Case Law[2022] ZAGPPHC 608South Africa
Motsoeneng v Public Protector and Others (76591/19) [2022] ZAGPPHC 608 (12 August 2022)
High Court of South Africa (Gauteng Division, Pretoria)
12 August 2022
Judgment
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# South Africa: North Gauteng High Court, Pretoria
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## Motsoeneng v Public Protector and Others (76591/19) [2022] ZAGPPHC 608 (12 August 2022)
Motsoeneng v Public Protector and Others (76591/19) [2022] ZAGPPHC 608 (12 August 2022)
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sino date 12 August 2022
IN THE HIGH OF SOUTH
AFRICA
GAUTENG DIVISION,
PRETORIA
Case No.: 76591/19
REPORTABLE:
NO
OF
INTEREST TO OTHER JUDGES
: NO
REVISED:
12 August 2022
In the matter between:
HLAUDI GEORGE
MOTSOENENG Applicant
and
THE PUBLIC
PROTECTOR First
Respondent
THE SOUTH AFRICAN
BROADCASTING CORPORATION Second
Respondent
(PTY) LTD
SABC BOARD OF
DIRECTORS Third
Respondent
SPECIAL INVESTIGATING
UNIT Fourth
Respondent
MINISTER OF
COMMUNICATIONS
Fifth Respondent
JUDGMENT
NEUKIRCHER J:
[1]
The applicant launched this application on 15 October 2019. In it, he
seeks certain
declaratory orders as well as an order reviewing and
setting aside certain findings and the remedial order of the Public
Protector
(PP)
[1]
contained in
her report titled “
When
Governance and Ethics Fail: Investigation into allegations of
maladministration, system corporate governance deficiencies,
abuse of
power and irregular appointment of Mr. Hlaudi Motsoeneng by the
SABC
”
[2]
(the PP Report).
[2]
The relief sought by the applicant is
inter alia
the
following:
“
1.
Declaring the SABC to have failed to comply with the findings and
remedial actions of the Public Protector
in her Report titled “When
Governance and Ethics Fail: Investigation into allegations of
maladministration, system corporate
governance deficiencies, abuse of
power and irregular appointment of Mr. Hlaudi Motsoeneng by the SABC
”
(“the Report”) issued on 17
February 2014;
2.
Declaring that the SABC has failed to comply with the order in
Democratic Alliance v SABC
and Others case no 3104/2016 and
Democratic Alliance v Motsoeneng and Others under case no 18108/16
[2017] BLLR 153
(WCC);
[2017] 1 All SA 530
(WCC) (12 December 2016);
3.
Declaring the SABC to be in contempt of a court order as referred to
in paragraph 2 above;
4.
Declaring the SABC to be in contempt of the Public Protector by
failing to implement her
remedial action; alternatively
5.
…
6.
In any event reviewing and setting aside the findings as they relate
to the Applicant and
the remedial action as ordered by the Public
Protector in paragraph 11.3 of the said report pertaining to the
Applicant;
7.
Costs to be borne by any of the Respondents only in the event of
opposition.”
[3]
Paragraph 5 of the Notice of Motion was expressly abandoned during
the applicant’s
argument before me.
The issues
[4]
The main issues in this matter were defined by the parties in a joint
practice note
as the following:
4.1
whether the report of the PP, its findings and remedial action were
irrational and unlawful, and therefore
fall to be set aside and the
extent to which this is necessary;
4.2
whether the SABC failed to comply with the findings and remedial
actions of the PP Report, as well as the
orders of the Western Cape
High Court of 2 December 2016 under case numbers 3104/2016 and
18107/16; and
4.3
following on 4.2, whether the SABC is in contempt of that court
order.
[5]
The following issues were also argued before me:
5.1
whether condonation is required for the delay in instituting the
present proceedings (if there is a delay
which was denied by the
applicant);
5.2
whether the PP and the 4
th
respondent (the SIU) could be
represented by the same attorneys or whether that would constitute an
irresoluble conflict of interest;
5.3
whether condonation should be granted to the PP for the late filing
of both a supplementary Rule 53 record
[3]
and the late answering affidavit
[4]
;
5.4
whether the deponent to the PP’s affidavit was properly
authorised to do so.
The Rule 30
[6]
As regards the above, the applicant filed a Rule 30 notice and
followed this by an
application in terms of Rule 30 in which he
sought not only to strike out the supplementary record, but also the
PP’s affidavit.
When the matter was argued before me the Rule
30 application was not pursued. Instead, I was informed that the
objections set out
in that application were contained in the
applicant’s replying affidavit and that the Rule 30 issues
could be adjudicated
on that basis.
[7]
The applicant’s objections are the following:
7.1
when the matter was originally set down for hearing on 19 April 2021,
the PP had not filed a notice to oppose
the application - only the
2
nd
, 3
rd
and 4
th
respondents had
filed papers;
7.2 on
10 March 2021 the PP filed a supplementary record. This was filed by
Werksmans who, at the time, were on
record for the SIU. The filing
notice of that supplementary record indicated that they were
“
attorneys for the first and 4
th
respondents” (sic)
;
7.3
then, on 9 June 2021 – 10 days prior to the hearing – the
PP filed an answering affidavit. This
was accompanied by a notice
appointing Werksmans as the PP’s attorneys of record, as well
as an application for condonation
for the late delivery of the PP’s
answering affidavit;
7.4 on
15 April 2021 – 4 days before the hearing – the applicant
then delivered a Notice in Terms
of Rule 30(1) and 30(1)(a) objecting
to:
(a)
the notice appointing Werksmans as the PP’s attorneys of
record;
(b)
the filing of the supplementary record; and
(c)
the application for condonation and answering affidavit filed by the
PP.
[8]
Given these events, it is hardly surprising that Francis-Subbiah AJ
found that the
matter was not ripe for hearing on 21 April 2021 and
removed it from her roll and reserved the question of costs.
[9]
On 21 April 2021 the PP then filed an answering affidavit to the
applicant’s
Rule 30 Notice.
[10]
Each of these objections will each be dealt with
ad seriatum.
The objection to
Werksmans appointment
[11]
The applicant has objected to Werksman’s appointment as the
PP’s attorneys of record.
He argues that the PP had not given
notice that she wished to oppose this application; that when the
supplementary record was filed
on 10 March 2021 it was filed by
Werksmans purportedly acting on behalf of the PP but they had failed
to formally place themselves
on record as representing her
[5]
and there was no application for condonation for the late filing of
the supplementary record. To add insult to injury, Werksmans
then
filed the PP’s application for condonation and answering
affidavit.
[12]
The point of all of this, says the applicant, is that up to 10 March
2021, when the supplementary
record was filed, the PP had actually
indicated that she did not intend to oppose the application. This she
did in a letter dated
26 May 2020 addressed to Mr Mabaso of
Werksmans
[6]
, where she states:
“
8.
In conclusion, please be advised that the Public Protector will not
be opposing the application on various
grounds, amongst other being
that she believes, on the basis of legal advice, that the application
is academic, there are no prospects
of success, the courts have
previously provided clarity and authority on the impugned Report,
there are parties who are already
opposing the application, and her
office is currently facing financial constraints…”
[13]
This being the position in May 2020, the applicant now argues that
there is no indication that
the PP herself actually took the decision
to appoint Werksmans as her attorneys of record or that she
instructed them to file a
supplementary record on her behalf or that
she instructed them to oppose the review application and file an
answering affidavit.
[14]
However, the applicant has failed to utilse the provisions of Rule
7(1) which states:
“
7(1)
Subject to the provisions of subrules (2) and (3) a power of attorney
to act need not be filed, but the authority of
anyone acting on
behalf of a party may, within 10 days after it has come to the notice
of a party that such person is so acting,
or with the leave of the
court on good cause shown at any time before judgment, be disputed,
whereafter such person may no longer
act unless he satisfies the
court that he is authorised so to act, and to enable him to do so the
court may postpone the hearing
of the action or application…”
[15]
This informal manner of objecting to the authority of a deponent was
decried in
Unlawful
Occupiers, School Site v City of Johannesburg
[7]
and followed in
ANC
Umvoti
Council Caucus and Others v Umvoti Municipality
[8]
where Gorven J stated:
“
[26]
In the Unlawful Occupiers case Brand JA, after stating that the
procedure of dealing with authority on the affidavits
should not be
adopted, said:
‘
All
this culminated in the following question: Is it conceivable that an
application of this magnitude could have been launched
on behalf of
the municipality with the knowledge of but against the advice of its
own director of legal services? The question
can, in my view, be
answered only in the negative.’
In
the context of the judgment, Brand JA, in making these comments, was
demonstrating, as one of the reasons for his earlier support
of the
procedure using Rule 7(1), the futility of wasting time and costs in
the application when the Rule 7(1) procedure had been
available. In
other words, this is not a finding on the papers which renders the
dictum obiter, it is a further example of why
he supports the
approach of Flemming DJP
[9]
endorsed earlier. Brand JA could not have put it more plainly than to
say that “a party who wishes to raise the issue of
authority
should
not
adopt the procedure adopted by the appellants in this matter.”
He clearly endorsed as correct the statement by Flemming DJP
that the
rule-maker had made a policy decision that Rule 7(1) must be used to
challenge authority. There is therefore also binding
authority for
the procedure and therefore I consider that this court is bound by
these judgments.
[27]
Even if these dicta are obiter they have strong persuasive force,
given that they emanate from
or are endorsed by the Supreme Court of
Appeal as well as their clear and unequivocal nature. With respect,
the reasoning in these
cases also appears to me to accord with sound
legal principle. The deponent to an affidavit is merely a witness, as
was pointed
out by Streicher JA in Ganes’s case. It is the
attorney of a litigant who, by signing a notice of motion and issuing
application
papers, signifies that that attorney has been authorised
to initiate the application on behalf of the named litigant. Whether
or
not the litigation has been properly authorised by the artificial
person named as the litigant should not be dealt with by means
of
evidence led in the application. If clarity is required, it should be
obtained by means of Rule 7(1) since this is a procedure
which
safeguards the interests of both parties. It frees the applicant from
having to produce proof of what may not be an issue,
thus saving an
inordinate waste of time and expense in “the many resolutions,
delegation and substitutions still attached
to applications”.
It protects a respondent in that, once the challenge is made in terms
of Rule 7(1), no further steps may
be taken by the applicant unless
the attorney satisfies the court that he or she is so authorised. Of
course, if the challenge
is to the authority of the respondent’s
attorney in an application, these comments apply equally but for
opposite reason.
[28]
I am therefore of the view that the position has changed since
Watermeyer J set out the approach
in the Merino Ko-Operasie
Beperk case. The position now is that, absent a specific
challenge by way of Rule 7(1), “the
mere signature of the
notice of motion by an attorney and the fact that the proceedings
purport to be brought in the name of the
applicant” is
sufficient. It is further my view that the application papers
are not the correct context in which to
determine whether an
applicant which is an artificial person has authorised the initiation
of application proceedings. Rule 7(1)
must be used. This means that I
disagree with Mr Gajoo’s submission that Rule 7(1) provides
only one possible procedure and
that, if a respondent elects to
challenge the matter of authority on the application papers, the
applicant is required to prove
such authority on the papers.
[29]
There was no challenge in terms of Rule 7 (1) in the application
which is the subject of this
appeal. The appropriate procedure was
therefore not used by the appellants. It was accordingly not
necessary for the applicant
to prove the authority to initiate the
application nor appropriate to attempt to do so on the papers. It was
also not necessary
for the court a quo to make a finding
relating to authority on the affidavits delivered in the matter.
Since there was
no challenge in the required manner to the authority
of the respondent’s attorney who signed the notice of motion
and initiated
the application in the accepted way, this court does
not have to deal with the question of authority.”
[16]
Mr Maenetje has submitted that given that a) Werksmans’ Notice
of Appointment is dated
9 April 2021, b) that the PP’s
answering affidavit is also dated 9 April 2021 and c) that the
challenge to (a) and (b) is
contained in the applicant’s
replying affidavit which was delivered on 17 August 2021
[10]
,
there is no true challenge to either Werksmans’ or Sithole’s
authority. Given that stated
supra,
I
agree.
The supplementary
record and the conflict of interest issue
[17]
As to whether the supplementary record should be struck out: in my
view there is no purpose achieved
in doing so. The record in review
proceedings provides an invaluable tool of ensuring that the court
has all the relevant material
before it. It also ensures that all the
parties enter the arena on a similar footing.
[11]
This principle was stated thus in
Democratic
Alliance and others v Acting National Director of Public Prosecutions
and Others
[12]
:
“
[37]
In the constitutional era courts are clearly empowered beyond the
confines of PAJA to scrutinise the exercise of public
power for
compliance with constitutional prescripts. That much is clear from
the Constitutional Court judgments set out above.
It can hardly be
argued that, in an era of greater transparency, accountability and
access to information, a record of decision
related to the exercise
of public power that can be reviewed should not be made available,
whether in terms of Rule 53 or by courts
exercising their inherent
power to regulate their own process. Without the record, a court
cannot perform its constitutionally
entrenched review function, with
the result that a litigant’s right in terms of s34 of the
Constitution to have a justiciable
dispute decided in a fair public
hearing before a court with all the issues being ventilated, would be
infringed…”
[18]
There is no possibility that the applicant has suffered any prejudice
with the late filing of
the supplementary record as he has dealt with
it and the content of the PP’s answering affidavit in his
further replying
affidavit. Bearing in mind that the PP and the SIU
oppose this application on the same grounds and raise the same legal
argument,
the applicant also cannot allege that he has been taken by
surprise or that he has been unfairly disadvantaged.
[19]
It is also for these reasons that I find that there is no bar to
Werksmas acting for the PP and
the SIU as I am of the view that,
their interests being aligned, there is no conflict of interest.
The late answering
affidavit
[20]
The PP’s answering affidavit is filed late but this has been
fully explained. In essence,
the explanation is that although the
PP’s initial stance was that opposition was unnecessary, on 20
October 2020 the SIU
directed a Rule 30A notice to her which
complains that the Rule 53 record originally filed was incomplete and
it lists the documents
which it alleges are missing from that record.
The PP then states that, upon receipt of the Rule 30A notice
“…
it
became evident to the Public Protector that it was necessary, in the
interests of justice, for the Public Protector to actively
participate in this application and to ensure that all the relevant
facts and circumstances are placed before this Honourable Court.
The
SIU’s Rule 30A notice highlighted the depth and scope of the
prejudice and judicious unfairness that an applicant’s
culpable
delay in launching a review inflicts on an organisation such as the
Office of the Public Protector. This is so because
it cannot…be
in the interests of justice to permit an applicant to launch review
proceedings after such a lengthy delay
where, solely because of the
lengthy delay, the decision making body is no longer in possession of
the complete record that supported
the decision making process…”
[21]
Given this and given the fact that the deponent to this affidavit
[13]
assisted the PP with the investigation and the preparation of the
Report, the answering affidavit provides a useful tool in filling
in
some of the gaps of this matter. Over and above this, I am of the
view that the explanation provided for its late filing is
adequately
explained, it is not prejudicial to any of the parties and it is in
the interests of justice that it be considered to
aid the court in
coming to a decision in this matter.
[22]
Thus, condonation is granted for the late filing of both the
supplementary record and the PP’s
answering affidavit.
The PP’s Report
[23]
The facts of this matter are not contentious and have been reported
in several decisions in this
country
[14]
,
they are thus not contentious. Those facts are, in brief, the
following:
23.1 between
November 2011 and February 2012, the PP received complaints from
three former employees of the SABC that related
to the alleged
irregular appointment of the applicant as the Acting COO of the SABC,
and the systemic maladministration relating
to, inter alia, human
resources, financial management, governance failure and the irregular
interference by the erstwhile Minister
of Communications, Ms Dina
Pule, in the affairs of the SABC;
23.2 the PP’s
Report was released on 17 February 2014. In particular, the PP
concluded that there were “
pathological corporate governance
deficiencies at the SABC”
, and that the applicant had been
allowed to “
operate above the law
”. Her findings
in respect of the applicant in particular were that a) his
appointment as Acting COO was irregular, b) that
the former
Chairperson of the SABC Board, Dr Ben Ngubane, had acted irregularly
when he ordered that the qualifications requirements
for the
appointment of the position of COO be altered to suit the applicant’s
circumstances, c) the applicant’s salary
progression from R1.5
million to R2.4 million in one fiscal year was irregular, d) the
applicant had abused his power and position
to unduly benefit
himself, e) when completing his job application form in 1995 and
thereafter when applying for the post of Executive
Producer: Current
Affairs, the applicant had fraudulently misrepresented that he had
matriculated, f) that the applicant had been
appointed to several
posts in the SABC despite not having the appropriate qualifications,
g) that the applicant was responsible,
as part of SABC management,
for the irregular appointment of the SABC’s Chief Financial
Officer, h) that the applicant was
involved in the irregular
termination of the employment of several senior staff members
resulting in a substantial loss to the
SABC due to
inter alia
the severance packages that had to be paid out, and i) that the
applicant had irregularly and unilaterally increased the salaries
of
several staff members which resulted in a salary bill escalation of
R29 million;
23.3 the PP then
directed the following remedial action specific to the applicant:
that the Board of the SABC was to ensure
that a) all monies be
recovered which were irregularly expended through unlawful and
improper actions from the appropriate persons,
b) appropriate
disciplinary action be taken against the applicant for his dishonesty
relating to the misrepresentations of his
qualifications, abuse of
power and improper conduct in the appointments and salary increases
of certain staff members and for his
role in the purging of senior
staff members resulting in numerous labour disputes and settlement
awards against the SABC, and c)
any fruitless and wasteful
expenditure that had been incurred as a result of irregular salary
increments to the applicant be recovered
from him.
[24]
It is common cause that the applicant was dismissed from the SABC on
12 June 2017. It is, also
common cause that the applicant was not
dismissed because of the remedial action ordered by the PP – in
fact, the applicant
was dismissed after a disciplinary hearing found
him guilty of further charges brought against him by the SABC. It is
precisely
the SABC’s failure to implement the remedial action
ordered by the PP that has prompted this application.
The issue of delay
[25]
At the outset of this matter the respondents have all taken the point
that the application was
unduly delayed. It is common cause that the
application was launched on 15 October 2019 – this is 5 years
and 10 months after
the PP Report was issued. It is also common cause
that the applicant has not launched these proceedings in terms of the
Promotion
of Administrative Justice Act
[15]
(“PAJA”). Rather, he states that it is based on the
doctrine of legality. Whilst none of the respondents have conceded
that this view is in fact correct, the matter was argued on the basis
contended for by the applicant.
[26]
It is the respondents’ position that irrespective of whether
the application is brought
under PAJA or the doctrine of legality,
the applicant has unduly delayed launching these proceedings, that
the undue delay cannot
be overlooked and the application should be
dismissed on this ground.
[27]
In
Asla
Construction (Pty) Ltd v Buffalo City Metropolitan Municipality
[16]
,
the Supreme Court of Appeal stated:
“
[18]
The rationale for the rule that an application for the review of an
administrative decision should be launched without undue
delay is
predicated upon a desire to avoid prejudice to those who may be
affected by the impugned decision. As was said in Gqwetha
v Transkei
Development Corporation Ltd and Others
2006 (2) SA 603
(SCA) ([2006]
3 All SA 245
;
[2005] ZASCA 51)
paras 22 – 24, the rule is based
upon two principles, namely that 'the failure to bring a review
within a reasonable time
may cause prejudice to the respondent . . .
(a)nd . . . there is a public interest element in the finality of
administrative decisions
and the exercise of administrative functions
. . . ‘.Underlying that latter aspect of the rationale is the
inherent potential
for prejudice, both to the efficient functioning
of the public body and to those who rely upon its decisions, if the
validity of
its decisions remains uncertain. It is for that reason in
particular that proof of actual prejudice to the respondent is not a
precondition for refusing to entertain review proceedings by reason
of undue delay, although the extent to which prejudice has been
shown
is a relevant consideration that might even be decisive where the
delay has been relatively slight . . . .Whether there has
been undue
delay entails a factual enquiry upon which a value judgment is called
for in the light of all the relevant circumstances
including any
explanation that is offered for the delay . . . . A material fact to
be taken into account in making that value judgment
— bearing
in mind the rationale for the rule — is the nature of the
challenged decision. Not all decisions have the
same potential for
prejudice to result from their being set aside.'
A consideration of the
consequences of setting a decision aside, and any resultant
prejudice, was said to be an important consideration
(paras 33 –
34);
'…(D)elay
cannot be evaluated in a vacuum but only relative to the challenged
decision, and particularly with the potential
for prejudice in
mind...'.
In the exercise of the
discretion to condone an unreasonable delay, the prospect of the
challenged decision being set aside is not
'a
material consideration in the absence of an evaluation of what the
consequences of setting the decision aside are likely to be
. .
.'.”
[17]
[28]
Whilst PAJA reviews must be instituted within 180 days
[18]
,
there is no such time stipulation in respect of a legality review.
But this does not mean that the applicant may unreasonably
delay the
institution of proceedings:
“
[44]
But what do we make of the legislature's decision to remove these
time limits? Does this mean that litigants are not constrained
by any
requirement to act timeously? In my view the legislature's decision
to remove the 12-month prescription period opens the
actions of
public functionaries in terms of the PSA to ongoing scrutiny and
transparency. Bearing in mind the purpose of the Repealing
Act, the
repeal of s 39 allows that an applicant cannot automatically be
non-suited on the basis of a delay. Nevertheless, it is
a
long-standing rule that a legality review must be initiated without
undue delay and that courts have the power (as part of their
inherent
jurisdiction to regulate their own proceedings) to refuse a review
application in the face of an undue delay in initiating
proceedings
or to overlook the delay. This discretion is not open-ended and must
be informed by the values of the Constitution.
However, because there
are no express, legislated time periods in which the MEC was required
to bring her application, there is
no requirement that a formal
application for condonation needs to have been brought.”
[19]
[29]
The applicant does not concede that he delayed unreasonably in
instituting these proceedings.
In fact, his stance is
unwavering in this regard: he argues that:
29.1 as the
application is founded on the principle of legality, the time limit
contained in section 7 of PAJA does not apply;
29.2 it is
therefore not necessary for him to seek condonation even if it is
considered that the application was instituted
“late” (or
after an unreasonable delay);
29.3 the “trigger”
for the review application is that the SABC is using the PP Report to
victimize him by instituting
proceedings against him to recover
monies and attach his pension fund (the pension fund application);
29.4 that given
that the pension fund order was handed down in the Gauteng Local
Division on 18 January 2019 and this application
launched nine months
later, any delay is not unreasonable;
29.5 that his
prospects of success in this application are so overwhelmingly good,
that even if the institution of these proceedings
were delayed, the
delay should be overlooked; and
29.6 that it is in
the interests of justice that his application be heard because the
“…
overall effect of stigmatization by being branded a
‘criminal’ and a ‘corrupt manager’ by the
SABC and the
SIU without any due process hearing has been quite
severe and has been nothing short of constitutionally perverse”
.
[30]
Of course, the issue of delay is not a simple one, especially in this
matter where there is a
myriad of events that have taken place since
17 February 2014 which are all important when considering the
parties’ arguments
on this issue. In this, the words of
Theron J in
Buffalo
City Metropolitan Municipality v Asla Construction (Pty) Ltd
[20]
bear relevance:
“
[50]
In terms of the first leg of the enquiry, any explanation offered for
the delay is considered. We know in the present
matter that the
MEC has made no attempt to explain why she was idle for so long.
Considering the typically short time frames for
challenges to
decisions in the context of labour law, the MEC's delay of about 20
months, if taken from the time of the receipt
of the Report, is
significant in itself. Furthermore, in the absence of any
explanation, the delay is unreasonable.
[51] The fact that the
MEC has elected not to account for the delay, despite having had the
opportunity to do so at multiple stages
in the litigation, can only
lead one to infer that she either had no reason at all or that she
was not able to be honest as to
her real reasons. Had the matter been
brought by a private litigant, this aspect of the test might weigh
less heavily. However,
given that the MEC is responsible for the
decision, that she is obliged to act expeditiously in fulfilling her
constitutional obligations,
and that she should have within her
control the relevant resources to establish the unlawfulness of the
decision she impugns, the
unreasonableness of the unexplained delay
is serious.
[52] But should we
nevertheless overlook the unreasonable delay? On this leg of the
test, the majority in Gqwetha held that the
delay cannot be evaluated
in a vacuum but must be assessed with reference to its potential to
prejudice the affected parties and
having regard to the possible
consequences of setting aside the impugned decision. In the
context of public-sector employment,
the value of security for
employees and mitigating the arguably inherent inequality of the
workplace must be kept in mind.
[53] Under the
Constitution, however, the requirement to consider the consequences
of declaring the decision unlawful is mediated
by a court's remedial
powers to grant a 'just and equitable' order in terms of s 172(1)(b)
of the Constitution. A court has
greater powers under the
Constitution to regulate any possible unjust consequences by granting
an appropriate order. While a court
must declare conduct that it
finds to be unconstitutional invalid, it need not set the conduct
aside. The delay was indeed a factor
taken into account by the Labour
Appeal Court when deciding whether or not to set aside the
applicants' promotions once they had
been found unlawful.”
[31]
In this matter, the applicant failed to provide any explanation in
his founding affidavit for
his 5 years and 8 months’ delay in
instituting proceedings. Instead, he chose to do so in his
supplementary founding
affidavit and it states that:
31.1 whilst he was
still in the employ of the SABC, an application had been prepared to
review and set aside the PP Report.
That application is dated
17 May 2016 and was served on the PP on 18 May 2016. It is
common cause that this application never
proceeded;
31.2 as soon as he
was dismissed from the SABC, the SABC took a decision to stop payment
of his pension “
significantly denuding Motsoeneng’s
financial ability to engage in another prolonged round of litigation
with it”
. He sought to have his pension paid out and
the SIU intervened in the application;
31.3 he then
states:
“
12.
…It was in the course of fighting the SABC and the SIU, that I
was advised that my biggest problem was the
existence of the Report
of the Public Protector from which the SABC and the SIU significantly
relied on for their vindictive actions
against me.
13.
I decided to bring this application only after the advice…”
;
31.4
it is common cause that the application to stop payment of the
applicant’s pension fund was instituted on 4 August
2017.
It appears from the judgment of Maier-Frawley J
[21]
that prior to that application being launched the SABC wrote to the
South African Broadcasting Corporation Pension Fund (“SABC
Fund”) on 20 July 2017 informing it that it was investigating
allegations of misconduct against the applicant and was in
the
process of preparing to institute proceedings against him for the
recovery of damages caused to the SABC by reason of his dishonest
conduct. The SABC then,
inter
alia
,
requested the Fund to withhold payment of the whole of any benefit
payable to the applicant pending any judgment.
[32]
In the present application, the applicant does not state when it was
that he consulted with his
legal representatives or when it was that
he received the advice mentioned in paragraph 31.3
supra
.
He also argued that the “
reasonable time”
to
institute this application only commenced when Maier-Frawley J handed
down judgment on 18 January 2019 as this is when the full
facts came
to his knowledge.
[33]
In order to deal with this issue and decide whether or not the
applicant is correct in his contention,
the background to this
application must be considered.
Background
[34]
Following on the remedial action recommended in the PP’s
Report, the Democratic Alliance
(“DA”) launched an urgent
application on 12 December 2015 to set aside the applicant’s
appointment as COO of
the SABC. Part A of that application was
heard by Schippers J and judgment handed down on 23 April 2015.
Leave to appeal
was granted
[22]
and the judgment in the appeal was delivered on 8 October 2015
[23]
.
Importantly, the Supreme Court of Appeal (SCA) stated the following:
“
[4]
The litigation culminating in the present appeal arose, so it is
alleged, because of the failure by the first
appellant, the …SABC,
a national public broadcaster … and the second appellant, the
Minister of Communications (the
Minister), to implement remedial
action directed by the Public Protector…, in a damning report
compiled by her…”
[24]
[35]
The SCA stated:
“
[52]
The Public Protector cannot realise the constitutional purpose of her
office if other organs of State may second-guess her
findings and
ignore her recommendations. Section 182(1)(c) must accordingly
be taken to mean what it says. The Public Protector
may take remedial
action herself. She may determine the remedy and direct its
implementation. It follows that the language, history
and purpose of
s 182(1)(c) make it clear that the Constitution intends for the
Public Protector to have the power to provide
an effective remedy for
State misconduct, which includes the power to determine the remedy
and direct its implementation. All counsel
before us rightly accepted
that the Public Protector’s report, findings and remedial
measures could not be ignored.
[53]
To sum up, the office of the Public Protector, like all Chapter Nine
institutions, is a venerable one. Our constitutional compact
demands
that remedial action taken by the Public Protector should not be
ignored. State institutions are obliged to heed the principles
of
co-operative governance as prescribed by s 41 of the Constitution.
Any affected person or institution aggrieved by a finding,
decision
or action taken by the Public Protector might, in appropriate
circumstances, challenge that by way of a review application.
Absent
a review application, however, such person is not entitled to simply
ignore the findings, decision or remedial action taken
by the Public
Protector. Moreover, an individual or body affected by any finding,
decision or remedial action taken by the Public
Protector is not
entitled to embark on a parallel investigation process to that of the
Public Protector, and adopt the position
that the outcome of that
parallel process trumps the findings, decision or remedial action
taken by the Public Protector. A mere
power of recommendation of the
kind suggested by the High Court appears to be more consistent with
the language of the Interim
Constitution and is neither fitting nor
effective, denudes the office of the Public Protector of any
meaningful content, and defeats
its purpose. The effect of the High
Court’s judgment is that, if the organ of State or State
official concerned simply ignores
the Public Protector’s
remedial measures, it would fall to a private litigant or the Public
Protector herself to institute
court proceedings to vindicate her
office. Before us, all the parties were agreed that a useful metaphor
for the Public Protector
was that of a watchdog. As is evident from
what is set out above, this watchdog should not be muzzled.”
[36]
Thus, it is quite clear that in 2015 already, the applicant was not
only advancing the same argument
but was also well aware of the fact
that the PP’s findings would continue to haunt him unless he
took proactive measures.
[37]
The dismissal of the appeal on 8 October 2015 by the SCA led to the
applicant and the Minister
filing applications for leave to appeal to
the Constitutional Court but in the meantime it meant that Schippers
J’s order
stood. This was to the effect that disciplinary
proceedings had to be initiated and completed in terms of his order,
and
in the meantime, the applicant was suspended on full pay.
[38]
Although the disciplinary proceedings were initiated by the SABC and
Adv Mokhari SC appointed
as disciplinary Chairperson (“the
Chairperson”), the SABC did not suspend the applicant.
The latter gave rise
to an urgent application heard by Davis J in
October 2015. Davis J handed down judgment on 27 November 2015
in which he,
inter
alia
,
set aside the applicant’s appointment as COO
[25]
which then became the subject of an application for leave to appeal
which he dismissed, and the SCA dismissed the petition.
[39]
By this stage, and with the outcome of the leave to appeal to the
Constitutional Court still
pending
[26]
,
Mokhari SC convened the disciplinary hearing on 1 December 2015.
It appears that those proceedings were ruled moot by him
as the
applicant’s appointment as COO had been set aside by Davis J.
[40]
The SABC then, rather quickly, appointed Adv Edeling as the new
Chairperson and fresh disciplinary
proceedings commenced a week later
on 8 December 2015. On 12 December 2015 he found in favour of
the applicant.
41]
In February 2016 the DA brought another application
[27]
in which it sought,
inter
alia,
a) a declarator that the SABC and its Board had failed to implement
the findings and remedial action of the PP and to declare
that they
were therefore in contempt of the SCA order insofar as that was
concerned; b) an order that the proceedings before Edeling
were
invalid and should be set aside and c) and order that the proceedings
should start afresh and that the applicant should be
suspended as COO
pending finalisation of those disciplinary proceedings. That
matter was set down on 23 May 2016 before Le
Grange J and Rogers
J.
[28]
[42]
On 17 May 2016 the SABC issued an application out of this court
[29]
claiming the following relief:
“
1.
Condoning the late filing of this review application in terms of
section 9(2)
of the
Promotion of Administrative Justice Act 3 of
2000
.
2.
Reviewing and setting aside the findings of the Public Protector
reflected in paragraph 10.1
to 10.7 of her report entitled “When
Governance and Ethics Fail” published on 17 February 2014 (“the
SABC Report”).
3.
Reviewing and setting aside the remedial action ordered by the Public
Protector in paragraph
11.3 of the SABC report…”
This
application was later withdrawn.
[43]
Then on 22 September 2016 the SABC concluded a 5-year fixed term
contract in terms of which the
applicant was appointed to the
position of Group Executive of Corporate Affairs (“GECA”)
with the same remuneration
package as he had received as COO
[30]
and on 11 October 2016 the DA issued out another application
[31]
in which it sought orders,
inter
alia
,
that a) unless and until all the negative findings against the
applicant in the PP’s report are set aside on review, the
applicant may not hold any position at all at the SABC; and b)
declaring the decision to appoint him as GECA inconsistent with
the
Constitution, invalid and unlawful and setting it aside. This
application was heard together with that set out in paragraph
41
supra
.
[44]
Judgment in the Western Cape matters was handed down on 12 December
2016 and in respect of the
two DA applications the salient part of
the orders read as follows:
44.1
in the
first application
: this order set aside the Edeling proceedings
and the new disciplinary process had to reconvene and be finalised
within the time
frames set out in the judgment. The court also
ordered that, in the event of a failure to adhere to the timeframes,
the chairperson
of the SABC had to deliver an affidavit to court to
explain the Board’s failure;
44.2
in the second application
:
inter alia
the
decision to employ the applicant as GECA was declared invalid and was
set aside and an ordered was issued that unless and until
the
negative findings in the PP’s Report are reviewed and set
aside, or unless and until the applicant is exonerated from
the said
negative findings by way of a valid disciplinary hearing, he may not
hold any position at all at the SABC.
Thus
the applicant was well-aware that his employment prospects were
limited unless he took steps or the SABC disciplinary process
was
completed in his favour.
[45]
On 19 April 2017 the applicant held a press conference during which
he had some very unflattering
things to say about the SABC Board and
its members which resulted in a fresh disciplinary process initiated
by the SABC on 20 April
2017. On 3 May 2017 the charge sheet was
prepared in respect of this incident and on 16 May 2017 the SABC then
commenced parallel,
but separate, disciplinary proceedings based on
the PP’s report and issued the charge sheet on that.
[46]
On 10 July 2017 the applicant then launched an application to compel
the SABC to institute disciplinary
proceedings per the above order.
But this application was withdrawn. As a result, the SABC then
brought a Rule 41(1)(c)
application for the costs of that
application. It was opposed by the applicant and on 21 November
2019 Sievers AJ dismissed
the Rule 41(1)(c) application.
[47]
It is common cause that on 12 July 2017 the applicant appeared before
Adv Cassim SC in respect
of charges relating to the press conference
of 19 April 2017. It is common cause that the applicant was
dismissed on 12 July
2017 pursuant to these findings. It is
common cause that the disciplinary proceedings in respect of the
charge sheet dated
16 May 2017 based on the PP Report were never
finalised as the SABC is of the view that those proceedings are moot
as the applicant
is no longer an employee and thus it is common cause
that the order granted by the Western Cape was not complied with.
[48]
Already on 4 August 2017 steps were initiated to interdict the R11
million pension pay out to
the applicant (i.e. the pension fund
application). This was followed on 5 February 2018 by the
action instituted against
the applicant by the SABC and the Special
Investigating Unit (SIU) under case number 18/04253 in the GLD, for
damages exceeding
R21 million for,
inter alia
, the fruitless
and wasteful expenditure in respect of the SABC’s increased
salary bill, the unlawful termination of staff
resulting in the
millions spent in respect of litigation and severance and settlement
packages and the unlawful R11 million “
success fee”
paid to the applicant.
[49]
As stated, the judgment in the pension fund application was handed
down on 18 January 2019 and
this application instituted on 15 October
2019.
Did the applicant
delay?
[50]
The applicant’s version regarding the delay is set out in
paragraph 31
supra
.
On his own version, he received advice at some stage after 4 August
2017 when the proceedings set out in paragraph 48 were
instituted.
His protestations that the “
reasonable
period”
only started running
after judgment was handed down in 2019 simply do not wash because, on
his own version, he was advised that
the PP’s report was his
“
biggest problem”
.
It is significant that he has failed to take this Court into his
confidence regarding when precisely he consulted with his
legal
representative as it was clear as far back as December 2016 that the
PP Report would remain a thorn in the applicant’s
side unless
he took steps to set it aside and when he was fired from the SABC, he
also knew that her remedial action had become
moot.
[51]
There is no explanation for the delay. In fact, the applicant’s
explanation does not even
cover specifics and it is unmeritorious and
unhelpful. I find that, given the facts of this matter, there has
indeed been a delay.
Should
the delay be condoned?
[32]
[52]
The applicant states that it is in the interest of justice that any
possible delay be condoned.
His case is that he has throughout,
since the PP’s report was published, been branded a pariah so
much so that he has struggled
to find employment. To add insult
to injury, the “
freezing”
of his pension fund in January 2019 has had the result that he has
been unable to fund the defence he wishes to maintain against
the
litigation against him. His argument is that, unless the
disciplinary proceedings by the PP are finalised he will have
no
recourse. His argument is that he will be able to clear his
name once this process is launched in compliance with the
order
issued in the Western Cape and he argues that any delay in bringing
the application is “…
insignificant
to the weight of the constitutional issues involved”
and that it is in the interests of justice that his application be
heard because the “…
overall
effect of stigmatization by being branded a ‘criminal’
and a ‘corrupt manager’ by the SABC and SIU
without any
due process hearing has been quite severe and has been nothing short
of constitutionally perverse”
.
[53]
His argument is, lastly, that the SABC is in contempt of the Western
Cape order as it has not
complied with its terms.
[54]
In my view, the argument cannot be sustained:
54.1 firstly, it
loses sight of the fact that he is no longer an employee of the SABC
and thus the SABC has no authority over
him whatsoever – it
cannot therefore finalise the disciplinary proceedings against him
that were instituted already on 16
May 2017;
54.2 the fact that
the SABC actually did institute those proceedings means that they
were in compliance with the order of
the Western Cape –
however, the failure to finalize that hearing is attributable solely
to the applicant’s conduct;
54.3 the applicant
has himself in several affidavits both in previous applications and
the present both admitted that his
dismissal has rendered the
disciplinary proceedings moot and then denied this – he cannot
approbate and reprobate;
54.4
his own complaint in the present application is that the 2018 GLD
action
[33]
is based on the
PP’s Report and those findings are being used as the stick to
beat him with – this being so, the applicant
will have adequate
opportunity to refute those findings once those proceedings are
underway.
[55]
In any event, there can be no doubt that, whilst the remedial actions
of the PP are binding
[34]
, her
findings are not. This is very clearly set out in the Western
Cape judgment
[35]
. Had
they been binding, the only issue with which a disciplinary body
would have been tasked would have been to hand down
an appropriate
sanction and instead of the PP ordering the SABC to take appropriate
steps to recover the amounts deemed to be fruitless
and wasteful
expenditure, she would have simply ordered him to repay those
amounts.
[56]
Furthermore, the applicant’s argument that his pension money
was withheld based on the
PP’s findings is similarly baseless –
his pension was withheld because of the claim for the repayment of
the R11 508 549.12
he took as a “
success fee”
– this he received on 12 and 13 September 2016 i.e. two years
after the PP’s Report was issued.
[57]
It has been the applicant’s stance throughout argument that it
is not for this court to
decide whether the findings of the PP are
correct. The complaint is solely that, as her remedial action has not
been implemented,
he has been prejudiced and this is the basis upon
which he seeks to set aside the Report. But if this is so, the
pending action
in the GLD will provide him an equal, if not better,
opportunity to vindicate himself – there he will be able to
present
evidence and have the opportunity to cross examine witnesses.
In my view that forum is the better one to ventilate all the issues
between the parties. Thus the applicant’s rights are more than
adequately protected.
[58]
As a further consideration of whether the applicant’s delay
should be overlooked, it is
also important to consider the effect
that his delay has had on all the parties to the application and the
fact that evidence has,
through the passage of time, gone missing.
This is clearly demonstrated by the allegations made by the PP in the
answering affidavit
which detail that, given the passage of time
since publication of the PP’s Report, the storage capacity
issues which have
necessitated the records being moved off-site and
then back to the PP’s office, the record being delivered to the
PP’s
attorneys because of the applicant’s review
application
[36]
and its
collection upon termination of those proceedings, and the loss of
documents stored on old laptops which have been replaced,
the PP
cannot guarantee that the delivered record constitutes the entire
record (despite an extensive search being undertaken).
[59]
The considerations set out
supra
are of importance as
“
The
passage of a considerable length of time may weaken the ability of a
court to assess an instance of unlawfulness on the facts.
The clarity
and accuracy of a decision makers’ memories are bound to
decline with time. Documents and evidence may be lost,
or destroyed
when no longer required to be kept in archives. Thus the very purpose
of a court undertaking the review is potentially
undermined where, at
the cause of a lengthy delay, its ability to evaluate fully an
allegation of illegality is impaired.”
[37]
[60]
Given all of the above, I am of the view that it is not in the
interests of justice to overlook
the considerable delay in
instituting these proceedings. In my view, given that the applicant
will have more than sufficient opportunity
to vindicate himself in
the action, and given the undue delay in instituting the review
sought, condonation must be refused.
The declarators and
contempt
[61]
It is trite that a Court has a discretion whether or not to grant
declaratory relief
[38]
:
“
[80]
Returning to the requirements, the Supreme Court of Appeal in
Cordiant applied a two-stage approach in considering whether
or not
to grant declaratory relief: (i) the court must be satisfied that the
applicant has an interest in an existing, future or
contingent right
or obligation; and (ii) the court may then exercise its discretion
either to refuse or grant the order sought.
Declaratory orders are
discretionary and flexible as this court pointed out in Rail
Commuters:
'It is quite clear
that before it makes a declaratory order a court must consider all
the relevant circumstances. A declaratory
order is a flexible remedy
which can assist in clarifying legal and constitutional obligations
in a manner which promotes the protection
and enforcement of our
Constitution and its values. Declaratory orders, of course, may be
accompanied by other forms of relief,
such as mandatory or
prohibitory orders, but they may also stand on their own. In
considering whether it is desirable to order
mandatory or prohibitory
relief in addition to the declarator, a court will consider all the
relevant circumstances.'
[81] The parties have
not taken issue with this two-staged approach except to the extent
that the Commission is of the view that
no live dispute existed
between the parties and therefore the Tribunal should not have
exercised its discretion to grant a declarator.
[82]
The absence of a live dispute may militate against the granting of a
declaratory order. This is, however, not a hard-and-fast
rule. In Ex
parte Nell the Appellate Division held that an existing dispute was
not a prerequisite for the granting of a declaratory
order.
This, however, does not mean that the court does not retain its
discretion to refuse to grant a declaratory order
in the absence of a
live dispute. In Oakbay the High Court followed a similar approach
and pointed out that a court is not precluded
from granting a
declaratory order where there exists uncertainty about a legal
question and where it is more practical for a court
to decide the
issue 'without there being an already existing dispute'.”
[62]
The question is whether any, or all, of these prayers should be
granted.
[63]
Contempt has been defined as the deliberate, intentional, refusal of
failure to comply with a
court order.
[39]
[64]
In
Fakie
NO v CCII Systems (Pty) Ltd
[40]
Cameron J set out the requirements thus:
“
[9]
The test for when disobedience of a civil order constitutes contempt
has come to be stated as whether the breach was committed
'deliberately and mala fide'. A deliberate disregard is not
enough, since the non-complier may genuinely, albeit mistakenly,
believe him or herself entitled to act in the way claimed to
constitute the contempt. In such a case, good faith avoids the
infraction.
Even a refusal to comply that is objectively
unreasonable may be bona fide (though unreasonableness could evidence
lack of good
faith).
[10]
These requirements - that the refusal to obey should be both wilful
and mala fide, and that unreasonable non-compliance, provided
it is
bona fide, does not constitute contempt - accord with the broader
definition of the crime, of which non-compliance with civil
orders is
a manifestation. They show that the offence is committed not by mere
disregard of a court order, but by the deliberate
and intentional
violation of the court's dignity, repute or authority that this
evinces. Honest belief that non-compliance
is justified or
proper is incompatible with that intent.”
[65]
In this case, as has been stated, the SABC
did
commence disciplinary proceedings – they were not finalized
because of the applicant’s subsequent conduct
[41]
which resulted in his dismissal. The minute he was dismissed,
the employer/employee relationship that is at the heart of
the
disciplinary hearing terminated thus rendering those proceedings moot
(which he admits in several Court proceedings).
To continue
with those proceedings has become impossible as a result.
[42]
[66]
Thus, in my view, the applicant is unable to prove the two essential
elements of contempt i.e.
that the SABC has wilfully and mala fide
failed to comply with the Western Cape order.
[67]
I am of the view that the applicant has not made out a case for any
of the other relief sought.
The reserved costs of
21 April 2021
68]
There was much finger-pointing by all the parties as to who was to
blame for the matter
being postponed on 21 April 2021. The
postponement was triggered by the filing of the supplementary record
on 10 March 2021 and
the filing of the PP’s answering
affidavit. These events triggered a ream of subsequent events which
are detailed in paragraphs
7 and 8
supra
. I am of the view
that were it not for the late filing of the supplementary record and
the PP’s answering affidavit, the
matter would have been ready
to proceed on 21 April 2021. I am therefore of the view that the PP
must pay these wasted costs.
Costs
[69]
I am of the view that costs should follow the result. The
matter is of sufficient complexity
to warrant the employment of two
counsel and all the parties have employed both senior and junior
counsel, thus these costs are
warranted.
Order
[70]
Thus, the order I made is the following:
The application is
dismissed with costs, such costs to include the costs consequent upon
the employment of two counsel of which
one is a senior counsel, save
that the first respondent is ordered to pay the costs occasioned by
the postponement on 21 April
2021.
NEUKIRCHER J
JUDGE OF THE HIGH
COURT
GAUTENG DIVISION,
PRETORIA
Delivered: This
judgment was prepared and authored by the Judge whose name is
reflected and is handed down electronically
by circulation to the
parties/their legal representatives by email and by uploading it to
the electronic file of this matter on
CaseLines. The date for
hand-down is deemed to be 12 August 2022.
For the applicant:
Adv T Masuku SC, with him Adv MPD Chabedi
Instructed by:
Bokwa
Attorneys
For the 1
st
and 4
th
respondents:
Adv N Maenetje SC, with
him Adv P Cirone
Instructed by:
Werksmans
Attorneys
For the 2
nd
and 3
rd
respondents:
Adv F Nalane SC, with him Adv
S Qagana
Instructed by:
Mogaswa
and Associates Inc
Date of hearing:
4
May 2022
[1]
Who
is the first respondent
[2]
The
SABC is the second respondent in these proceedings
[3]
On
10 March 2021
[4]
This
was accompanied by an application for condonation and was filed on 9
April 2021
[5]
In
terms of Rule 16
[6]
Who
are acting for SIU
[7]
2005
(4) SA 199
(SCA) paras 14-16
[8]
2010
(3) SA 31 (KZP)
[9]
In
Eskom v Soweto City Council
1992 (2) SA 703
(W) referred to with
approval in Ganes and Another v Telecom Namibia Ltd
2004 (3) SA 615
(SCA) at 624I - 625A
[10]
I.e.
more than 4 months later
[11]
Helen
Suzman Foundation v Judicial Service Commission
2018 (4) SA 1
(CC)
[12]
2012
(3) SA 486 (SCA)
[13]
One
T M Sithole
[14]
Most
of which will be referred to during the course of this judgment
[15]
Act
3 of 2000
[16]
2017(6)
SA 360 (SCA) at paragraph 18
[17]
See
also
Altech
Radio Holdings (Pty) Ltd v City of Tshwane Metropolitan Municipality
2012(3) SA 25 (SCA) at para 16
[18]
PAJA
Section 7(1)
[19]
Khumalo
and Another v MEC for Education, Kwazulu-Natal
2014 (5) SA 579
(CC)
[20]
2014(5)
SA 579 (CC)
[21]
SABC
SOC Ltd v SABC Pension Fund and Others
2019(4)
SA 608 (GJ)
[22]
Democratic
Alliance v South African Broadcasting Corporation Soc Ltd
2015 JDR 0948 (WCC)
[23]
South
African Broadcasting Corporation Soc Ltd and Others v Democratic
Alliance and Others
2016
(2) SA 522 (SCA)
[24]
This
is exactly the same ground traversed in the present proceedings.
[25]
The
remainder of the order is not relevant to these proceedings
[26]
Which
it appears was not proceeded with
[27]
Under
case no. 3104/2016 – “
the
first application”
[28]
Democratic
Alliance v South African Broadcasting Corporation SOC Ltd ("SABC")
2016 JDR 2330 (WCC)
[29]
Under
case number 39679/2016
[30]
The
proverbial rose by any other name…
[31]
The
second application under case number 18107/2016
[32]
Buffalo
City supra
at
paragraph 53
[33]
Paragraph
48
[34]
Economic
Freedom Fighters v Speaker, National Assembly and Others
2016(3)
SA 580 (CC) at paragraph 71
[35]
At
paragraphs 104 to 114
[36]
As
set out in paragraph 31.1
[37]
Khumalo
v MEC for Education: KwaZulu Natal
2014 (3) BCLR 333
(CC) at para 48
[38]
Competition
Commission of South Africa v Hosken Consolidated Investments Ltd and
Another
2019(3)
SA 1 (CC)
[39]
Holtz
v Douglas and Associates (OFS) CC
1991(2)
SA 797 (O) at 502C;
Consolidated
Fish Distributors (Pty) Ltd v Sive
1968(2) SA 517 (C) at 522 B-C
[40]
2006(4)
SA 326 (SCA)
[41]
i.e.
after the Western Cape order
[42]
Coetzee
v Government of the Republic of South Africa; Matiso v Commanding
Officer, Port Elizabeth Prison
[1995] ZACC 7
;
1995
(4) SA 631
(CC)
sino noindex
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