Case Law[2023] ZAWCHC 256South Africa
United Congregational Church of South Africa (Oudtshoorn) v Minister of the Department of Agriculture and Land Reform and Rural Development and Others (156/2022) [2023] ZAWCHC 256 (12 October 2023)
Judgment
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# South Africa: Western Cape High Court, Cape Town
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## United Congregational Church of South Africa (Oudtshoorn) v Minister of the Department of Agriculture and Land Reform and Rural Development and Others (156/2022) [2023] ZAWCHC 256 (12 October 2023)
United Congregational Church of South Africa (Oudtshoorn) v Minister of the Department of Agriculture and Land Reform and Rural Development and Others (156/2022) [2023] ZAWCHC 256 (12 October 2023)
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sino date 12 October 2023
REPUBLIC OF SOUTH
AFRICA
IN THE HIGH COURT OF
SOUTH AFRICA
(EASTERN CIRCUIT LOCAL
DIVISION, THEMBALETHU)
CASE NUMBER: 156 /
2022
In
the application for leave to intervene
MATJESRIVIER
INDEPENDENTE KERK
INTERVENING
PARTY
In
re:
UNITED
CONGREGATIONAL CHURCH OF
SOUTH
AFRICA (OUDTSHOORN)
APPLICANT
and
THE
MINISTER OF THE DEPARTMENT OF
AGRICULTURE
AND LAND REFORM AND
RURAL
DEVELOPMENT
FIRST
RESPONDENT
THE
DIRECTOR GENERAL OF THE DEPARTMENT
OF
AGRICULTURE LAND REFORM AND
RURAL
DEVELOPMENT
SECOND
RESPONDENT
SYLVIA
FREDIRIKA CARELSE N.O.
THIRD
RESPONDENT
JEREMIA
JOHANNES BARNARD N.O.
FOURTH
RESPONDENT
THE
REGISTRAR OF DEEDS, CAPE TOWN
FIFTH
RESPONDENT
Coram:
Wille, J
Heard:
31 August 2023
Delivered:
12 October 2023
JUDGMENT
WILLE,
J:
Introduction
[1]
This is an unfortunate dispute between two church groups about the
ownership of an immovable property.
[1]
The
intervening party's application in these proceedings is predicated on
their alleged direct and substantial interest in the matter.
This
matter concerns, among other things, an examination of
the
fundamental characteristics of a ‘congregational’
church.
[2]
The churches’
approach to property ownership is grounded in the principle of local
autonomy. The ownership of
immovable assets, encompassing land
and related resources, firmly resides under the jurisdiction of each
respective local congregation.
[2]
Central to this ethos is the emphasis on self-governance on a local
level. This extends
into property matters, where each
congregation rules supreme over their assets. This bolsters a
sense of communal responsibility
and ownership. Congregations
are able to make decisions that best align with their contextual
demands whilst nurturing a
strong sense of identity within the
specific congregation. The first, second and fifth respondents
take no part in the opposition
of this application.
History
[3]
Initially, a missionary outpost was established on the property under
the umbrella of a mission
society. This was during the
nineteenth century.
[3]
During
this time, a ‘planter church’ with nineteen other
congregants purchased certain farmland. After
that,
approximately thirty congregants were established on the property.
As a result, this extended congregation ‘owned’
the
property for religious purposes. Several congregations were
then encouraged to become independent, which resulted in
the
subsequent establishment of the first three independent churches.
[4]
[4]
As a result, certain church buildings were built, and the
construction was done with the assistance
of the three independent
churches. Some decades later, the property was donated to the
intervening party. The three
independent churches then
amalgamated as much as they joined an umbrella association.
[5]
During the early twentieth century, the building on the
property was extended. Following this and without the knowledge
of the intervening party, the property's title deed was endorsed with
a name change.
[6]
It is a
matter of common cause that the said name change endorsement
influenced no status rights concerning the property.
[5]
Ultimately, this property was dealt with as a ‘designated’
property.
[7]
An official
was appointed to investigate various of these designated
properties.
[8]
The
property was one of these defined properties. The applicant did
not object to the property becoming part of these
‘designated’
properties. Thus, following the official’s investigations
and findings, the property was transferred
to a trust controlled by
the third and fourth respondents.
[6]
In the interim,
the intervening
party had no objection to the current status registration being
maintained and regarded the registration of the
property into the
name of the trust as beneficial to its religious activities and a
benefit to this particular community. It
is so that there is no
room to dispute that two distinct congregations existed as far back
as seventeenth century and that they
regrettably now have competing
interests. Also, they have their own and share a common
history.
Overview
[7]
It is argued that the acceptance of these peculiar principles is
strategically aligned with the
historical records of both the
intervening party and the applicant. Both have historically adhered
to these principles for many
decades. The historical records
reflect the genesis of the intervening party’s congregation,
which aligned itself with
various other organisations while
maintaining its autonomy while steadfastly adhering to congregational
church principles.
The donation of the property was designated
explicitly for the intervening party. Also, the property has
served the intervening
party and the community also for many decades.
[8]
By contrast, the applicants say that they own this property because
they do not accept the status
of the intervening party as a
congregation and because they claim ownership by way of specific
legislative intervention.
[9]
They also say that the transfer of the property to the third
and fourth respondents was erroneously executed. This
is then
the core dispute between the parties through the process and medium
of motion proceedings.
Consideration
[9]
The historical records undoubtedly confirm the existence of the
intervening party, who was the
recipient of the property through an
initial donation. Further, it seems that the enshrined
principles of a congregational
church support the independent
existence of the intervening party. Also, the name change
endorsement did not dilute the property
rights of the intervening
party as vested in the trust. These are all issues that bear
further scrutiny.
The
applicant’s case is that the applicant has a right to own the
property. Thus, the property should never have been
declared a
designated property.
[10]
Following this, the argument is that the property's registration into
the trust's name was in error and violated
the applicant’s
rights. The applicant also argues that the official's appointment was
suspect and his actions concerning
the property are to be reviewed
and set aside. These allegations and submissions must be viewed
against the canvass of the
status and existence of the intervening
party from a historical perspective also considering the initial
donation.
[11]
It is apparent from the deed of donation that the applicant was not a
party to the donation agreement.
Thus, the legal argument is
that the applicant is accordingly barred from enforcing any rights
stemming from the donation agreement
by applying principles in
connection with the doctrine of privity of contract. In
summary, the relief sought by the applicant
is to rectify the alleged
erroneous property transfer into the name of the trust controlled by
the third and fourth respondents.
The alleged error has genesis
in the process initiated to declare the property a designated
property to attempt to rectify
and settle disputes related to the
property.
[10]
Significantly,
in this case, no appeal or review is pending regarding the decision
rendered by the designated official.
Thus, to protect and
preserve adherence to the doctrine of judicial overreach, this court
cannot deal with the validity or otherwise
of the decision made by
the said official, irrespective of whether the decision was right or
wrong.
[12]
By elaboration,
the doctrine of
separation of powers dictates that courts must be cautious about
interfering with the decisions of appointed bodies
to perform tasks
that have been legislatively empowered to deal with matters that fall
beyond the jurisdiction of the courts.
Accordingly,
the decision to designate the property still stands. Thus, the
property would still be considered ‘designated’
per the
decision rendered, and a defined and specified process would need to
be followed concerning the property to declare it
to be an
‘undesignated’ property.
[13]
Put another way, even an invalid administrative action cannot be
ignored. It is still valid and effective
until a competent
court sets it aside.
[11]
The
fact that ownership was disputed before the property's designation
does not change the status position, as the designation
of the
property would still render the transfer of ownership from the
previous owner valid.
[14]
To counter this argument, the applicant relies heavily on an official
departmental letter, which refers to
the alleged flawed appointment
of the official concerned and the erroneous transfer of the property.
Significantly, the author
of this official letter refers to the
appointment of a new official with a new detailed term of reference
concerning the property.
[15]
This court is not able to perform the functions of the appointed
official. Thus, the relief sought
by the applicant must be
considered against the canvass of the status and principles that
apply to a congregational church and
the community that makes up the
ethos and spirit of that congregational church.
The
legal position regarding final relief in motion proceedings is that
the court may only grant final relief if the facts alleged
by the
applicants (which are admitted by the respondents in the answering
affidavits), together with the facts alleged by the respondents,
justify granting such final relief.
[12]
These proceedings were not designed to deal with the factual disputes
that arose in this application. The facts,
as
stated by the opposing respondents and the facts alleged by the
applicant (admitted by the opposing respondents), did not justify
the
order sought.
[13]
I was also not satisfied that the opposing respondents’
version consisted of bald or uncreditworthy denials, raised
fictitious disputes of fact, or was so far-fetched or so clearly
untenable or palpably implausible as to warrant its rejection
merely
on the papers.
[14]
[16]
In addition, in the detailed consideration of this case, it must be
so that on the facts the intervening
party was an outstation of the
applicant (and thus be a logical extension also the rights of the
third and fourth respondents)
and thus the principles underlying that
of a congregational church find application. This is so when a
congregation is an
outpost of an independent church. This
principle was explained in essence to mean that the
control
of a local congregational church community did not rest with or vest
in the top structures of the organisation but rather
with the local
community.
[15]
As a general proposition, a
congregation's
affiliation to a larger umbrella organisation at various levels does
not dilute the principles inherent to a congregational
church.
This is now settled law.
[17]
In conclusion, I find that because of the peculiar status of the
parties before me coupled with the nature
of the final relief sought,
the applicant did not discharge the onus that rested on it to be
entitled to the relief that it sought.
In my view, the
applicant should have proceeded in accordance with the objection
process open to it, alternatively by way of action
proceedings.
Costs
[18]
On the facts, the intervening party made a proper case for its
intervention because it no doubt had a real
and substantial interest
in the matter. Thus, it is permitted to intervene as another
respondent in these proceedings. In
view of my reasoning above,
it is unnecessary to deal with the relief sought by the intervening
party as set out in its proposed
conditional counter application.
Accordingly, I also do not have to deal with the costs of the
intervention and the costs
associated with the proposed counter
application.
Order
[19]
In all the circumstances, an order is granted in the following terms:
1.
The intervening party is granted leave to intervene as the fifth
respondent.
2.
The application is dismissed with costs.
3.
The applicant shall be liable for the
costs of the application on the scale between party and party, as
taxed or agreed.
4.
The respective parties shall bear the
costs of the intervention and conditional counter application, and no
cost orders will be
made in this connection.
E
D WILLE
(Cape
Town)
[1]
Portion
1 of the ‘Farm Matjesrivier No 34, Oudtshoorn’ (“the
property”).
[2]
Hereinafter
referred to as the “church”.
[3]
The
London Missionary Society (LMS).
[4]
At ‘
Deysselsdorp’
at ‘ Oudtshoorn’ and at ‘Matjesrivier’.
[5]
The
‘Congregational Union’ of South Africa,
[6]
In
terms of Section 93 of the Deeds Registry Act, Act 47 of 1937.
[7]
The
Minister of Land Affairs designated the property in terms of the
Land Titles Adjustment Act, Act 111 of 1993.
[8]
The
designated ‘Commissioner’.
[9]
By
way of application of the name change endorsement in accordance with
section 93 of the Deeds Registry Act.
[10]
By
the then Minister of Land Affairs.
[11]
Oudekraal
Estates (Pty) Ltd v City of Cape Town and Others
2004
(6) SA 222
(SCA) at par [26] - [31].
[12]
Plascon-Evans
Paints Limited v Van Riebeeck Paints (Pty) Ltd
[1984] ZASCA 51
;
1984 (3) SA 623
(A) at 634 – 635.
[13]
Stellenbosch
Farmers’ Winery Ltd v Stellenvale Winery (Pty) Ltd
1957 (4) SA 234
(C) at 235.
[14]
Plascon-Evans
Paints Ltd v Van Riebeeck Paints (Pty) Ltd
[1984] ZASCA 51
;
1984 (3) SA 623
(A) at 635 C.
[15]
Community
of Grootkraal v Botha NO
2019
(2) SA 128
(SCA) at par [56].
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