Case Law[2023] ZAKZDHC 50South Africa
Talksure Trading (Pty) Ltd v Naidoo and Another (D4630/2021) [2023] ZAKZDHC 50 (28 July 2023)
High Court of South Africa (KwaZulu-Natal Division, Durban)
28 July 2023
Headnotes
Summary judgment is granted against the first defendant for:
Judgment
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## Talksure Trading (Pty) Ltd v Naidoo and Another (D4630/2021) [2023] ZAKZDHC 50 (28 July 2023)
Talksure Trading (Pty) Ltd v Naidoo and Another (D4630/2021) [2023] ZAKZDHC 50 (28 July 2023)
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sino date 28 July 2023
FLYNOTES:
CIVIL PROCEDURE – Summary judgment –
Self-incrimination
–
Plaintiff’s claim based on fraudulent scheme perpetrated
against it – Defendant facing criminal
charges and
contending right to remain silent infringed by summary judgment
proceedings – Defendant has not sought
a stay of these
proceedings – Has an election to abandon her defence to
claim or waive her right to remain silent –
There is no
coercion involved and she cannot claim prejudice – By
electing to remain silent, she does not disclose
a bona fide
defence – Summary judgment granted.
# IN THE HIGH COURT OF
SOUTH AFRICA
IN THE HIGH COURT OF
SOUTH AFRICA
# KWAZULU-NATAL LOCAL
DIVISION, DURBAN
KWAZULU-NATAL LOCAL
DIVISION, DURBAN
CASE
NO: D4630/2021
In
the matter between:
# TALKSURE TRADING (PTY)
LTD
PLAINTIFF
TALKSURE TRADING (PTY)
LTD
PLAINTIFF
and
# KRISHNAVENI
NAIDOO
FIRST DEFENDANT
KRISHNAVENI
NAIDOO
FIRST DEFENDANT
#
# SOHAN SUMENDRAN
NAIDOO
SECOND DEFENDANT
SOHAN SUMENDRAN
NAIDOO
SECOND DEFENDANT
ORDER
Summary
judgment is granted against the first defendant for:
1.
Payment of the sum of R1 359 000.
2.
Interest on the aforesaid sum at the rate of 7.25% from 20 July
2021
to date of final payment.
3.
Cost of suit.
# JUDGMENT
JUDGMENT
Introduction
[1]
This is an opposed application for summary judgment which raises
issues
involving the right against self-incrimination and the right
to remain silent in civil proceedings.
## The plaintiff’s
cause of action
The plaintiff’s
cause of action
[2]
The plaintiff instituted action against the first and second
defendants
for payment of the sum of R1 359 000 together with
interest from the date of summons and costs of suit. The basis upon
which the
amount is claimed emanates from an alleged fraudulent
scheme which the defendants were allegedly involved in.
[3]
In terms of an agreement concluded between the plaintiff and an
entity
known as Ignition Sales and Marketing CC (ISM), a short-term
lender, the plaintiff would assist its employees from time to time
to
acquire staff loans. In applying for such staff loan, an employee
would complete an ISM application form and would supply three
months’
bank statements, his or her identity document and a notice confirming
his or her bank details. A designated employee
of the plaintiff would
complete the declaration by the employer to confirm the employee’s
residential address and would then
email the completed application to
ISM.
[4]
If the employee’s application was successful, a loan agreement
would
be sent to the designated employee of the plaintiff for
signature. Once the signed loan agreement was emailed to ISM, the
loan
amount would be paid into the nominated bank account of the
employee. At all material times, the first defendant was the pay-roll
officer and designated employee assigned by the plaintiff to
facilitate the process and to send the applications through to ISM.
[5]
After a while, the plaintiff engaged with ISM to verify its
suspicions
that there were irregularities in that amounts were being
paid into the same recurring bank account. An investigation was
subsequently
concluded which confirmed the plaintiff’s
suspicions. When the records of ISM were examined, it was established
that five
bank accounts, two of which were held with First National
Bank and three with ABSA bank were supplied to ISM into which the
loan
amounts were paid. Investigations subsequently revealed that
four of the account numbers were in the name of the first defendant
and one bank account was in the name of the second defendant.
[6]
Over the period from 1 October 2018 to 31 May 2019, the first
defendant
sent signed and completed documents to ISM, allegedly on
behalf of employees of the plaintiff. The information provided to ISM
by the first defendant was false in that most of the applications to
ISM were made in the name of ex-employees of the plaintiff.
Employees’ signatures were fraudulently obtained or inserted,
and the bank account details listed in each of the fraudulent
loan
applications were the bank account details of the first and second
defendants.
[7]
As a result, monies were paid by ISM to the defendants and not the
plaintiff’s
employees as listed in the loan applications. The
first defendant created fictitious accounting entries which created
the impression
that the employee was repaying his or her loan to ISM,
when in fact the plaintiff was making payment to ISM in respect of
the fraudulently
obtained loans. An investigative report confirmed
such fraudulent scheme embarked on by the first and second defendants
and the
various amounts paid, which resulted in the plaintiff being
defrauded in the amount of R1 359 000. Details of the alleged loans
and amounts paid by the plaintiff are contained in schedules annexed
to the particulars of claim.
[8]
The first defendant, in embarking on this fraudulent scheme, was able
to create 19 different bank accounts through which she processed the
417 fictitious staff loans for her own benefit and that of
the second
defendant. The plaintiff acted to its prejudice by honouring the
repayment terms of the fraudulent loans secured by
the first
defendant on the mistaken belief that same had been secured by its
employees.
## The first defendant’s
plea
The first defendant’s
plea
[9]
Only the first defendant defended the action and her plea constituted
a bare denial. She denied having any knowledge of the agreement
concluded between the plaintiff and ISM and the manner in which
the
loans were granted, and indicates that only duties incidental to the
process of applying for loans were performed by her. Interestingly,
she does not deny that she was responsible for submitting the
requisite loan application documents to ISM.
[10]
In addition, the plea did not disclose a defence and the first
defendant merely denied
the findings of the plaintiff’s
investigative report and did nothing to disturb the
prima facie
evidence of the plaintiff’s claims. She admitted that she
was employed as the pay- roll officer and human resources
administrator
by the plaintiff but denied the remainder of the
allegations and indicated that she had no knowledge thereof.
[11]
In addition, she admitted that in relation to the process highlighted
by the plaintiff,
which was to be followed for loan applications, the
duties were performed not only by her but also by team leaders and
campaign
managers attached to ISM’s finance department. She
indicated that the contents of the investigative report were not
disclosed
to her and she was not the sole employee responsible for
processing the loan applications or the accounting entries relating
to
the payment of the loans.
## The summary judgment
application
The summary judgment
application
[12]
The plaintiff applied for summary judgment within the
dies
prescribed by the Uniform Rules of Court.
### Plaintiff’s
application
Plaintiff’s
application
[13]
In support thereof, the plaintiff avers that the first defendant’s
plea does not
disclose a defence which raises any issues to be
determined at trial. The claim is based on a fraudulent scheme and
transactions
implemented and carried out by the first and second
defendants and the plea of the first defendant is a bare denial.
Although she
denies having any knowledge of the agreement between the
plaintiff and ISM and the manner within which the loans were granted,
she indicates that her duties were incidental to the process of
applying for loans. She further does not deny that she was
responsible
for submitting the requisite loan application documents
to ISM.
[14]
Although the first defendant denies the findings of the plaintiff’s
investigative
report, this does not disturb the
prima facie
evidence of the spreadsheets annexed to the plaintiff’s
particulars of claim as annexures B1 to B18, which set out fictitious
persons who applied for loans, the loan amounts and the prejudice
caused to the plaintiff by having to pay these amounts to ISM.
[15]
In addition, what is pertinent is that the plaintiff in its
particulars of claim references
five bank accounts into which the
loan amounts were paid. It is not disputed that loan amounts were
paid into these bank accounts
and that four of those bank accounts
were in the name of the first defendant and that the fifth one is in
the name of the second
defendant. It is for these reasons that the
plaintiff submits that no triable issues are raised and consequently,
it is entitled
to summary judgment.
### First defendant’s
opposition
First defendant’s
opposition
[16]
In opposition to summary judgment, the first defendant raises various
points in limine
and advances three grounds on the merits in
opposition, namely:
(a)
The deponent to the affidavit, Gavin De Jager, alleges that he
is an adult male. The affidavit has not been commissioned in
accordance
with the peremptory provisions of the Justices of the
Peace and Commissioners of Oaths Act 16 of 1963 in that the
commissioner
of oaths does not identify the gender of the deponent
nor is the identity of the commissioner reflected in the affidavit.
(b)
The affidavit in support of summary judgment makes reference
to defendants however, the application is only brought against the
first defendant.
(c)
The deponent to the affidavit does not have personal knowledge
of the allegations contained in the affidavit and these are hearsay
in nature as the deponent does not know the first defendant.
(d)
Criminal proceedings have been instituted against the
defendants in the magistrates’ court, and as a consequence
thereof,
the first defendant’s constitutional right to remain
silent has been infringed by the institution of the summary judgment
proceedings.
(e)
Some of the claims have become prescribed by the effluxion of
time.
(f)
The plaintiff is claiming damages.
[17]
In the alternative, the first defendant indicates that she has not
made any
fraudulent claims nor has she received any money pursuant to
the alleged fraudulent claims. The crux of her defence is that she
wants to exercise her right to remain silent so as not to incriminate
herself in the criminal trial and the effect of the summary
judgment
application is to compel her to flout her constitutional right to
remain silent. She, in addition, submits that she is
not liable to
the plaintiff for any amount claimed and prays for summary judgment
to be dismissed and that she be given leave to
defend the action.
## Analysis
Analysis
### Rule 32
Rule 32
[18]
Rule 32(1) provides that a plaintiff may, after a defendant has
delivered a plea, apply
to court for summary judgment for a
liquidated amount in money together with any claim for interest and
costs. Rule 32(2)
(a)
provides that ‘[w]ithin 15 days
after the date of delivery of the plea, the plaintiff shall deliver a
notice of application
for summary judgment, together with an
affidavit made by the plaintiff or by any other person who can swear
positively to the facts’.
In such affidavit, rule 32(2)
(b)
requires that the deponent to the affidavit must ‘verify
the cause of action and the amount . . . claimed, and identify any
point of law relied upon and the facts upon which the plaintiff’s
claim is based’. In addition, the deponent must also
briefly
explain why the defences pleaded do not raise any issue for trial.
[19]
In terms of rule 32(3):
‘
The
defendant may—
(a)
give security to the plaintiff to the satisfaction of the
court for any judgment including costs which may be given; or
(b)
satisfy the court by affidavit (which shall be delivered five days
before
the day on which the application is to be heard), or with the
leave of the court by oral evidence of such defendant or of any other
person who can swear positively to the fact that the defendant has a
bona fide
defence to the action; such affidavit or evidence
shall disclose fully the nature and grounds of the defence and the
material facts
relied upon therefor.’
[20]
Summary judgment was not intended to prevent a defendant from
defending an action, unless
it was evident that the defendant had no
case in the action. It was intended to prevent spurious defences and
defeating the rights
of parties by delaying a matter. The rule was
designed to prevent a plaintiff’s claim based upon certain
causes of action
from being delayed by what amounts to an abuse of
the process of court. It is granted in circumstances where the
plaintiff’s
claim is unimpeachable as the defendant has no
proper defence.
[21]
The procedure has often been characterized as being ‘extraordinary’
and ‘stringent’
as it makes inroads on a defendant’s
right to have his case heard in the ordinary course of events. Courts
are thus only
willing to grant summary judgment in circumstances
where it is clear that the plaintiff has an unanswerable case. Where
there is
no defence, a court’s discretion ought not to be
exercised against a plaintiff to deprive it of the relief that it is
entitled
to. It is also not designed to provide a plaintiff with a
tactical advantage or to provide a preview of the defendant’s
evidence
and also not to limit his defences to those disclosed in the
affidavit.
[22]
The dicta in
Joob Joob Investments (Pty) Ltd v Stocks Mavundla Zek
Joint Venture
is
apposite:
‘…
the
summary judgment procedure was not intended to “shut (a
defendant) out from defending”, unless it was very clear
indeed
that he had no case in the action. It was intended to prevent sham
defences from defeating the rights of parties by delay,
and at the
same time causing great loss to plaintiffs who were endeavouring to
enforce their rights.’
[1]
[23]
This is perhaps why Navsa JA held that the time had come to discard
labels such as ‘extraordinary’
and ‘drastic’
and stated the following:
‘
[32]
The rationale for summary judgment proceedings is impeccable. The
procedure is not intended to deprive a defendant with a triable
issue
or a sustainable defence of her/his day in court. After almost a
century of successful application in our courts, summary
judgment
proceedings can hardly continue to be described as extraordinary. Our
courts, both of first instance and at appellate
level, have during
that time rightly been trusted to ensure that a defendant with a
triable issue is not shut out. In the
Maharaj
case at 425G -
426E, Corbett JA was keen to ensure, first, an examination of whether
there has been sufficient disclosure by a defendant
of the nature and
grounds of his defence and the facts upon which it is founded. The
second consideration is that the defence so
disclosed must be both
bona fide and good in law. A court which is satisfied that this
threshold has been crossed is then bound
to refuse summary judgment.
Corbett JA also warned against requiring of a defendant the precision
apposite to pleadings. However,
the learned judge was equally astute
to ensure that recalcitrant debtors pay what is due to a creditor.
[33]
Having regard to its purpose and its proper application, summary
judgment proceedings only hold terrors and are 'drastic' for
a
defendant who has no defence. Perhaps the time has come to discard
these labels and to concentrate rather on the proper application
of
the rule, as set out with customary clarity and elegance by Corbett
JA in the
Maharaj
case at 425G - 426E.’
[24]
Among the ways in which a defendant can avoid summary judgment, is to
satisfy the court
by affidavit that he/she has a
bona fide
defence
to the claim on which summary judgment is being applied for. The use
of the word ‘satisfy’ does not translate
into ‘proof’.
The rule merely requires that the defendant must set out in the
affidavit facts which, if proved at trial,
will constitute an answer
to the plaintiff’s claim.
[25]
The locus classicus in respect of what an affidavit opposing summary
judgment ought to
contain, is set out by Corbett JA in
Maharaj
as
follows:
‘
Accordingly,
one of the ways in which a defendant may successfully oppose a claim
for summary judgment is by satisfying the Court
by affidavit that he
has a
bona
fide
defence
to the claim. Where the defence is based upon facts, in the sense
that material facts alleged by the plaintiff in his summons,
or
combined summons, are disputed or new facts are alleged constituting
a defence, the Court does not attempt to decide these issues
or to
determine whether or not there is a balance of
probabilities
in favour of
the one
party or
the
other. All
that the Court enquires into is:
(a)
whether
the defendant has “fully” disclosed the nature and
grounds of his defence and the material facts upon which
it is
founded, and
(b)
whether
on the facts so disclosed the defendant appears to have, as to either
the whole or part of the claim, a defence which is
both
bona
fide
and
good in law. If satisfied on these matters the Court must refuse
summary judgment, either wholly or in part, as the case may
be. The
word “fully”, as used in the context of the Rule (and its
predecessors), has been the cause of some Judicial
controversy in the
past. It connotes, in my view, that, while the defendant need not
deal exhaustively with the facts and the evidence
relied upon to
substantiate them, he must at least disclose his defence and the
material facts upon which it is based with sufficient
particularity
and completeness to enable the Court to decide whether the affidavit
discloses a
bona
fide
defence
. . . At the same time the defendant is not expected to formulate his
opposition to the claim with the precision that would
be required of
a plea; nor does the Court examine it by the standards of
pleading.’
[2]
### Points in limine
Points in limine
[26]
I propose
to firstly deal with the points in limine raised. The commissioner of
oaths’ failure to identify the gender of the
plaintiff’s
deponent is condonable by the court. It is evident that the deponent
to the affidavit is a male and this is a
mere omission from the last
portion of the affidavit and is not fatal.
[3]
The affidavit contains the details of the SAPS branch at which the
affidavit was commissioned, and the force number of the police
officer who commissioned the affidavit. I consequently agree with the
submission that the identity of the commissioner is identifiable
from
this information. In my view, given the fact that the affidavit is
substantially compliant
[4]
and
admissible, the point in limine in this regard is without merit.
[27]
As regards the second point in limine
,
this too is without
merit. In the paragraphs referred to by the first defendant, the
deponent to the affidavit merely confirms the
plaintiff’s cause
of action against the defendants as pleaded in the particulars of
claim - as he is required to do. The
affidavit correctly records that
summary judgment is only being sought against the first defendant.
[28]
Turning now to the point in limine that the deponent to the affidavit
does not know the
first defendant, and consequently any facts deposed
to in the affidavit constitute hearsay and are inadmissible. The
first defendant
indicates that the deponent to the affidavit does not
have actual personal knowledge of the facts to enable him to depose
to the
verifying affidavit and cannot derive such knowledge from the
plaintiff’s records.
[29]
In the affidavit in support of summary judgment, the deponent, Gavin
De Jager, indicates
that the facts contained in the affidavit are
known to him. He is a director of the plaintiff and authorized by the
plaintiff to
institute the action and to prosecute the summary
judgment application. He further indicates at paragraph 3 of the
affidavit that
‘[i]n the ordinary course of my duties as a
Director of the Plaintiff, I have acquired personal knowledge of the
Defendant’s
dealings, as well as the Plaintiff’s claims
against the Defendant’. He further indicates that ‘at all
material
times I have been involved with that which forms the subject
of the Plaintiff’s claims against the Defendant’.
[30]
As a consequence, he has the requisite personal knowledge for
purposes of the summary judgment
application. At paragraph 4 of the
affidavit, he indicates that he has perused the content of the
plaintiff’s file and records
with reference to the defendants
and can consequently swear positively and verify as true and correct,
the grounds and facts contained
in the plaintiff’s summons and
particulars of claim, the plaintiff’s cause of action against
the first defendant, and
further that the first defendant is indebted
to the plaintiff in the amount claimed in the summons and the
particulars of claim
being R1 359 000.00
[31]
Rule 32(2) provides that any application for summary judgment must be
accompanied by an
affidavit by any person who can swear positively to
the facts. The primary contention advanced by the first defendant is
that Mr
De Jager is not a person who can ‘swear positively to
the facts’ envisaged in rule 32(2).
[32]
In
Maharaj,
Corbett JA, in considering the requirement that
the affidavit should be made by the plaintiff himself or by any
person who can swear
positively to the facts, stated the following:
‘
Concentrating
more particularly on requirement
(a)
above, I would point out
that it contemplates the affidavit being made by the plaintiff
himself or some other person “who
can swear positively to the
facts”. In the latter event, such other person's ability to
swear positively to the facts is
essential to the effectiveness of
the affidavit as a basis for summary judgment; and the Court
entertaining the application therefor
must be satisfied,
prima
facie
, that the deponent is such a person. Generally speaking,
before a person can swear positively to facts in legal proceedings
they
must be within his personal knowledge. For this reason the
practice has been adopted, both in regard to the present Rule 32 and
in regard to some of its provincial predecessors (and the similar
rule in the magistrates' courts), of requiring that a deponent
to an
affidavit in support of summary judgment, other than the plaintiff
himself, should state, at least, that the facts are within
his
personal knowledge (or make some averment to that effect), unless
such direct knowledge appears from other facts stated . .
. The mere
assertion by a deponent that he “can swear positively to the
facts” (an assertion which merely reproduces
the wording of the
Rule) is not regarded as being sufficient, unless there are good
grounds for believing that the deponent fully
appreciated the meaning
of these words . . . In my view, this is a salutary practice. While
undue formalism in procedural matters
is always to be eschewed, it is
important in summary judgment applications under Rule 32 that, in
substance, the plaintiff should
do what is required of him by the
Rule. The extraordinary and drastic nature of the remedy of summary
judgment in its present form
has often been judicially emphasised . .
. The grant of the remedy is based upon the supposition that the
plaintiff's claim is
unimpeachable and that the defendant's defence
is bogus or bad in law. One of the aids to ensuring that this is the
position is
the affidavit filed in support of the application; and to
achieve this end it is important that the affidavit should be deposed
to either by the plaintiff himself or by someone who has personal
knowledge of the facts.
Where
the affidavit fails to measure up to these requirements, the defect
may, nevertheless, be cured by reference to other documents
relating
to the proceedings which are properly before the Court . . . The
principle is that, in deciding whether or not to grant
summary
judgment, the Court looks at the matter 'at the end of the day' on
all the documents that are properly before it . . .’
[5]
[33]
A similar
contention arose in
Rees
and another v Investec Bank Ltd.
[6]
The affidavit deposed to by the deponent, Ms Ackerman, in that
matter, is similar to that deposed to by Mr De Jager in the current
matter. In considering the authorities, the Supreme Court of Appeal
took the view that by virtue of the fact that Ms Ackerman had
access
to the documents at her disposal and had been corresponding with the
appellants in regard to the debtors, she had met the
requirements of
rule 32(2). That she did not sign the certificates of indebtedness
nor was present when the suretyship agreements
were signed, were
found to be of no moment.
[34]
The Supreme
Court of Appeal took the view that these ought not to be ‘elevated
to essential requirements, the absence of which
is fatal to the
respondent's case’. It took the view, with reference to what
Corbett JA held in
Maharaj,
that
‘“undue formalism in procedural matters is always to be
eschewed” and must give way to commercial pragmatism’.
[7]
The court
found that:
‘
At
the end of the day, whether or not to grant summary judgment is a
fact-based enquiry. Many summary judgment applications are
brought by
financial institutions and large corporations. First- hand knowledge
of every fact cannot and should not be required
of the official who
deposes to the affidavit on behalf of such financial institution or
large corporation. To insist on first-hand
knowledge is not
consistent with the principles espoused in
Maharaj.
’
[8]
[35]
In my view, applying the authorities referred to hereinbefore, Mr De
Jager is duly able
to depose to the affidavit in support of summary
judgment, and such allegations in the affidavit are not of a hearsay
nature. In
the result, the points in limine are without merit and
fall to be dismissed.
### Merits
Merits
[36]
Turning now to the three further grounds advanced by the first
defendant in opposition
to summary judgment. Firstly, the claim is
premised on monies paid by the plaintiff to ISM emanating from a
fraudulent scheme.
That the monies were misappropriated is not denied
by the first defendant. In addition, all the plaintiff needs to do is
to satisfy
the court that the monies owed to it are in a liquidated
amount. The first defendant has conceded in her heads of argument
that
monies misappropriated constitute a liquidated claim.
Consequently, this ground of opposition falls to be dismissed.
[37]
The plaintiff alleges in the particulars of claim that it was on
receipt of the investigative
report in 2021 that it became aware that
the first and second defendants were aware of and had knowingly
perpetrated the fraud.
It issued the action in July 2021, a few
months after the report had been compiled. Prescription begins to run
from the time the
wronged party became aware of its cause of action.
This ground likewise is without merit and falls to be dismissed.
[38]
Turning now to the next issue raised by the first defendant, namely
whether
having to file an affidavit dealing with the detailed
allegations both in the summary judgment application as well as in
the particulars
of claim would infringe on her right to remain
silent, is the subject matter of a number of decisions. This has been
in the context
of disciplinary proceedings, criminal proceedings as
well as insolvency enquiries. They are of assistance in the
determination
of the issues in this matter.
[39]
Nugent J in
Davis v
Tip NO and others
[9]
had cause
to consider this aspect in the context of disciplinary proceedings
where the applicant was arrested on charges of fraud
and theft. These
criminal charges arose from the same circumstances which underpinned
the disciplinary proceedings instituted against
the applicant. The
court considered this in the face of an application for the
postponement of the disciplinary proceedings pending
the finalization
of the criminal proceedings. The applicant had alleged that if the
disciplinary proceedings were allowed to proceed,
his right to remain
silent at the criminal trial would be compromised.
[40]
When
penning the judgment, Nugent J confirmed that it was ‘. . .well
established that a Court will intervene to protect the
right to
remain silent in criminal proceedings even if the threat thereto is
only an indirect one.’
[10]
He then
held the following:
‘
Civil
proceedings invariably create the potential for information damaging
to the accused to be disclosed by the accused himself,
not least so
because it will often serve his interests in the civil proceedings to
do so. The exposure of an accused person to
those inevitable choices
has never been considered in this country to conflict with his right
to remain silent during the criminal
proceedings. Where the Courts
have intervened there has always been a further element, which has
been the potential for State compulsion
to divulge information. Even
then the Courts have not generally suspended the civil proceedings
but in appropriate cases have rather
ordered that the element of
compulsion should not be implemented . . .
In
the present case the preservation of the applicant's rights lies
entirely in his own hands, and there is no such element of
compulsion. What the applicant seeks to be protected against is the
consequence of the choices he may be called upon to make.’
[11]
[41]
In relation to the right to remain silent, the court held as follows:
‘
The
right to remain silent derives from an abhorrence of coercion as a
means to secure convictions by self-incrimination (see
S v Zuma
(supra
at 658D (SA) (at 586
e
(SACR) and 417H- I (BCLR))),
and it exists to ensure that there is no potential for this to occur.
It achieves this by protecting
an accused person from being placed
under compulsion to incriminate himself; not by shielding him from
making legitimate choices.
The
applicant's submission suggests that, if the alternatives which are
to be chosen from are equally unattractive, then choice
is tantamount
to compulsion, and that the right to silence entitles an accused
person not to be faced with that choice. I do not
agree. What
distinguishes compulsion from choice is whether the alternative which
presents itself constitutes a penalty, which
serves to punish a
person for choosing a particular route as an inducement to him not to
do so. While the distinction between choice
and compulsion may at
times be a fine one, in my view it is essential that it should be
maintained if a salutary principle is not
to be extended beyond its
true province and thereby risk falling into disrepute.
In
the present case the applicant may well be required to choose between
incriminating himself or losing his employment. If he loses
his
employment that is a consequence of the choice which he has made but
not a penalty for doing so. It will be the natural consequence
of
being found guilty of misconduct, and not a punishment to induce him
to speak. Hard as the choice may be, it is a legitimate
one which the
applicant can be called upon to make and does not amount to
compulsion. In my view his right to silence does not
shield him from
making that choice.’
[12]
[42]
Navsa J in
Seapoint
Computer Bureau (Pty) Ltd v Mcloughlin and De Wet NNO
[13]
also considered the request to stay a civil action pending the
finalization of criminal proceedings alternatively until such time
as
the decision had been taken by the prosecuting authority not to
prosecute the defendant. Following the reasoning in
Davis,
the
court concluded that a stay of the proceedings was not warranted.
[43]
In such civil action the plaintiff claimed payment of a sum of money
together with interest
and costs from the defendant such claim being
based on the alleged unlawful appropriation by the defendant of
monies due to the
company. It was common cause that there was a nexus
between the action and the criminal investigation instituted. The
defendant
in defence of the action indicated that any cross
examination in the action would expose him to the risk of making
incriminating
statements which would prejudice his position in
subsequent criminal proceedings in support of the submissions that
the civil proceedings
ought to be stayed the applicant referred to a
long line of decisions in which our courts have held that where civil
and criminal
proceedings arising out of the same circumstances are
pending the civil proceedings are stayed until the finalization of
the criminal
proceedings. This is done on the basis that the person
may be prejudiced in the criminal proceedings if the civil
proceedings were
heard first as such a person might be subject to
cross examination or might be compelled to disclose information in
the civil proceedings
before such criminal proceedings are disposed
of in reasoning why the approach in
Davis
was correct.
[44]
Navsa J
considered all the South African authorities referred to and the
origin of the rule against self-incrimination and the right
to remain
silent as conducted by Nugent J, and found that in such matters
‘compulsion by the State was the mischief aimed
at’.
[14]
All
the authorities referred to dealt with sequestration proceedings or
enquiries in terms the Companies Act 61 of 1973. A further
factor
which he considered was that in enquiries, ‘compelling
mechanisms were available to the authorities concerned’.
[15]
He held
that:
‘
Another
factor is that the “coercive power of the State” is more
clearly seen in enquiries such as insolvency and companies
legislation, and, presumably, in the structures creating the
authorities conducting the enquiries in the
Williams
and
Phillips
cases.
Why, one may well ask, is no authority available from any
jurisdiction to show that in civil litigation involving two private
parties, and where no coercive State machinery can be brought to bear
on one of them, a Court was willing
to
stay
proceedings.
The
answer
readily
presents
itself
and
is
alluded
to
in the
Davis
judgment
and referred to by the plaintiffs' counsel. The improper application
of principle will cause the administration of justice
to fall into
disrepute. To protect the right to remain silent is eminently
desirable. To deny a plaintiff recourse to a judgment
to which he may
be entitled, because a police investigation against the opposing
party may materialise, and where the defendant
is not subject to
coercive means, is not serving the cause of justice.’
[16]
[45]
Nasva J
agreed with the principles followed by Nugent J in
Davis
and
indicated that a defendant should be left to his choice as to how he
conducts the civil proceedings. Similarly, in
South
African Tea, Coffee and Chicory Association and others v Ynuico Ltd
and others,
[17]
Magid J had
to consider an application for a stay of proceedings pending the
determination of the criminal trial. Similarly, in
that matter, the
respondent had elected not to deal with the factual allegations upon
which the applicant had relied for the claim.
[46]
Magid J
took the view that the respondents were ‘not subject to any
coercive machinery of the State nor to any statutory or
other
compulsion to give evidence in these proceedings’
[18]
and
consequently they could not be prejudiced by responding to factual
allegations against them in the conduct of the pending criminal
proceedings.
[47]
A similar
stance was adopted in
Equisec
(Pty) Ltd v Rodriques and another
[19]
and
Nedcor
Bank Ltd v Behardien
.
[20]
In
Behardien,
Cleaver
J was faced with a similar situation as in the present case where
summary judgment proceedings were instituted for payment
of monies
due which had been unlawfully misappropriated by the respondent
whilst in the applicant’s employ. Criminal proceedings
had been
instituted and the respondent sought a stay of the summary judgment
application pending the conclusion of criminal proceedings
and also
on the basis that under those circumstances, he was not required to
disclose a bona fide defence as this would infringe
his right as an
accused person in the criminal trial not to be compelled to give
self-incriminating evidence.
[48]
Following
on the dictum in
Davis,
Cleaver
J took the view that the respondent in these circumstances was
similarly not being coerced to depose to the affidavit and
was
‘required to choose between incriminating himself or having
summary judgment granted against him. If this occurs, that
is a
consequence of the choice which he has made, but not a penalty for
doing so’.
[21]
The court
took the view that the ‘provisions of Rule 32(3)
(b)
of the
Uniform Rules of Court are not provisions which compel the respondent
to show his hand before the criminal trial has been
concluded’.
[22]
[49]
Not
surprisingly, this issue drew the attention of the Supreme Court of
Appeal in
Law
Society of the Cape of Good Hope v Randell
,
[23]
where in an
application to strike off an attorney, the attorney sought to stay
the civil proceedings, pending the conclusion of
a related criminal
matter for theft of trust funds as well as fraud. The basis upon
which the respondent had sought a stay of the
proceedings was that if
he was compelled to make a sworn statement in advance of the criminal
proceedings, he would be prejudiced
and his rights against
self-incrimination would be violated, as guaranteed in section 35 of
the Constitution.
[50]
Mthiyane DP indicated that having regard to the line of cases,
specifically that of
Davis
:
‘
In
my view the golden thread that runs through the previous cases that
were considered in
Davis
.
. .
is
that they all involved sequestration proceedings, in which the
examinee respondent was required to subject himself or herself
to
interrogation or to answer questions put to him or her by the
provisional trustee. Clearly in each one of those cases there
was an
element of compulsion because s 65 of the Insolvency Act prior to its
amendment provided that the person concerned was not
entitled to
refuse to answer questions.’
[24]
He
found that in granting a stay of the prosecution in circumstances
where there was no compulsion, the court a quo committed a
misdirection.
[51]
The Supreme Court of Appeal confirmed the general principle that
‘
where
there are both criminal and civil proceedings pending which are based
on the same facts. The usual practice is to stay the
civil
proceedings until the criminal proceedings have been adjudicated
upon, if the accused person can show that he or she might
be
prejudiced in the criminal proceedings should the civil proceedings
be heard first.’
[25]
[52]
As in this instance there was no legal compulsion on the respondent
to testify. The Supreme
Court of Appeal held that:
‘
In
my view the approach in
Davis
is
sound and does no more than reiterate the approach of the previous
decisions, namely that a stay will only be granted where there
is an
element of state compulsion impacting on the accused person's right
to silence. It is true that the judges in those cases
do not
specifically refer to compulsion, but this is a matter of deduction
made from the way the general principle was applied
in matters which
primarily involved sequestration proceedings. The development and
formulation of the principle occurred in the
context of sequestration
proceedings. There is no authority to support the proposition that
the principle is of application in
ordinary civil proceedings not
involving an element of compelled response on the part of the party
who seeks a stay of civil proceedings.
Our courts have only granted a
stay where there is an element of state compulsion.’
[26]
[53]
The Court further held that:
‘
[31]
I agree with the approach in
Davis
. I also think that to
extend the court's intervention to cases where an applicant for a
stay of the civil proceedings has a “hard
choice” to
make, would bring the right to remain silent into disrepute. The
ratio for the discretion being narrowly circumscribed
is that a
distinction must be maintained between the situation where an
individual has the choice whether to testify (even though
the
alternatives over which he has a choice are equally unattractive) and
where he is compelled to because a failure to do so attracts
a
penalty . . . According to the decision in
Davis
this is
necessary to ensure that the “salutary principle”,
enshrined in the right to silence, is not to be extended
beyond its
true province and thereby risk falling into disrepute . . .
[32]
The respondent in this case falls outside the category of parties who
are subject to compulsion to testify or to disclose their
defence. He
has a “hard choice” to make as to whether he should
respond to the allegations in the striking-off application
or face
the consequences of not responding. In my view, the learned judge's
broad formulation of the general principle applicable
to applications
for a stay was erroneous. The only prejudice the court below referred
to was that “making a sworn statement
in opposition to the main
application might serve to prejudice the respondent in the conduct of
his defence in the criminal matter”.
The respondent, however,
denies any wrongdoing and, if he were to respond, would in any event
probably file an exculpatory statement.
Any claim to violation of the
respondent's right to silence appears to be illusory. On the papers
the respondent has already disclosed
essentials of his defence when
he filed a plea in a related civil matter. Significantly, he has not
sought to stay those proceedings.
I do not see how he could claim
that filing an answering affidavit in the striking-off application
would prejudice him.’
[54]
The first defendant has not sought a stay of these proceedings
pending the finalization
of the criminal proceedings. Secondly, in
terms of the various authorities, she has an election to make. She
may abandon her defence
to the plaintiff’s claim or waive her
right to remain silent. There is no coercion involved. She cannot
claim prejudice as
a consequence of the election. By electing to
remain silent, she does not disclose a
bona fide
defence to
the plaintiff’s action nor any issues which warrant the matter
being referred for trial.
[55]
I have also considered the submissions made by the first defendant in
the heads of argument
and they are without merit. It is evident that
the first defendant has not raised any triable issues in her plea or
answering affidavit
and has rather contented herself with making out
a case in the heads of argument. In addition, there is no compulsion
being exerted
on the first defendant which can excuse her from
responding to the allegations in the particulars of claim as well as
in filing
an answering affidavit in opposition to summary judgment.
The authorities referred to are clear in this regard and consequently
the first defendant has not set out a
bona
fide
defence warranting this court’s refusal of the summary
judgment application.
## Costs
Costs
[56]
There is no need to depart from the usual order in relation to costs
nor have any submissions
been made that warrant this court from
departing therefrom.
## Conclusion
Conclusion
[57]
The delivery of the judgment has regrettably been delayed by a number
of factors. One of
them being that I have not had the necessary
secretarial support for a considerable period of time. This has been
brought to the
attention of the Office of the Chief Justice as well
as the Judge President, Acting Judge President and Deputy Judge
President
of the division.
## Order
Order
[58]
In the result, summary judgment is granted against the first
defendant for:
1.
Payment of the sum of R1 359 000.
2.
Interest on the aforesaid sum at the rate of 7.25% from 20 July
2021
to date of final payment.
3.
Cost of suit.
# HENRIQUES J
HENRIQUES J
#
# Appearances
Appearances
Counsel
for the plaintiff: Mr. I. Veerasamy
Plaintiff’s
attorneys: Mac Gregor
Erasmus Attorneys Inc.
First
Floor, Bond Square 12 Browns Road
The
Point,Durban
Tel
No:
031 201 8955
Reference: Mr
JM Klingbiel /sv/TAL1/000028
Email:
sandra@meattorneys.coza
justine@meattorneys.co.za
Counsel
for the defendant: C Van Reenen
Defendants
attorneys: Ravin
Singh, Asheena Singh and Company
Suite
2, Stanger Centre KingShaka Street,
Kwa-Dukuza
RKS
/ AM / CIV / MSN
Email:
ravin-asheenasingh@telkomsa.net
c/o Messenger King,
Mesdames
Asha Ramchunder Attorneys, Suite 1001 Durban Club Chambers, Durban
Date
of argument:
16 August 2022
Date
of judgment:
28 July 2023
This
judgment was handed down electronically by circulation to the
parties’ representatives by email, and released to SAFLII.
The
date and time for hand down is deemed to be 09h30 on 28 July 2023.
[1]
Joob
Joob Investments (Pty) Ltd v Stocks Mavundla Zek Joint Venture
[2009]
ZASC 23;
2009 (5) SA 1
(SCA)
para 31.
[2]
Maharaj v Barclays National Bank Ltd
1976 (1) SA 418
(A) at 426A-F.
[3]
Swart v Swart
1950 (1) SA 263
(O) at 265-267.
[4]
Mndiyata and others v uMgungundlovu CPA and others [2021] ZAECMHC 6
[5]
Maharaj
v Barclays National Bank Ltd
1976
(1) SA 418
(A) at 423A-H.
[6]
Rees and another v Investec Bank Ltd [2014] ZASCA 38; 2014 (4) SA
220 (SCA).
[7]
Ibid para 15.
[8]
Ibid.
[9]
Davis v
Tip NO and others
1996 (1) SA 1152
(W).
[10]
Ibid at 1156I-1157A.
[11]
Ibid at 1157E-H.
[12]
Ibid at 1158G-1159B.
[13]
Seapoint
Computer Bureau (Pty) Ltd v McLoughlin and De Wet NNO
1997 (2) SA 636 (W).
[14]
Seapoint
Computer Bureau (Pty) Ltd v McLoughlin and De Wet NNO
1997 (2) SA 636
(W) at 649B-C.
[15]
Ibid at 649D.
[16]
Ibid at 649D-G.
[17]
South
African Tea, Coffee and Chicory Association and others v Ynuico Ltd
and others
1997
(8) BCLR 1101
(N).
[18]
Ibid at 1106.
[19]
Equisec
(Pty) Ltd v Rodriques and another
1999 (3) SA 113 (W).
[20]
Nedcor
Bank Ltd v Behardien
2000
(1) SA 307 (C).
[21]
Ibid at 314G-I.
[22]
Ibid at 315A-B.
[23]
Law
Society of the Cape of Good Hope v Randell
[2013]
ZASCA 36; 2013 (3) SA 437 (SCA).
[24]
Ibid para 12.
[25]
Ibid para 15.
[26]
Ibid para 23.
sino noindex
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