M DU PLESSIS SC
ADV.
J MITCHELL
I
NSTRUCTED
BY:
LARSON
FALCONER
HASSAN
PARSEE
REFERENCE
:
MR. PARSEE
COUNSEL
FOR THE
RESPONDENTS
:
ADV.
G
MARCUS
SC
AD
V
.
M MB
I
K
I
WE
I
NSTRUCTED
BY: REFERENCE
:
RW
ATTORNEYS
MR.
L GROOME
[1]
9
of 2017
[2]
19
of 2012
[3]
'(1)
No person may, directly or indirectly, make or publish in respect of
securities traded on
a
regulated
market,
or in respect of the past or future performance of
a
company
whose securities are listed on
a
regulated
market-
(a)
any statement, promise or forecast
which is, at the time and in the fight of the circumstances in which
it is made, false or misleading
or deceptive in respect of any
material fact and which the person knows, or ought reasonably to
know, is false, misleading or
deceptive; or
(b)
any statement, promise or forecast which is, by reason of the
omission of
a
material fact, rendered
false,
misleading or deceptive and which the person knows, or ought
reasonably to know, is
rendered false, misleading or
deceptive by reason of the omission of that fact '.
[4]
9
of 2017 which came into operation on 1 April 2018
[5]
investigation'
used as a verb means to "Search or inquire into; examine (a
matter) systematically or in detail;" Shorter
Oxford English
Dictionary, Oxford University Press, 2007, Vol. 1, page 1425
[6]
There
was an extract of
Section 81
of the
Financial Markets Act 19 of 2012
and Sections 135 to 140 of the Financial Sector Regulation Act 9 of
2017.
[7]
His
attorney Mr. Parsee and his advocate Mr. Howse SC.
[8]
fair
- "just , unbiased, equitable, impartial, legitimate, in
accordance with the rules or standards" Shorter Oxford
English
Dictionary, Oxford University Press, 2007, Vol.1, page 920
[9]
9
Frank Riebli in an article titled The Spectre of the Star Chamber:
The Role of an Ancient English Tribunal in the Supreme Court's
Self-incrim ination Jurisprudence described how the US Supreme Court
has referred to the Court of the Star Chamber:
'On
the other hand, the Court has consistently used Star Chamber to
develop identifiable themes: brutality, abuse of power, oppressive
state
might
overpowering the helpless individual, and persecution. Star Chamber
is usually a foil, contrasted with our own courts and
legal system,
by adjectives like "hated," "obnoxious," and
"opprobrious." The Court
has
said, for example, that it 'thought the
privilege {against self-incrimination} necessary to prevent any
recurrence of the Inquisition
and the Star Chamber, even if not in
their stark brutality. ' The Court
has
also referenced Star Chamber in
explaining or justif ying the scope of the protections it finds
under the Self-Incrimination Clause.
The Court stated, for example,
that "[t]he importance of
a
right
does not, by itself, determine its scope, and therefore we must
continue to hark back to the historical origins of the privilege,
particularly the evils at which it was to strike. The privilege
against compulsory self-incrimination was developed by painful
opposition to
. . .
Star
Chamber proceedings.'
[10]
'(1)
A financial sector regulator may instruct an investigator appointed
by it to conduct an investigation in terms of this Part
in respect
of any person, if the financial sector regulator
a)
reasonably suspects that a person
may have contravened, may be contravening or may be about to
contravene, a financial sector
law for which the financial sector
regulator is the responsible authority.
b)
[11]
(2)
The responsible authority may investigate any matter relating to an
offence or contravention referred to in
sections 78
,
80
and
81
of
the
Financial Markets Act, including
insider trading in terms of the
Insider Trading Act. 1998 (Act 135 of 1998), and the offences
referred to in Chapter VIII of
the Securities Services Act, 2004
(Act 36 of 2004), committed before the repeal of those Acts '.
[12]
S
136(1)(a)(i) & (iii)
[13]
S
136 (1)(a)(ii) & (iii)
[14]
S136(1)(a)(iv)
[15]
S136(1)(a)(vi)
[16]
S136(1)(a)(vii)
[17]
S136(
1)(b)-(e)
[18]
S137
[19]
S138
[20]
Section
139(1)
[21]
Section
139(2)
[22]
Section
139(3)
[23]
Section
139(4)
[24]
Section
139(5)
[25]
See
for example specifically section 140(1)(c ) which provides that:
'.An
incriminating answer given, and an incriminating document or
information produced, as required in terms of paragraph (b),
is not
admissible
in evidence against the person in any criminal proceedings, except
in criminal proceedings for perjury or in which
that person is tried
for
a
contravention
of section 273 based on the false or misleading nature of the
answer'.
[26]
See
section 67(2)
[27]
Set
out succinctly in the heads of argument filed on behalf of the
respondents in paragraphs 50, 50.1, 50.2, 50.3.
[28]
'167.Admin
istrative penalties. -
(1)
The responsible authority for financial
sector law may, by order served on a person, impose on the person an
appropriate administrative
penalty, that must be paid to the
financial sector regulator, if the person -
(a)
Has contravened a financial sector law; or
(b)
Has contravened an enforceable undertak
ing accepted by the responsible authority.
(1)
In determining an appropriate
administrative penalty for particular conduct -
(a)
The matters that the responsible authority
must have regard to include the following - (i)
The need
to deter such conduct;
(ii)
the degree to which the person has
co-operated with a financial sector regulator in relation to the
contravention; and
(iii)
any submissions by, or on behalf of, the
person that is relevant to the matter, including mitigating factors
referred to in those
submissions; and
(b)
Without limiting paragraph (a), the
matters that the responsible authority may have regard to include
the following -
(i)
The nature, duration, seriousness and
extend of the contravent ion;
(ii)
any loss or damage suffered by any person
as a result of the conduct;
(iii)
the extent of any financial or commercial
benefit to the person, or a juristic person related to the person,
arising from the
conduct;
(iv)
whether the person has previously
contravened a financial sector law;
(v)
the effect of the conduct on the financial
system and financ ial stability;
(vi)
the effect of the proposed penalty on
financial stability;
(vii)
the extent to which the conduct was
deliberate or reckless.
(2)
An administrative penalty may include an
amount to reimburse the responsible authority for reasonable costs
incurred by the responsible
authority in connection with the
contravention.
(3)
The responsible authority may not impose
an administrative penalty on a person if a prosecution of the person
for an offence arising
out of the same set of facts has been
commenced.
(4)
An administrative penalty order is not a
previous conviction as contemplated in Chapter 27 of the Criminal
Procedure Act, 1977
(Act No. 51 of 1977)
(5)
The responsible authority that makes an
administrative penalty order must publish the order.'
(6)
[29]
Section
167(3)
[30]
Section
168, 169, 170 and especially 170(2)
[31]
Section
218
[32]
Sections
228 and 229
[33]
[2005] ZASCA 11
;
2005
(6) SA 182
(SCA) at paras 33-35
[34]
ibid
[35]
2019
(6) SA 400
(SCA) at paras 33 and 34 - a judgment which was upheld by
the Constitutional Court on a different ground in Normandien Farms v
South African Agency for Promotion of Petroleum Exportation and
Exploitation
2020 (4) SA 409
(CC) - see especially para 24
[36]
2021
(3) SA 593
(SCA) at para 45
[37]
Simelane
N.O and Others v Seven-Eleven Corporation SA (Pty) Ltd and Another
(2003) 1 All SA 82
(SCA) at para 16 quoting para 54 of Norvatis SA
(Pty) and others v The Competition Commission and others (reference
omitted)
[38]
Competition
Commission v Yara (South Africa) (Pty) Ltd and Others
2013 (6) SA
404
(SCA) para 24
[39]
3
of 2000.
[40]
2011
(1) SA 327
(CC) para 38
[41]
2000
(4) SA 621
(C) para 67
[42]
Section
134 (2)(c) of the FSR Act 9 of 2017
[43]
See
Sections 135 to 137
[44]
Section
139(1)
[45]
Section
139(4)
[46]
Section
139(2 )
[47]
Section
139(3)
[48]
Section
139(5)
[49]
[1970]
CH 345
at 402 C-E
[50]
[1970]
All ER 535
(CA) at 539
[51]
Constitution
of the Republic of South Africa 1996 -"section 33( 1) Everyone
has the right to administrative action that is
lawful, reasonable
and procedurally fair."
[52]
"3
(1) Administrative action which materially and adversely affects the
rights or legitimate expectations
of
any person must be procedurally fair."
[53]
See
Legitimate Expectation and Natural Justice: English, Australian and
South African Law, John Hlophe,
(1987) SALJ 165
- "...what is
essential for the purposes of natural justice is not whether or not
the Minister is exercising purely administrative
or quasi-judicial
powers, but whether the exercise of powers has disadvantageous or
detrimental consequences to the affected
persons"
[54]
Megarry
J's dictum in Leary v National Union of Vehicle Builders
(1971) Ch
34
at 49F - ' a failure of natural justice in the trial body cannot
be cured by a sufficiency of natural justice in an appellate body'
is particularly apposite to the particular facts of this case
[55]
PAJA
section 6(2)(c)
sino noindex
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