Case Law[2023] ZAWCHC 191South Africa
Samuels and Others v Juries (Born Samuels) and Others (2508/2022) [2023] ZAWCHC 191 (28 July 2023)
High Court of South Africa (Western Cape Division)
28 July 2023
Judgment
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# South Africa: Western Cape High Court, Cape Town
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## Samuels and Others v Juries (Born Samuels) and Others (2508/2022) [2023] ZAWCHC 191 (28 July 2023)
Samuels and Others v Juries (Born Samuels) and Others (2508/2022) [2023] ZAWCHC 191 (28 July 2023)
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sino date 28 July 2023
SAFLII
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Certain
personal/private details of parties or witnesses have been
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SAFLII
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Republic of South
Africa
IN THE HIGH COURT OF
SOUTH AFRICA
(WESTERN CAPE
DIVISION, CAPE TOWN)
Case No. 2508/2022
Before: The Hon. Ms
Acting Justice Hofmeyr
Date of hearing: 24 July
2023
Date of judgment: 28 July
2023
In
the matter between:
MAUREEN
SYLVIA SAMUELS
First
Applicant
ANDRE
NEIL SAMUELS
Second
Applicant
BRENT
SAMUELS
Third
Applicant
COLLEEN
BROWN (born SAMUELS)
Fourth
Applicant
And
JOLENE
JURIES (born SAMUELS)
First
Respondent
MICHELLE
DIANE BENSON (born SAMUELS)
Second
Respondent
THE
MASTER OF THE HIGH COURT
Third
Respondent
JUDGMENT
HOFMEYR AJ:
1
This is an application under
section 2(3)
of the
Wills Act 7
of 1953
for an order directing the Master to accept a document as a
will despite non-compliance with the formalities in
section 2(1)
of
the
Wills Act.
2
The
document in question purports to be the joint will of the
first applicant and her late husband, the deceased. They were married
in community of property.
3
The document was signed by the first applicant and bears the
thumbprint of the deceased. When the deceased’s thumbprint was
placed on the document, there was no commissioner of oaths present.
The document was signed by two witnesses but not at the same
time. It
therefore did not comply with the requirements for a valid will under
section 2(1)
of the
Wills Act.
4
The deceased passed away on 7 December 2010. In June 2021, the
Master of the High Court refused to accept the will because it did
not comply with the provisions of
section 2(1)
of the
Wills Act. As
a
result, the first applicant, supported by three of her five children
(the second to fourth applicants) brought an application
under
section 2(3)
of the
Wills Act for
the court to direct the Master to
accept the document as the deceased’s will. I shall refer to
the document as “the
candidate will”.
5
The order is opposed by one of the first
applicant’s daughters – Ms Jolene Juries – the
first respondent. The
first respondent contends that the candidate
will was neither executed by the deceased nor reflects his
intentions. The first respondent
also questions whether the deceased
had the necessary testamentary capacity to execute the will.
6
In practical terms, the difference between
the parties lies in the fact that if the applicants succeed and the
Master is directed
to accept the candidate will as the will, then the
first applicant, as the surviving spouse of the deceased, will alone
inherit
the deceased’s share of the estate. If applicants are
unsuccessful, there will be no valid will, and the estate will
devolve
in terms of the rules of intestate succession.
7
Section 2(3)
of the
Wills Act reads
as
follows:
“
If
a court is satisfied that a document or the amendment of a document
drafted or executed by a person who has died since the drafting
or
execution thereof, was intended to be his will or an amendment of his
will, the court shall order the Master to accept that
document, or
that document as amended, for the purposes of the Administration of
Estates Act, 1965 (Act No. 66 of 1965), as a will,
although it does
not comply with all the formalities for the execution or amendment of
wills referred to in subsection (1)
.”
8
The
section empowers the courts to direct the Master to accept a document
that would otherwise not pass muster as a will due to
a technical
flaw in its attestation. The Supreme Court of Appeal has described
the power given to the courts under the section
as a power to condone
non-compliance with the formalities set out in section 2(1).
[1]
9
In order to succeed in an application under
section 2(3), the applicants must establish two things: first, that
the candidate will
was either drafted or executed by the deceased
and, secondly, that the deceased intended it to be his will.
10
It is common cause in this matter that the
candidate will was not drafted by the deceased. So in order to
succeed, the applicants
must show that the candidate will was
executed by the deceased and that he intended it to be his will.
The facts
11
In late 2006, a few months before the
candidate will was prepared, the deceased suffered a stroke. There is
some debate on the papers
about the full impact of the stroke on the
deceased but it is common cause between the parties that it left him,
at a minimum,
without the ability to read, write or speak. The
applicants nonetheless say that he was capable of understanding when
spoken to
and of communicating in a rudimentary manner.
12
The preparation of the candidate will arose
as follows.
13
After the deceased suffered his stroke in
late 2006, the second applicant, who is the deceased’s and the
first applicant’s
son, returned to South Africa from abroad.
During his stay, he found a copy of a handwritten draft will that had
been prepared
by the deceased and the first applicant in May 2003.
This 2003 document is described by the applicants themselves as only
a “draft
will”. They did not sign or execute the draft
will in 2003 nor at any time prior to February 2007. When the second
applicant
found the handwritten draft will, he realised that it had
not been signed and therefore had a typed version of the draft will
prepared
so that it could be properly signed and executed. That typed
version of the draft will is the candidate will in these proceedings.
14
The first applicant and the deceased signed
the candidate will on 14 February 2007. What, precisely, happened on
that day is of
cardinal importance in the case so I set out exactly
how the first applicant describes those events, in her own words, in
the founding
affidavit:
“
[The
candidate will] is substantially similar to the earlier handwritten
draft save that some headings were omitted and there were
small
changes to the bequests of certain movables. The handwritten
amendments made to the bequests in paragraphs 4.4, 4.6 and 4.9
were
made at the request of the testator and me. The handwriting is that
of the second applicant.
This will, with the
handwritten amendments, was executed on 14 February 2007 by signature
by myself and by the testator by his right
hand thumb print being
affixed to both pages.
…
I
emphasise that I was present and personally witnesses the affixing of
the [deceased’s] thumbprint to the first and second
pages of
the will and the signature by my brother as a witness on the second
page of the will. Second applicant was also present
and witnessed the
execution of the will
”
.
15
This is the sum total of the description of
the events on the day that the candidate will was executed.
Strikingly missing from
this statement of the events of 14 February
2007 is how the contents of the typed document were communicated to
the deceased and
how it was that he confirmed his agreement with its
contents. This type of explanation is important not only because, by
that stage,
the deceased was unable to read, write or speak but also
because the typed version of the will differed in some material
respects
from the handwritten draft will that had been prepared in
2003.
16
These differences are particularly
important because the first applicant, herself, appears not to have
fully appreciated the differences.
When the first applicant referred
to the differences in her founding affidavit, she described them as
“small” and relating
to headings and movable property.
However, as the first respondent later pointed out, there was at
least one material difference
between the old 2003 handwritten draft
will and the candidate will. The handwritten draft will of 2003 made
no reference to a second
immovable property at 3[…] L[…]
Crescent. But under the candidate will, that immovable property was
to be left to
the second applicant. This change was a material
addition to the candidate will. The first applicant seems either to
have been
unaware of the change or not to have appreciated its
significance because she described the changes as “small”
and
relating only to “movables”.
17
The candidate will also included a new
provision that the cash and policies in the first applicant and
deceased’s investment
portfolio would be cashed in and split in
equal amounts between “our 5 siblings”. This provision
did not appear in
the 2003 handwritten draft will. No explanation of
its inclusion in the candidate will is provided in the founding
affidavit. Moreover,
no explanation is provided for why the candidate
will referred to “5 siblings” when it was presumably the
5
children
who
were going to inherit in equal proportions from the cash and policies
of their parents.
18
It is against these facts that I must
determine whether the candidate will was executed by the deceased and
whether he intended
it to be his will.
Executed by the
deceased
19
It is common cause that the deceased did
not draft the candidate will. The execution of the document,
according to the applicants,
involved the affixing of the deceased’s
thumbprint to both pages of the document.
20
Section 2(1)(a)(v)
of the
Wills Act sets
out the formal requirements that apply when a testator signs a will
by affixing a mark to the will. The section provides, amongst
other
things, that the affixing of the mark must be done in the presence of
a commissioner of oaths who is satisfied as to the
identity of the
testator and that the will so signed is the will of the testator.
21
It is common cause between the parties that
there was no commissioner of oaths present when the deceased affixed
his thumbprint
to the candidate will. The relevant legal question is
whether the absence of a commissioner of oaths means that the
candidate will
was not executed by the deceased for the purposes of
section 2(3)
of the
Wills Act.
22
The
first respondent says that the absence
of the commissioner of oaths is fatal. The argument was that
section
2(1)(a)(v)
of the Wills Act sets very specific requirements for
execution of a will by the making of a mark and unless those
requirements
are met, the document has not been executed for the
purposes of
section 2(3)
of the
Wills Act. In
support of this
proposition, the first respondent’s counsel, Ms Gabriel,
referred to a number of cases dealing with the requirements
of
section 2(1)(a)(v)
of the
Wills Act. However
, those cases are of
limited assistance because they do not address the question that
arises in this case, namely, whether “executed”
under
section 2(3)
of the
Wills Act is
broad
enough to cover a form of execution that does not meet to
requirements for signing set in
section 2(1)(a)(v).
0in; line-height: 150%">
23
It
is clear that the purpose behind
section 2(3)
of the
Wills Act is
ensure that a failure to comply with the formalities prescribed by
the Act should not frustrate or defeat the genuine intention
of
testators.
[2]
As
a result, the legislature gave the courts the power to find that a
document, which does not meet the formal requirements for
validity,
can nonetheless be treated as a valid will and to direct that the
Master accept the will as such.
24
However, the logical end point of the first
respondent’s argument is that a will cannot be found to have
been “executed”
for the purposes of section 2(3) unless
the formal requirements for the affixing of a mark under section
2(1)(a)(v) are met. In
other words, if one is dealing with a document
to which a testator’s mark was affixed then, unless a
commissioner of oaths
was present when that took place and followed
the requirements of
section 2(1)(a)(v)
of the
Wills Act, the
document
may not be accepted as a will under section 2(3) of the Act.
25
Adopting such an approach would mean that
the protection afforded by section 2(3) does not apply to when the
particular instance
of non-compliance relates to signing by the
making of a mark. If the first respondent’s argument is
correct, then, while
the court can condone non-compliance with the
other subsections of 2(1), it cannot condone non-compliance with the
requirements
under section 2(1)(a)(v) for signing by affixing a mark
to a will.
26
There is, however, no textual support for
this interpretation of the section. If the legislature had wanted to
limit the section
2(3) condonation power so that it did not apply to
instances of non-compliance with
section 2(1)(a)(v)
of the
Wills Act,
then
it would have been a simple matter to say so expressly. But that
is not what the section says. Instead, the section says that a
court
may order that the Master accept a document “although it does
not comply with all the requirements for the execution
… of
wills referred to in subsection (1)”.
Section 2(3)
is neutral
as to which of the
section 2(1)
requirements are not met. It does not
specify that compliance with some of
section 2(1)
’s
requirements remain mandatory.
27
There
is a further factual consideration of importance in this case. The
cases dealing with
section 2(1)(a)(v)
of the
Wills Act explain
that
the purpose behind the formality of having a commissioner of oaths
present when the mark is affixed to the will is to “secure
evidence to establish the identity of the testator and show that the
will was the will of the testator who signed the will by the
making
of a mark”.
[3]
28
In this case, although there was no
commissioner of oaths present, there were at least three people,
other than the deceased, present
with him when he affixed his
thumbprint to the candidate will. They were his wife (the first
applicant), his son (the second applicant)
and the first applicant’s
friend, who has since passed away. Both the first and second
applicants provided affidavits to
the court confirming that the
deceased affixed his thumbprint to the two pages of the candidate
will in their presence. They knew
the deceased well so there could be
no dispute as to his identity when he applied his thumbprint. There
was also no suggestion
on the papers that the deceased was pressured
into placing his thumbprint on the page or did so under some form of
duress. This
means that the purpose that is served by requiring a
commissioner of oaths to be present when a testator signs a will by
affixing
his mark was achieved by other means in this case.
29
These facts tend to support the conclusion
that the deceased did execute the candidate will for the purposes of
section 2(3)
of the
Wills Act. However
, I do not need to make a final
finding on this issue because, even if the deceased did execute the
will for the purposes of
section 2(3)
, in order for the applicants to
succeed in this application, they need to show that the deceased
intended the candidate will to
be his will. On this latter question,
I am not satisfied for the reasons that follow.
Intended to be the
deceased’s will
30
In
van
Wetten and Another v Bosch and Others
2004
(1) SA 348
(SCA), the Supreme Court of Appeal explained that the
question whether a document was intended by the deceased to be his
will must
be answered by examining the document itself, as well as
the context of the surrounding circumstances.
[4]
31
A
Full Bench of this Court has also held that the party alleging that
the requirements of
section 2(3)
were met must show “unequivocally
that the intention existed concurrently with the execution or
drafting of the document”.
[5]
In
The
Law of Succession
,
the learned authors make the point that given the nature of an
application under
section 2(3)
of the
Wills Act, “the
parties
must exercise utmost good faith and place all relevant facts evidence
before the court”.
[6]
This
heightened standard is appropriate in the context of
section 2(3)
applications because those who are before the court are purporting to
speak for someone who is not there, namely, the deceased.
In those
circumstances, as with others where a party is not before the court
such
ex
parte
applications,
[7]
it
is appropriate that the standard of the utmost good faith is observed
and that serious attention is given to placing all the
relevant facts
before the court.
32
It is in relation to the latter aspect –
the requirement to place all the relevant facts before the court –
that I find
the case of the applicants wanting.
33
When the founding papers were prepared, the
applicants knew that they were dealing with a situation in which the
deceased had suffered
a stroke a few months before he affixed his
thumbprint to the candidate will. They knew that, as a result of the
stroke, he could
not read, write or speak. One of the most obvious
matters that the founding papers needed to address was how the
contents of the
candidate will were conveyed to the deceased on 14
February 2007 and how he responded. They were required to take care
in explaining
these facts to the court so that it could be satisfied
that the deceased intended the candidate will to be his will.
34
They also knew that the candidate will
differed from the handwritten draft of their joint will that had been
prepared at a time
before the deceased had suffered his stroke. They
therefore needed to deal with those differences in a candid manner.
35
However, on both of these pivotal aspects,
the founding papers are deficient. No explanation at all was provided
of how the contents
of the candidate will were communicated to the
deceased when he could not read, speak or write, nor how he
communicated his agreement
with its terms. The treatment in the
founding papers of the differences between the 2003 handwritten draft
of the will and the
candidate will raised more questions than it
answered because the first applicant’s own explanation of those
differences
was wrong. She said that the differences were small and
related to movable property, when the differences were material and
related
to immovable property.
36
When I put these difficulties with the
applicants’ case to Mr Coston, who appeared for the applicants,
he encouraged me to
have regard to the facts set out in the replying
affidavit where the first applicant said that the contents of the
candidate will
were read out to the deceased and he communicated his
agreement “by nodding and showing a thumbs up”.
37
It
is trite that an applicant must make out a case for relief in the
founding papers.
[8]
On
a strict application of that rule, what was said in reply could not
save the applicants’ case. However, I do not need to
apply the
rule strictly to find the applicants’ case inadequate. This is
because their own treatment of these pertinent issues
in reply still
fails to meet the requirement of complete and fair disclosure. I
mention only a few examples:
37.1
There is no explanation in the reply of why
the fact that the candidate will was read out to the deceased was not
included in the
founding papers. Given the importance of this issue
in the proceedings, some explanation ought to have been forthcoming.
37.2
There is no explanation of whether the
deceased was given time to indicate his agreement with each pertinent
provision of the candidate
will or whether his agreement was only
sought at the end of it having been read out. In the context of a
person who had severe
difficulties communicating, it would be
relevant for the court to know whether he had been given a proper
opportunity to confirm
his agreement in respect of each pertinent
aspect of the candidate will. But the papers are silent on this.
37.3
There is also no explanation of how the
deceased might have communicated his disagreement with a provision of
the candidate will.
If he was not given time to do so and only asked
at the end of the process whether he agreed, there is no way of
knowing how much
of what was read to him he agreed with.
37.4
There is no explanation of the first
applicant’s own error in describing the changes from the 2003
handwritten draft will
to the candidate will. The first applicant
made a material error in her founding papers when she said the only
changes that were
made were small ones affecting movable property.
And yet, when the addition of an entirely new immovable property was
pointed out
in the answering affidavit of the first respondent, the
applicants failed to explain to the court how the first applicant
made
this error when she first described the contents of the
candidate will. Without a frank explanation, the court is left
wondering
whether the first applicant, let alone the deceased, fully
appreciated the changes that had been made in the candidate will.
37.5
There is no explanation at all of why the
first applicant, or the deceased for that matter, did not pick up
that their children
had been described as their “siblings”
in the candidate will.
38
In order to grant relief under
section 2(3)
of the
Wills Act, I
must be satisfied that the deceased intended the
candidate will to be his will. But the discrepancies I have listed
above are too
many and too material to be overlooked. More was
required of the applicants to give the court comfort that the
candidate will reflected
the intentions of the deceased. They did not
discharge their burden.
39
Despite the fact that I raised some of
these difficulties with Mr Coston during the hearing, he confirmed
that the applicants would
not seek a referral to oral evidence or to
trial. His instructions were that the applicants wanted finality in
the matter.
40
In the circumstances, the application must
fail.
41
In the light of this finding, it is not
necessary for me to deal with the first respondent’s further
argument that the deceased
lacked testamentary capacity. The issue
does not arise because the candidate will does not satisfy the
requirements of
section 2(3)
of the
Wills Act to
be accepted as the
deceased’s will. As a result, there is no will in respect of
which the question of the deceased’s
testamentary capacity can
be raised.
42
On the issue of costs, both parties
emphasised that the matter of costs was in my discretion. As is
customary in cases involving
the validity of wills, in my view, the
fairest order would be that all the costs be paid by the estate on an
attorney and client
scale.
Order
43
I therefore make the following order:
(a)
The application is dismissed.
(b)
All the costs of the applicants and the
first respondent are to be paid by the estate on the attorney and
client scale.
K HOFMEYR
ACTING JUDGE OF THE
HIGH COURT
APPEARANCES
Applicants'
counsel:
Adv.
P Coston
Applicants'
attorneys:
Brunsdon
Attorneys per Mr John van Onselen
First
Respondent's counsel:
Adv.
P Gabriel
Respondent's
attorneys:
Boshoff
Incorporated per Ms Mariska Kuit
[1]
Grobler
v Master of the High Court
2019 JDR 1772 (SCA) para 13
[2]
van
der Merwe v The Master
2010
(6) SA 544
(SCA) para 14
[3]
In
re Jennett NO
1976 (1) SA 580 (A) 582H
[4]
van
Wetten and Another v Bosch and Others
2004
(1) SA 348
(SCA)
para
16
[5]
Westerhuis
and Another v Westerhuis and Others
2018
JDR 0951 (WCC) para 50
[6]
Hofmeyr
& Paleker
The
Law of Succession in South Africa
3
rd
ed (2023) 108 footnote 139
[7]
Recycling
and Economic Development Initiative of South Africa NPC v Minister
of Environmental Affairs
2019
(3) SA 251
(SCA)
para
84
[8]
Airports
Co SA Ltd v Spain NNO and Others
2021 (1) SA 97
(KZD) para 27
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