Case Law[2022] ZAWCHC 159South Africa
Jansen N.O. and Others v Adams (10870/2020) [2022] ZAWCHC 159 (25 August 2022)
High Court of South Africa (Western Cape Division)
25 August 2022
Headnotes
“[exceptions] provide a useful mechanism to weed out cases without legal merit.”[1] It is understandable, therefore, that an excipient must show that the pleadings is excipiable on every interpretation that can reasonably be attached to it.[2] In Vermeulen v Goose Valley Investments (Pty) Ltd[3], it was held:
Judgment
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## Jansen N.O. and Others v Adams (10870/2020) [2022] ZAWCHC 159 (25 August 2022)
Jansen N.O. and Others v Adams (10870/2020) [2022] ZAWCHC 159 (25 August 2022)
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IN THE HIGH COURT OF
SOUTH AFRICA
(WESTERN CAPE
DIVISION, CAPE TOWN)
Case No:
10870/2020
In the matter between:
PRISCILLA
JANSEN
N.O.
First Plaintiff
JANAP
DAVIDS
N.O.
Second Plaintiff
THEMBISELY
DYANI
N.O.
Third Plaintiff
GREGORY
LOUW
N.O.
Fourth Plaintiff
and
HASSAN
ADAMS
Defendant
and
PRISCILLA
JANSEN
N.O.
First Third Party
JANAP
DAVIDS
N.O.
Second Third Party
THEMBISELY
DYANI
N.O.
Third Third Party
GREGORY
LOUW
N.O.
Fourth Third Party
Coram:
Hockey AJ
Date
of Hearing: 1
August 2022
Date
of Judgment: 25 August 2022
JUDGMENT (HANDED DOWN
ELECTRONICALLY)
HOCKEY, AJ:
INTRODUCTION
[1]
In the main action proceedings in this
matter, the plaintiffs, are suing the defendant on behalf of the Hout
Bay development Trust
(“the trust) for damages allegedly
suffered by the trust as a result of the defendant’s alleged
breach of fiduciary
duties owed towards the trust whilst he was a
trustee. The defendant was previously removed as a trustee by virtue
of a court order.
[2]
The defendant in turn served a third party
notice on the trustees in their personal capacities. In the annexure
to the notice to
the third parties was a claim for the third parties
to be removed as trustees and to be declared as joint wrongdoers.
[3]
I am currently dealing with an exception
brought by the third parties against the claim by the defendant for
their removal as trustees
of the trust. The exception is based on the
averment that the defendant lacks legal standing to claim the removal
of the third
parties as trustees of the trust.
[4]
For present purposes, the relevant portion
of the annexure to the third party notice is contained in paragraph
15 as follows:
“
15.
The defendant has standing in terms of section 20(1) of the Trust
Property Control Act, 57 of 1988 and the common law, interpreted
or
developed in accordance with section 39(2) of the Constitution, to
apply for the removal of the third parties as trustees of
the trust:
15.1.
The defendant started the trust with
Mr Dick Jon Meter in an attempt to obtain opportunities for the local
community at the Hout
Bay harbour, and to uplift the dignity of and
obtain equality for the disadvantaged communities in the Hout Bay
area.
15.2.
The defendant was a founder of the
trust.
15.3.
The defendant was a donor to the
trust.
15.4.
The trust is a charitable trust.
15.5.
The express object of trust remains
the upliftment and development of disadvantaged communities in the
Hout Bay area, as originally
intended by the defendant.
15.6.
The trustees of the trust, directly
or indirectly, have the duty to respect, protect and promote, through
the mechanisms in the
trust deed, the constitutional rights to human
dignity, equality and the freedom of trade, occupation and profession
of those persons
who are part of the disadvantaged communities in the
Hout Bay area.
15.7.
Accordingly, the defendant has a
sufficiently direct interest, personally and/or on behalf of those
persons making up the disadvantaged
communities in the Hout Bay area
and/or acting in the public interest, in the suitability of the
trustees to hold office
.”
[5]
In their notice of exception, the third
parties plead as follows:
“
1.
In paragraph 15 of the annexure to the third party notice the
defendant of avers that it has standing in terms of section 20(1)
of
the Trust property Control Act of 1988 (“the Act”) and
common law, interpreted or developed in accordance with section
39(2)
of the Constitution, to apply for the removal of the third parties as
trustees of the trust.
2. The defendant
relies for its allegation that it has standing to apply for the
removal of the third parties as trustees on the
allegations made in
sub-paragraphs 15.1; 15.2 and 15.3 of the annexure.
3. The defendant does
not allege that he is a trustee of the trust and is not, having been
removed as a trustee pursuant to an order
of this honourable court
made on 10 October 2018.
4. The fact that the
defendant was the founder of the trust and a donor to the trust does
not give the defendant an interest in
the trust property within the
meaning of section 20(1) of the Act.
5. The defendant does
not obtain legal standing to apply for the removal of the third
parties as trustee of the trust from the common
law.
6.
In the premises the defendant does not have legal standing to claim,
as against the third parties, an order that they be removed
as
trustees of the trust
.”
[6]
It
is trite that the purpose for an exception is to dispose of a matter,
in whole or in part to avoid the leading of unnecessary
evidence. It
has been held that “
[exceptions]
provide a useful mechanism to weed out cases without legal merit
.”
[1]
It is understandable, therefore, that an excipient must show that the
pleadings is excipiable on every interpretation that can
reasonably
be attached to it.
[2]
In
Vermeulen
v Goose Valley Investments (Pty) Ltd
[3]
,
it was held:
“
It
is trite law that an exception that a cause of action is not
disclosed by a pleading cannot succeed unless it be shown that ex
facie the allegations made by a plaintiff and any document upon
which his or her cause of action may be based,
the
claim is (not may be) bad in law
.”
[4]
(my
underlining)
Submissions for the
third parties.
[7]
The essence of the third parties’
argument is that the language of section 20(1) of The Trust Property
Control Act of 1988
(‘the Act”) is clear – it
provides that the Master, “
or any
person having an interest in the trust property
”
may apply to court for the removal of a trustee.
[8]
The fact that the defendant is the founder
of the trust and a donor to the trust deed does not give him standing
within the meaning
of section 20(1) of the Act. In this regard,
counsel for the third parties refers to
Honoré’s
South African Law of Trusts
, where it
is stated:
“
The
founder of a trust who is not a trustee or beneficiary and who has
not reserved a right to enforce, vary or revoke the terms
of the
trust, has no legal standing in relation to the affairs of the trust
apart from a right to take steps to have the trust
declared invalid.
Having transferred the trust property to the trustees, the settlor is
functus officio (in other words he has
no further part to play).
[5]
”
[9]
Counsel
for the third parties also relies on a decision from this division in
Van
der Walt v Van der Walt N.O. and Others
[6]
,
where
it was held:
“
I
agree with the respondents' contention that Mr Van der Walt does not,
merely by virtue of having been the founder, have an interest
in the
trust property
.”
[7]
[10]
As
for the defendant’s argument that the common law should be
developed in terms of section 39(2) of the Constitution to give
standing to the defendant (if found wanting) to give effect to the
fundamental values of the Constitution, counsel for the third
parties
agrees, with reference to
Carmichele
v Minister of Safety and Security and Another (Centre for Applied
Legal Studies Intervening)
[8]
,
that it is well established that the common law should be developed
“
within
the matrix of … [the] objective, normative value system
”
established by the Constitution and to give effect to the spirit,
purport and objects of the Bill of Rights. He however
argues that
there are limits to a court’s power to develop the common law
and any development of the common law must take
place
incrementally.
[9]
He further
states that none of the constitutional rights of the defendant are
being breached by the application of the plain language
of the Act,
and there are no allegations in the third party annexure indicating
that the defendant is suffering any prejudice as
a consequence of the
third parties continuing to act as trustees of the trust in which he
has no involvement or interest. It is
contended that the defendant,
who is not a beneficiary and who holds no interest in the trust’s
property, lacks standing
to apply to court to have the third parties
removed as trustees.
Submissions for the
defendant.
[11]
Accentuated in the case for the defendant,
is the fact that the trust is a charitable trust.
[12]
Counsel for the defendant argues that since
the trust is a charitable trust established for the upliftment and
development of disadvantaged
communities, section 20(1) of the Act as
interpreted in accordance with section 39(2) of the Constitution,
means that a member
of the public is a person “
having
an interest in the trust property
”
with standing to seek the trustees’ removal. It is further
contended that the common law, in respect of such charitable
trusts,
allows for such standing by a member of the public.
[13]
Counsel for the defendant further contends
that even if a member of the public lacked standing in terms of the
Act or the common
law, the common law should be developed in
accordance with section 39(2) and/or in terms of section 173 of the
Constitution to
provide such standing.
[14]
The
defendant relies on the fact that the beneficiaries of the trust are
poor and vulnerable people who lack the resources or knowledge
to
take steps to identify and stop unlawful or unethical conduct on the
part of those who are meant to serve them, especially in
circumstances where the conduct is either sophisticated or unknown to
a large group of people. In this regard, the court was referred
to
Jaftha
v Schoeman and Others; Van Rooyen v Stoltz and Others
[10]
,
where it was held:
“
Even
where there is awareness, it would generally be difficult for
indigent people in the position of the appellants to approach
a court
to claim protection. They are a vulnerable group whose indigence and
lack of knowledge prevents them from taking steps
to stop the sales
in execution, as is demonstrated by the facts of this case
.”
[11]
Discussion
[15]
I am mindful that the purpose of an
exception is to purge from further attention, bad pleadings raising
issues which is bad in law.
The exception will only succeed if the
issue raised is so bad in law that it has no chance of success. A
refusal to uphold an exception,
on the other hand, does not mean that
the door is closed on the excipient to progress with the objection to
the impugned matter
at the trial.
[16]
As
for the contention of the defendant that the court has inherent power
to remove a trustee from office at common law, this is
beyond doubt.
In
The
Master
v Edgecombe’s Executors and Administrators
[12]
,
after a consideration of various authorities, the court concluded;
“
it
seems to me, therefore, that the Court has the right of its own
motion to remove any guardian, tutor, curator, administrator
or
trustee under a will without intervention of any party, and, if so,
the Master does seem the proper official to bring before
the Court
facts such as are revealed in the present petition
.”
[13]
[17]
Section
20(1) of the Act now, in any event, expressly confers powers on both
the Master and the court to remove trustees
[14]
.
The Master may do so under certain listed circumstances, including
“
if
[the trustee] fails to perform satisfactorily any duty imposed upon
him by or under this Act or to comply with any lawful request
of the
Master.
”
[15]
[18]
There are limitations as to who may apply
to court for the removal of a trustee in terms of section 20(1), i.e.
only the Master
or “
any person
having an interest in the trust property
”
may do so, but there is no limitation on who may approach the Master
to present facts to him or her as to why a trustee
should be removed
in terms of any of the reasons under section 20(2).
[19]
For
the purposes of the exception, the question to be determined in the
present matter, is whether “
any
person having an interest in the trust property
”
can be interpreted to include a person such as the defendant. In
Van
der Walt
,
it was held that a person does not, by virtue of having been a
founder, have an interest in the trust property and since the
applicant in that matter was not a beneficiary, he did not have a
beneficial interest, vested or contingent, in the trust’s
property.
[16]
[20]
In
Ras
and Others NN.O. v Van der Meulen and Another
[17]
,
the court held that the applicant in the court
a
quo
would have standing only if she was a beneficiary. Since the court
a
quo
did not resolve the issue, the matter was referred back to the lower
court for oral evidence to determine whether the applicant
was a
beneficiary and therefore had standing or not.
[21]
The differentiator to
Van
Der Walt
and
Ras
is that the trust in the present matter is a charitable trust,
whereas the trusts in the former cases were not.
[22]
It
is not only a beneficiary of a trust that would have standing to
apply to court for the removal of a trustee. In
Kidbrooke
Place Management Association and Another v Walton and Others NNO
[18]
,
the matter concerned an altruistic trust with an object “
to
provide for the establishment on land donated to it … of what
is known in statutory parlance as a ‘housing development
scheme’ for retired persons
.”
[19]
Binns-Ward J In
Kidbrooke
opined that he did not understand the judgement in
Ras
to establish a matter of generally applicable principles that a
person with sufficient interest who was not a beneficiary was
excluded from applying for the removal of a trustee. The learned
judge concluded that the second applicant, if he is a life rights
holder in respect of the trust property, had an interest in the trust
property and therefore had standing in terms of section 20(1)
of the
Act. The judge went further to state that on the basis discussed in
Jacobs
en ‘n Ander v Waks en Andere
[20]
,
the second applicant, had standing in common law by virtue of having
a sufficiently direct interest in the subject-matter of the
litigation. This is indicative that it is not only a trustee or a
beneficiary that has standing in respect of the removal of a
trustee
– anyone with a sufficiently direct interest has such right,
which in my view, should be determined on a case by
case basis.
[23]
This takes me to the question whether the
defendant has standing based on section 38(d) of the Constitution,
which reads:
“
Anyone
listed in this section has the right to approach a competent court,
alleging that a right in the Bill of Rights has been
infringed or
threatened, and the court may grant appropriate relief, including a
declaration of rights. The persons who may approach
a court are—
. . . (d) anyone acting in the public interest; . . . .”
[24]
Counsel
for the third parties argued that the interpretation of the Act’s
plain meaning violates none of the defendant’s
constitutional
rights. When acting under section 38(d) of the Constitution, it is
not that person’s rights which must be
at stake, but rather the
rights of those on whose behalf the person purports to act. The
defendant alleged in the annexure that
“
[t]he
trustees of the trust, directly or indirectly, have the duty to
respect, protect and promote, through the mechanisms in the
trust
deed, the constitutional rights to human dignity, equality and the
freedom of trade, occupation and profession of those who
are part of
disadvantaged communities in the Hout Bay Area
.”
[21]
[25]
In paragraph 15.7, the defendant alleges:
“
Accordingly,
the defendant has a sufficiently direct interest, personally and/or
on behalf of those persons making up the disadvantaged
communities in
the Hout Bay area and/or acting in the public interest, in the
suitability of the trustees to hold office.”
[26]
I
am mindful that a court will be circumspect in affording a person
standing by way of section 38(d) of the Constitution and will
require
such person to show that he or she is genuinely acting in the public
interest.
[22]
In
Ferreira
v Levin
,
O’Regan J stated:
“
Factors
relevant to determining whether a person is genuinely acting in the
public interest will include considerations such as:
whether there is
another reasonable and effective manner in which the challenge can be
brought; the nature of the relief sought,
and the extent to which it
is of general and prospective application; and the range of persons
or groups who may be directly or
indirectly affected by any order
made by the Court and the opportunity that those persons or groups
have had to present evidence
and argument to the Court. These factors
will need to be considered in the light of the facts and
circumstances of each case
.”
[27]
Ferreira
v Levin
dealt
with the similar provision in the Interim Constitution that was
comparable to that in the present Constitution. The dictum
of O’Regan
J was quoted with approval in
Lawyers
for Human Rights v Minister of Home Affairs
[23]
where it was also held:
“
The
issue is always whether a person or organisation acts genuinely in
the public interest. A distinction must however be made between
the
subjective position of the person or organisation claiming to act in
the public interest on the one hand, and whether it is,
objectively
speaking, in the public interest for the particular proceedings to be
brought. It is ordinarily not in the public interest
for proceedings
to be brought in the abstract. But this is not an invariable
principle. There may be circumstances in which it
will be in the
public interest to bring proceedings even if there is no live case.
The factors set out by O’Regan J help
to determine this
question. The list of relevant factors is not closed. I would add
that the degree of vulnerability of the people
affected, the nature
of the right said to be infringed, as well as the consequences of the
infringement of the right are also important
considerations in the
analysis
”
[24]
[28]
The
trial court may ultimately well find that the defendant is not
genuinely acting in the public interest, but that is not for
this
court to decide for purposes of the exception. In Exceptions, the
established approach is, as recently held in
Naidoo
and Another v Dube Tradeport Corporation and Others
[25]
to accept as true and correct, the factual averments in the pleadings
which are subject to the exception, unless clearly false
and
untenable.
[29]
The defendant avers that he is acting in
the public interest and he therefore has standing by reason of
Section 38(d) of the Constitution.
I have no reason to conclude that
the defendant’s averments about his standing is so bad in law
or manifestly incorrect or
false and untenable that he should not be
allowed to pursue his claim for the dismissal of the third parties.
On the basis of the
pleadings, I also have no reason to conclude that
the defendant is not genuinely acting in the public interest. As a
result, the
exception should fail.
Costs
[30]
As
a general rule, costs should follow the result, but the issue whether
to award costs or not, and if so awarded, on what scale
remains in
the discretion of the court. There are instances where a court will
depart from the rule that costs should follow the
result, such as
when the losing party, though acting wrongly, acted in good faith.
In
L
& B Holdings (PVT) LTD v Mashonaland Rent Appeal Board and
Others
[26]
, the
court in dealing with the issue of awarding costs on attorney and
client scale against a statutory body said:
“
It
seems to me, from a perusal of substantial number of cases cited,
that in the dispute between a litigant and statutory body which
comes
before the court and concerns the propriety or otherwise of the
exercise of the power and duties of the (statutory) body,
the
starting point is that on general principles cost should normally be
awarded according to success in the dispute. Consequently,
if the
(statutory) body is legally in the wrong, costs go against it –
. . . But the cases show that in exercising its judicial
discretion
as to costs, the court is justified upon occasion in departing from
this general rule, and in refraining from awarding
costs against the
(statutory) body. If it has acted impartially and not unreasonably in
exercising statutory duties, there is a
strong reason for not
awarding costs against it, even if it has been shown to have acted
incorrectly though bona fide.”
[31]
In
Ferreira
v Levin NO and Others; Vryenhoek and Others v Powell NO and
Others
[27]
,
the court dealt with the issue of costs in relation to its earlier
judgment
[28]
where the parties
were afforded the opportunity of pursuing the matter further, and
said:
"The
Supreme Court has, over the years, developed a flexible approach to
costs which proceeds from two basic principles, the
first being that
the award of costs, unless expressly otherwise enacted, is in the
discretion of the presiding judicial officer,
and the second that the
successful party should, as a general rule, have his or her costs.
Even this second principle is subject
to the first. The second
principle is subject to a large number of exceptions where the
successful party is deprived of his or
her costs. Without attempting
either comprehensiveness or complete analytical accuracy, depriving
successful parties of their costs
can depend on circumstances such
as, for example, the conduct of parties, the conduct of their legal
representatives, whether a
party achieves technical success only, the
nature of litigants and the nature of proceedings
.”
[32]
Considering this matter in the context of
the litigation between the parties, I do not believe that the third
parties have acted
in bad faith in bringing the exception. They have
instituted proceedings against the defendant for damages suffered by
the trust
as a result of the alleged breach by the defendant of his
fiduciary duties to the trust. In turn, the defendant is seeking to
have
the third parties removed as trustees. I am of the view that the
third parties are acting in good faith and in exercising their
duties
towards the trust by their efforts to stave off their removal.
Justice and fairness, in my view, would best be served if
I order the
parties to pay their own costs.
Order
[33]
In the result, I order that the exception
is dismissed, with each party to pay its own costs.
HOCKEY
AJ
ACTING
JUDGE OF THE HIGH COURT
Counsel
for Third Parties:
Adv. D J A van der Linde
Attorneys
for Third Parties: Bisset
Boehmke Attorneys
Counsel
for Defendant:
Adv. B Mancas SC / Adv.
B Studti
Attorneys
for Defendant:
Cliffe Dekker Hofmeyr Inc.
[1]
Telematrix
(Pty) Ltd t/a Matrix Vehicle Tracking v Advertising Standards
Authority SA
2006 (1) SA 461
(SCA) at 465H
[2]
First
National Bank of Southern Africa Ltd v Perry NO and Others
2001 (3)
SA 960
at 965 C – D.
[3]
[2001]
3 All SA 350 (A)
[4]
Ibid
at para 7
[5]
Honoré’s
South African Law of Trusts
6
th
ed, Cameron
et
al,
para
243 page 464
[6]
(5525/2018)
[2020] ZAWCHC 120
(20 October 2020).
[7]
Ibid
at para 28
[8]
2001
(4) SA 038
(CC) at para 54
[9]
With
reference to
Carmichele
(supra) para 36.
[10]
2005
(2) SA 140 (CC).
[11]
Ibid
at para 47.
[12]
1910
TS 263.
[13]
Ibid
at page 272.
[14]
Section
20(1) and (2) of the Act.
[15]
Section
21(2)(e) of the Act.
[16]
Van
der Walt (s
upra)
at para 28
[17]
2011
(4) SA 17
(SCA)
[18]
2015
(4) 112 (WCC)
[19]
Supra
at para 4
[20]
[1991] ZASCA 152
;
1992
(1) SA 521
(A) at 533J -534E. See also
Gross
and Others v Pentz
[1996] ZASCA 78
;
1996 (4) SA 617
(A) and
Theron
and Another NNO v Loubser NO and Others
2014
(3) SA 323
at para 6 referenced by Binns-Ward J.
[21]
Para
15.6 of the annexure.
[22]
Ferreira
v Levin NO; Vryenhoek v Powell NO
1996 (1) SA 984
(CC) at para 234
[23]
2004
(4) SA 125 (CC)
[24]
Ibid
at para 18.
[25]
2022
(3) SA 390
(SCA) at para 35
[26]
1959
[3] SA 466 SR 470 D – G.
[27]
1996
(2) SA 621 (CC)
[28]
Supra,
fn 22
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