Case Law[2025] ZAGPJHC 81South Africa
Morabe v EP Sefatsa Attorneys (2018/40287) [2025] ZAGPJHC 81 (28 January 2025)
High Court of South Africa (Gauteng Division, Johannesburg)
28 January 2025
Judgment
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## Morabe v EP Sefatsa Attorneys (2018/40287) [2025] ZAGPJHC 81 (28 January 2025)
Morabe v EP Sefatsa Attorneys (2018/40287) [2025] ZAGPJHC 81 (28 January 2025)
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sino date 28 January 2025
REPUBLIC OF SOUTH
AFRICA
IN THE HIGH COURT OF
SOUTH AFRICA
GAUTENG DIVISION,
JOHANNESBURG
CASE NO: 2018/40287
(1)
REPORTABLE: YES/NO
(2)
OF INTEREST TO OTHER JUDGES: YES/NO
(3)
REVISED: YES/NO
DATE:
28/1/2025
SIGNATURE
In
the matter between:
MORABE: MATEBOHO
PRECIOUS
PLAINTIFF
and
EP SEFATSA
ATTORNEYS
DEFENDANT
JUDGMENT
JW SCHOLTZ AJ:
1.
This is an interlocutory application for
condonation and an amendment in a professional negligence action
instituted by the plaintiff
against the defendant for damages as a
result of an alleged breach of mandate by the defendant in that the
defendant allegedly
failed to prosecute a claim on behalf of the
plaintiff against the Road Accident Fund ("
RAF
")
arising from bodily injuries allegedly sustained in a motor vehicle
collision that occurred on 22 April 2012.
2.
The parties agreed to separate the issues
of mandate and prescription in accordance with the provisions of Rule
33(4) of the Uniform
Rules of Court from all the remaining issues in
the pleadings. In their joint practice note dated 22 August
2023, the issues
in dispute were formulated as follows:
2.1
whether an agreement of mandate was
concluded between the plaintiff and the defendant in terms of which
the defendant would prosecute
a claim on behalf of the plaintiff
against the RAF as result of injuries allegedly sustained in a motor
vehicle collision;
2.2
if the court finds that such agreement of
mandate was concluded whether the plaintiff's claim against the
defendant for alleged
breach of the agreement of mandate has
prescribed.
2.3
At the commencement of hearing of the
matter on 4 September 2023, the separation was accordingly ordered in
terms of Rule 33(4).
The pleadings that were the subject of the
separation were the following:
2.3.1
the amended particulars of claim:
paragraphs 3 and 4;
2.3.2
the defendant's plea: paragraphs 3 and 4
and only insofar as they relate to the issue of mandate;
2.3.3
the amended special plea: paragraphs 1 to
9; and
2.3.4
the replication to the special plea:
paragraphs 1, 2 and 3.
3.
The evidence in the matter was heard on 4,
5, 6 and 8 September and closing submissions were heard on 13
December 2023.
4.
The plaintiff contends that the defendant
breached its mandate in that it failed timeously to institute her
claim against the RAF.
The defendant disputes the mandate and
contends that the claim ought to have been lodged by 22 April
2015, that summons ought
to have been served on the RAF by 22 April
2017 and that as a result of the plaintiff's failure to do so, her
claim against
the RAF prescribed on 23 April 2017.
5.
The plaintiff alleges that she first became
aware of the alleged breach in December 2017, when the defendant
informed her that her
claim against the RAF had not been lodged and
that her claim against the RAF had become prescribed.
6.
The defendant raised a special plea of
prescription. The defendant contends that:
6.1
On 22 February 2013, Mr Sefatsa of the
defendant advised the plaintiff that he would not proceed to lodge a
claim on her behalf
against the RAF without cover for the costs of
having the plaintiff assessed by a medical practitioner for the
purposes of completing
a serious injury assessment form (RAF 4) since
the defendant was not satisfied that the plaintiff’s injury
would qualify
as a serious injury as contemplated in the Road
Accident Fund Act and Regulation 3(1) of the regulations promulgated
thereunder.
6.2
Thus, as at 22 April 2015, when the claim
ought to have been lodged with the RAF, the plaintiff had actual
knowledge of the identity
of the debtor and of the facts from which
her debt against the defendant arose.
6.3
Prescription commenced to run from 22 April
2015. By the time the plaintiff served summons on the defendant on 12
June 2019, her
claim had already prescribed in that more than three
years had elapsed from the date when the plaintiff’s debt arose
against
the defendant.
6.4
Alternatively, in the event that the court
finds that the plaintiff did not have actual knowledge of the
identity of the debtor
and/or of the facts from which her debt
against the defendant arose before 11 June 2016, the defendant
contends that the plaintiff,
by exercising reasonable care, could
have acquired such knowledge as early as 22 February 2013 or by 22
April 2015 or at any time
before 11 June 2016. Accordingly,
it is contended, the plaintiff is deemed to have had knowledge of the
identity of the
debtor and of the facts from which the debt arose
before 11 June 2016. In the circumstances, by the time the plaintiff
served summons
on the defendant on 12 June 2019, her claim against
the defendant had prescribed.
7.
The defendant bears the onus of proving
that the claim has prescribed and the plaintiff has the duty to begin
and bears the onus
of proving the mandate.
8.
There is no dispute that the plaintiff’s
claim against the defendant constitutes a debt and that the
applicable period of
prescription is three years. When the debt arose
is in dispute. The plaintiff contends that the debt arose in December
2017 whereas
the defendant contends that it arose on 22 February 2013
or 22 April 2015 or at any time before 11 June 2016.
9.
In September 2020, the plaintiff filed a
replication to the defendant’s special plea, denying the
allegations contained in
the special plea and reaffirming her version
as pleaded in her particulars of claim.
10.
The matter proceeded to trial on the
separated on issues 4, 5, 6 and 8 September 2023, when evidence
was led by both parties.
Written closing submissions were filed
subsequently and oral closing submissions were made in December 2023.
During the oral closing
submissions, the plaintiff for the first time
indicated an intention to amend her replication in order to place
reliance on the
provisions of
section 12(2)
of the
Prescription Act
68 of 1969
. The new contention is that the defendant willfully
prevented the plaintiff from coming to know of the existence of the
debt.
Section 12(2)
of the
Prescription Act provides
that:
"If the debtor
willfully prevents the creditor from coming to know of the existence
of the debt, prescription shall not commence
to run until the
creditor becomes aware of the existence of the debt."
11.
The plaintiff now seeks leave to amend.
During closing submissions on 13 December 2023 the
plaintiff uploaded a further
reply to the defendant's special plea.
The court directed that it be regarded as a notice of intention to
amend and afforded
the defendant an opportunity to respond thereto.
The defendant timeously filed its notice of objection on
25 January 2024.
Thereafter, the plaintiff had to file her
application for leave to amend within 10 days (i.e. on or before
8 February 2024).
She now applies for condonation for
the late filing of the application for leave to amend and for an
amendment to her replication.
12.
In the plaintiff's replication to the
defendant's special plea and plea dated 29 September 2020, she
does not rely on
section 12(2)
of the
Prescription Act as
a defence
to the special plea of prescription, despite the fact that the
plaintiff knew of the plea of prescription from the date
of filing
thereof as well as the evidence that the defendant intended to rely
on.
13.
During the trial it was repeatedly put to
the plaintiff's witnesses that if their versions were correct, the
plaintiff would have
alleged and pleaded willful prevention in terms
of
section 12(2)
of the
Prescription Act. However
, there was no
amendment to the plaintiff's replication before or during the
defendant's witness's evidence in chief and cross-examination,
and it
was never alleged that Mr Sefatsa willfully prevented the plaintiff
from becoming aware of the debt.
14.
The defendant filed its written submissions
on 22 September 2023 and for reasons that are not germane to this
application, the plaintiff
only filed her written submissions a month
later, on 23 October 2023.
15.
In paragraphs 29 and 30 of the defendant's
written submissions, the following is stated:
"29
If indeed the plaintiff contacted Sefatsa in 2015 and 2016 and
Sefatsa informed her that
all was still on track with her claim and
that he would be arranging for her to be assessed by a medical
practitioner as testified
by Malele [the plaintiff's brother], it
begs the question why the plaintiff did not plead that the defendant
wilfully prevented
her from knowing that the claim had not been
lodged by 22 April 2015. This conduct would certainly meet the
requirements of 12(2)
of the
Prescription Act.
30
The
court must infer from the plaintiff’s intentional election
not to rely on a wilful prevention that the aforementioned version
by
Malele is improbable and ought to be rejected. Similarly, given the
contradictions, the plaintiff’s version that she called
Sefatsa
in March 2017 for the first time ought to be rejected as well. Once
again, if this version is to be accepted, it would
mean that the
defendant wilfully prevented the plaintiff from coming to know that
the claim had not been lodged, yet the plaintiff
failed to plead such
wilful prevention. In addition, both versions by the plaintiff are
not reliable; rather than corroborate the
plaintiff’s version,
Malele’s version contradicted the plaintiff’s version."
16.
At no time after the conclusion of evidence
on 8 September until the filing of her written submission on
23 October 2023,
did the plaintiff seek to amend her
replication in order to rely on
section 12(2)
of the
Prescription Act
and
she also did not do so after she filed her written submissions on
23 October 2023, until oral closing submissions on 13 December 2023.
17.
During argument on 13 December 2023, Mr
Smit on behalf of the plaintiff referred to the defendant's argument
in its heads to the
effect that the plaintiff should have pleaded
willful prevention. He submitted that it could not be said that
prevention
had been willful, but that it could be said that the
matter had been handled negligently. The plaintiff and Mr
Malele laboured
under the impression that all was in order and this
impression had been created negligently.
18.
After his initial submissions, the court
asked Mr Smit to clarify the willful prevention point and to confirm
that it was not the
plaintiff's case that there had been willful
prevention, but only negligence. Mr Smit replied that he could
state that there
was negligence and that the court must determine if
there had been willfulness. He submitted that the court could
infer that
it was willful because it would be submitted that the
statements could only have been made without Mr Sefatsa's satisfying
himself
that they were true. Mr Smit argued that Mr Sefatsa
just wanted to appease the plaintiff and Mr Malele and that all
evidence
pointed to the fact that the plaintiff and Mr Malele had
been continuously misinformed.
19.
At this juncture, Mr Smit indicated that he
would move for an amendment to deal with the aspect of willful
prevention and that the
defendant would suffer no prejudice as result
of such amendment.
20.
Ms
Segeels-Ncube
on
behalf of the defendant strenuously objected to the amendment as not
being properly before the court. She pointed out that
if there
had been willful prevention, it would have been pleaded in the
replication and that she would have put it to both witnesses
for the
plaintiff. She argued correctly that there was no concept of
negligent prevention in the
Prescription Act, and
that only willful
prevention, if pleaded and proved, would absolve the plaintiff.
21.
In reply, Mr Smit for the plaintiff moved
an amendment to the replication from the bar and at the same time
uploaded a document
headed "Plaintiff's reply to the defendant's
special plea" on CaseLines at 002-26 to 002-27. This purported
amendment
read as follows:
"1.
The defendant willfully prevented the plaintiff from coming to know
of the existence of the debt by
misrepresenting to the plaintiff
and/or Mr Malele that the defendant had taken all the necessary steps
in order to prosecute the
plaintiff's claim and by persisting with
this misrepresentation until or about December 2017.
Wherefore
prescription commenced to run at the earliest from December 2017."
22.
Ms Segeels-Ncube quite correctly pointed
out that there could be no amendment until there had been a notice of
amendment and if
the plaintiff wanted to bring a late amendment, she
had to do so properly. She described the purported amendment as
"an ambush in the clearest form
",
as willful prevention had not been pleaded and it was not a case that
the defendant had to meet.
23.
Both parties agreed (correctly) that in
terms of
Rule 28(10)
, the court might at any stage before judgment
grant leave to amend any pleading or document on such terms to costs
or other matters
as it deems fit. However, Ms Segeels-Ncube
stressed that any amendment had to comply with
Rule 28.
0cm; line-height: 150%">
24.
The court directed that the document
uploaded by the plaintiff at 002-26 and 002-27 on CaseLines was to be
regarded as a notice
of intention to amend and not an amendment
per
se
. The defendant was given leave
to respond to the proposed amendment within ten (10) days from 13
December 2023, excluding
the
dies non
,
after which the matter would be dealt with in terms of provisions of
Rule 28.
The matter was postponed to a day to be arranged and
costs were reserved.
25.
The defendant filed its notice of objection
in terms of
Rule 28(3)
timeously on 25 January 2024. This
meant that if the plaintiff wished to amend her replication, she was
required, within
ten (10) days, to lodge an application for leave to
amend. It is common cause that the last date for lodgement of
this application
was 8 February 2024. The plaintiff did not
lodge an application for leave to amend on 8 February 2024 or in the
days subsequent
thereto. Accordingly, I instructed my secretary
on 27 February 2024 to write to the parties in the
following terms:
"
The Court notes
that subsequent to delivery of the defendant's objection in terms of
Rule 28(3)
, the plaintiff did not lodge an application for leave to
amend in terms of
Rule 28(4).
The court will now
hear further submissions, if any, by way of a virtual hearing.
… The parties are requested
to ascertain their joint
availability… and revert to Mr Senoko."
26.
On 29 February 2024, Mr Smit, counsel for
the plaintiff, advised that:
"
It is my
instruction to apply for condonation for the late filing of an
application for leave to amend. The application will
be filed
by no later than Monday, 4 March 2024
."
27.
The plaintiff indeed filed an application
for condonation and leave to amend on 4 March 2024.
28.
The defendant filed an answering affidavit
on 10 April 2024.
29.
The plaintiff did not file a replying
affidavit, nor did she as
dominus litis,
take any further steps to advance the application. In order to
prevent further delay in progressing this matter, the court
took
further steps, through the office of the Registrar of the Deputy
Judge President, to set the application down for hearing.
For a
variety of reasons, including the availability of all concerned, the
earliest opportunity for a hearing during recess was
10 December
2024, almost a year after hearing closing submissions.
30.
Sub-rule 27(3) provides that a court may
"
on good cause shown
"
condone non-compliance with the rules.
31.
Van
Loggerenberg
[1]
states that:
"This gives the
court a wide discretion which must in principle be exercised with
regard also to the merits of the matter seen
as a whole. ...
The graver the
consequences which have already resulted from the omission, the more
difficult it will be to obtain the indulgence.
There may also
be an interdependence of, on the one hand, the reasons for and the
extent of the omission and, on the other hand,
the merits of the
case. The courts have consistently refrained from attempting to
formulate an exhaustive definition of what
constitutes "good
cause", because to do so would hamper unnecessarily the exercise
of the discretion."
32.
In
Grootboom
v National Prosecuting Authority
[2]
the Constitutional Court said the following:
"
It
is now trite that condonation cannot be had for the mere asking.
A party seeking condonation must make out a case entitling
it to the
court's indulgence. It must show sufficient cause. This
requires a party to give a full explanation for the
non-compliance
with the rules or court's directions. Of great significance,
the explanation must be reasonable enough to
excuse the default.
[3]
…
In
many instances, very flimsy explanations are proffered. In
others, there is no explanation at all. The prejudice
caused to
the court is self-evident. A message must be sent to litigants
that the rules and the court's directions cannot
be disregarded
within impunity."
[4]
33.
Van
Loggerenberg
[5]
states that one
of the principal requirements for the favourable exercise of a
court's discretion is
"…
that the applicant should file an affidavit satisfactorily explaining
the delay. In this regard, it has been
held that the defendant
must at least furnish an explanation of his default sufficiently full
to enable the court to understand
how it really came about, and to
assess his conduct and motives. A full and reasonable
explanation which covers the entire
period of delay must be
given
[6]
.
If there has been a long delay, the court should require the party in
default to satisfy the court that the relief sought
should be
granted, especially in a case where the applicant is the dominus
litis. It is not sufficient for the applicant
to show that
condonation will not result in prejudice to the other party. An
applicant for relief must show good cause; the
question of prejudice
does not arise if it is unable to do so."
[7]
34.
Most
authorities also lay down the requirement that the granted indulgence
must not prejudice the other party in any way that cannot
be
compensated for by a suitable order as to postponement and costs.
[8]
35.
A
litigant who asks for an indulgence should act with reasonable
promptitude. She must be scrupulously accurate in her statement
to the court and other neglectful acts in the history of the case are
relevant to show her attitude and motives.
[9]
36.
In
Grootboom
v National Prosecuting Authority
[10]
,
the
Constitutional Court held that the standard for considering an
application for condonation is the interests of justice.
The
court stated the following:
"
However, the
concept 'interests of justice' is so elastic that it is not capable
of precise definition… It includes: the
nature of the relief
sought; the extent and cause of the delay; the effect of the delay on
the administration of justice and other
litigants; the reasonableness
of the explanation for the delay; the importance of the issue to be
raised...; and the prospects
of success.
It is crucial to
reiterate that … the ultimate determination of what is in the
interests of justice must reflect due regard
to all the relevant
factors but it is not necessarily limited to those mentioned above.
The particular circumstances of each
case will determine which of
these factors are relevant."
37.
The court also stated that:
"The
interests of justice must be determined with reference to all
relevant factors. However, some of the factors may justifiably
be
left out of consideration in certain circumstances. For example
where the delays are unacceptably excessive and there
is no
explanation for the delay, there may be no need to consider the
prospects of success. If the period of delay is short
and there
is an unsatisfactory explanation but there are reasonable prospects
of success, condonation should be granted.
However, despite the
presence of reasonable prospects of success, condonation may be
refused where the delay is excessive, the
explanation is non-existent
and granting condonation would prejudice the other party. As a
general proposition, the various
factors are not individually
decisive but should all be taken into account to arrive at a
conclusion as what is in the interests
of justice."
[11]
38.
It
has also been held by the Appellate Division (as it then was) that an
applicant should, whenever he realises that he has not
complied with
a rule of court, apply for condonation without delay
[12]
.
39.
Van
Loggerenberg submits that an application to amend as contemplated in
rule 28(4)
should comply with the relevant provisions of
rule 6
and
cannot be made orally from the bar.
[13]
This was also the attitude of the defendant's counsel in this matter
and one with which the court agrees. To the extent
therefore,
that the plaintiff's counsel purported to make an application for
amendment from the bar on 13 December 2023, this was
not competent.
However, in order to expedite matters and to accommodate and be fair
to both parties, I made an order converting
(for want of a better
word) the purported amendment uploaded on CaseLines on that day and
during argument into a notice of intention
to amend and directed that
it be regarded as such, while at the same time affording the
defendant ample opportunity to respond
thereto and directing that
thereafter the matter be dealt with according to the provisions of
Rule 28.
This amounted to an indulgence to the plaintiff.
40.
In
Vinpro
NPC v President of Republic of South Africa
[14]
,
the
full court held as follows:
"On this score,
it is trite law: that a court is vested with a discretion as to
whether to grant or refuse an amendment; that
an amendment cannot be
granted for the mere asking thereof; that some explanation must be
offered therefor; that this explanation
must be in the founding
affidavit filed in support of the amendment application; that if the
amendment is not sought timeously,
some reason must be given for the
delay; that the parties seeking the amendment must show prima facie
that the amendment has something
deserving of consideration; that the
party seeking the amendment must not be mala fide; that the amendment
must not be the cause
of an injustice to the other side which cannot
be compensated by costs; that the amendment should not be refused
simply to punish
the applicant for neglect and that mere loss of time
is no reason, in itself, for refusing the application."
41.
In
Moolman
v Estate Moolman
[15]
,
the court held that:
"[
T]he practical
rule adopted seems to be that an amendment will always be allowed
unless the application to amend is mala fide or
unless such amendment
would cause an injustice to the other side which cannot be
compensated by costs, or in other words unless
the parties cannot be
put back for the purposes of justice in the same position as they
were when the pleading which it is sought
to amend was filed."
42.
Van
Loggerenberg
[16]
states that
there may however be cases where no terms would overcome the
prejudice which the amendment would cause to the other
party, citing
as an example that an amendment would not be allowed where it is
applied at such a late stage in the proceedings
and not timeously
raised to enable proper investigation and response thereto.
43.
There
is ample authority for the rule that the onus rests on the party
seeking the amendment to establish that the other party will
not be
prejudiced by it.
[17]
44.
In
Minister
van die SA Polisie v Kraatz
[18]
and
Gollach
& Gomperts (1967) (Pty) Ltd v Universal Mills & Produce Co
(Pty) Ltd
[19]
,
the Appellate Division (as it then was) stressed that a litigant who
seeks to add new grounds of relief at the eleventh hour does
not
claim such an amendment as a matter of right but rather seeks an
indulgence. The applicant has to prove that he did not
delay
the application after he became aware of the material upon which he
proposes to rely. He must explain the reason for
the amendment
and show
prima
facie
that he has something deserving of consideration; a so-called triable
issue.
[20]
45.
In
Ciba-Geigy
(Pty) Limited v Lushof Farms
[21]
,
the
Appellate Division held that the greater the disruption caused by the
amendment the greater the indulgence sought, and accordingly
the
burden upon the applicant to convince the court to accommodate him.
In that case, the cases of both defendants had already
been closed.
They would have had to reopen their cases and recall witnesses to
address the new allegations. The Appellate
Division accordingly found
that they would suffer serious prejudice and upheld the trial court's
refusal of the amendment.
The similarities with the present
application are obvious.
46.
In his submissions, Mr Smit on behalf of the plaintiff argued that
the delay in bringing
the application for amendment was not
inordinate as it had been filed less than a month from the due date
(being 8 February 2024).
He further submitted that there were
valid reasons for the delay, although each and every day could not be
accounted for.
He argued that the delay was very short and that
the prospects of success were very good.
47.
He further argued that the most important point was that the
defendant's version was
that the conversations that constituted the
alleged wilful prevention did not take place and that therefore the
defendant's counsel
could not ask any more questions regarding
conversations that did not take place. In her submissions, Ms
Segeels-Ncube for
the defendant said that the difficulty with the
plaintiff's condonation application was that the devil in the detail
had been avoided
and that this was not a case where the court's
discretion should be exercised in favour of the plaintiff.
48.
She pointed out that there were three key factors to be considered in
determining
the application for condonation namely: first, the extent
and cause of the delay; second, the explanation for the delay; and
third,
the prospects of success, meaning not only the prospects of
success in the main action but also, crucially, in the application
for amendment. The court agrees with this analysis.
49.
Referring to paragraph [23] of the
Grootboom
judgment, it was
argued that the conduct of the applicant had to be reasonable enough
to excuse the default. The explanation
of the applicant was not
reasonable because it only started on the day that the application
for amendment was due. There
was no explanation as to why it
was not filed on that day, nor is there any explanation as to what
happened before. The court
needs to hear what the plaintiff did
to comply or attempt to comply with the deadline first, and only then
what caused her inability
to do so. The applicant only deals
with what happened afterwards.
50.
The applicant must deal with the prospects of success of the
application for leave
to amend and this was nowhere dealt with.
The applicant must also explain why the amendment was brought so
late, particularly
in the circumstances of the case, when the issue
of wilful prevention had been flagged numerous times. The
plaintiff must
fully explain the delay in bringing the amendment, as
in the absence of that it smacks of an ambush. The applicant simply
says
that the amendment is brought to bring it in line with evidence,
but this is not so. It was repeatedly put to the plaintiff's
witnesses
that if their version was correct, they would have pleaded
wilful prevention upfront. It was not about Mr Sefatsa's
version
that the conversations never happened; it was about the
veracity of the plaintiff's version. Mr Sefatsa had never been
told
that he had to meet a case of wilful prevention. If the
plaintiff had pleaded wilful prevention before the trial, the
defendant
would have interrogated wilful prevention and what
constitutes wilful prevention, Ms Segeels-Ncube argued.
51.
She further argued that the applicant had not dealt with prejudice,
on which she bears
the onus. She pointed out that there was
also prejudice to the court. As regards prejudice, the
following is stated
in paragraph 11.4 of the respondent's answering
affidavit at 020-28:
51.1
"The suggestion that the respondent has not suffered
prejudice is incorrect. Not only was the respondent entitled to
finality of this matter, but it was also entitled to assume that the
applicant had no intention to pursue the leave to amend.
This
has caused further delay in a long line of delays caused by the
applicant. The mere fact that the applicant brought
the
proposed amendment on the day when closing argument was heard, shows
the prejudice suffered by the respondent. The applicant
does
not address this at all
."
52.
In paragraph 12.6 of the respondent's answering affidavit at 020-29 -
020-30, the
following is stated:
"If the amendment
had been made timeously and the applicant relied on wilful
prevention, the respondent would have extensively
cross-examined the
applicant's witnesses on the veracity of their versions and whether
those versions demonstrate wilful prevention.
The respondent
would also have spent a fair amount of time in examination in chief
of its own witness to demonstrate that there
was no wilful
prevention. The applicant's failure to amend timeously has
deprived the respondent of this opportunity.
To allow the
amendment would not result in the full ventilation of the issues, it
would only assist the applicant to close a gap
she did not appreciate
until closing argument. This would severely and irretrievably
prejudice the respondent. The
respondent is entitled to know
the case it has to meet timeously in order to prepare its defence
accordingly."
53.
The plaintiff did not file a replying affidavit and did not address
these clearly
articulated points of prejudice.
54.
Ms Segeels-Ncube argued that there was no prejudice to the plaintiff
because on the
plaintiff's own version, she had led all the evidence
she wanted to lead. This was not a case where the plaintiff was
non-suited.
55.
She also argued that there was no proper explanation of the late
amendment.
The applicant only says it is to bring it in line
with its evidence. However, the cases make it clear that the
party seeking
amendment must say why it is late and why it did not
bring the amendment earlier.
56.
It was further argued that the proposed amendment, if granted, would
result in reopening
of the case where the plaintiff has failed to
explain to the court why it should come to her aid at such a late
stage.
57.
Referring to the
Ciba-Geigi case
, it was argued that the
greater the disruption caused by the amendment as in the present
case, the greater the indulgence sought,
and hence the burden upon
the applicant to convince the court to accommodate her. The plaintiff
has not met this burden, it was
argued.
58.
In reply, Mr Smit said that if the amendment were to be granted, the
case need not
be reopened. He said the amendment was "merely
a question of housekeeping" for the plaintiff to bring the case
in line with the evidence led. However, the plaintiff's grounds
of prejudice are not addressed
seriatim
or at all.
59.
The first difficulty that the applicant faces in this application is
providing a full
and proper explanation for her failure to comply
with the directions of the court and the time limits imposed by
Rule
28.
As the Constitutional court pointed out in
Grootboom
,
it is of great importance that the explanation must be reasonable
enough to excuse the default. In the present case, the
founding
affidavit states nothing about the steps taken by the applicant to
submit a proper application for leave to amend by the
expiry date of
8 February 2024.
60.
Mr Jordaan
(the plaintiff's attorney who deposed to the affidavit in support of
the application) states that he developed back pain
on that day and
then provides doctor's certificates that attest to his incapacity to
work on a number of days during the period
spanning from that day to
4 March 2024, when the application for amendment was eventually
filed. What the court finds of
significance is that Mr Jordaan
or a member of his office did not inform the defendant or the court
on or before 8 February 2024
of the fact that the applicant
would be unable to file an application timeously. There was
also no attempt to approach the
respondent for an extension.
What is also significant is that during the period in question, it
appears that Mr Jordaan was
well enough to attend to other matters
and that there are days when his unavailability or inaction is
unexplained and unaccounted
for. He has not been "scrupulously
accurate" in his explanation to the court. The conclusion seems
inescapable
that, had it not been for the Court's email of 27
February 2024 pointing out that the applicant had not filed an
application for
leave to amend, the matter would have been delayed
even further. The law provides that an applicant should
whenever he realises
that he has not complied with a rule of court,
apply for condonation without delay. This has not happened in
the present
case, because even when the court brought to his
attention that the application had not been brought, he did not deal
with it immediately.
Mr Smit only replied on 29 February 2024
that he had been instructed to bring an application for condonation
and this application
was only filed on 4 March 2024.
The law is clear that an applicant for condonation must furnish an
explanation
sufficiently full to enable the court to understand how
it really came about and to assess his conduct and motives. A
full
and reasonable explanation which covers the entire period of
delay must be given.
[22]
This
has not been forthcoming in the present application.
61.
That being the case, it needs to be considered whether there are
other factors which,
taken as a whole, would render it in the
interests of justice to grant condonation. In this regard, the
prospects of success
not only in the main matter but also in the
application for amendment, assumes even more of importance. In
this respect,
the facts and arguments which the applicant placed
before the court are scant. They largely amount to assertions
that there
would be no prejudice to the respondent. So for
example in paragraph 23 at 020-10 of Mr Jordaan's affidavit, he
simply
states that:
"
In
its objection, the defendant does not state what its prejudice would
be if the amendment is allowed. I humbly submit that
there is
none."
62.
This bald assertion was repeated by Mr Smit during closing
submissions on 13 December 2023
and during the argument in
the current application on 10 December 2024.
63.
By contrast, the respondent sets out in some detail in its answering
affidavit in
this application why it would suffer prejudice.
These reasons are elaborated upon in the defendant's heads of
argument and
were further expanded on in argument on 10 December
2024.
64.
The applicant did not file a replying affidavit to address these
concerns. In
the applicant's heads of argument, the question of
prospects of success and prejudice are also dealt with very
cursorily.
It is merely said in paragraph 8 of her heads of
argument that the plaintiff's prospects of success in the action are
patent from
the founding affidavit and the evidence led at the
trial. The prospects of success of the amendment are not dealt
with, except
in paragraph 9, where it is said that in respect of the
question of prejudice, "
the defendant suffers none, whereas
the plaintiff will suffer greatly if the condonation is not granted
since this case is of the
utmost importance to her financial
future
". The applicant is generally dismissive of the
prejudice that the defendant will suffer as a result of the very late
amendment sought and never addresses with any granularity the
concerns enumerated by the defendant head-on, except to say that
the
case need not be reopened because it was "
merely a question
of housekeeping for the plaintiff to bring the case in line with the
evidence led
". This response is, with respect, glib
and insufficient to discharge the burden which the plaintiff has, to
show that
granting of the indulgence sought will not prejudice the
defendant in any way that cannot be compensated for by a suitable
order
as to postponement and costs.
65.
Considered holistically and making a value judgment based on the full
conspectus of
the pertinent facts, taking all factors into account
and having particular regard to the warnings expressed in the case
law referred
to, to the effect that condonation is not for the mere
asking, that sufficient cause must be shown and that flimsy
explanations
will not be countenanced, I have come to the
conclusion that it would not be in the interests of justice to grant
condonation.
66.
As regards
costs, the law is clear that the granting of an amendment is an
indulgence which entails that the party seeking the amendment
is
generally liable for all the costs occasioned by or wasted as a
result of the amendment. Such costs have often been held
to
include the costs of such opposition as is reasonable in the
circumstances and not vexatious or frivolous. The court has
an
unfettered discretion as regards the award of costs and its exercise
is essentially a matter of fairness to both sides
[23]
.
67.
In the result, the following order is made:
The
application for condonation and hence the application for amendment
are dismissed with costs, such costs to be taxed on scale
B.
JW SCHOLTZ
ACTING JUDGE OF THE
HIGH COURT
GAUTENG LOCAL
DIVISION, JOHANNESBURG
This
judgment was handed down electronically by circulation to the
Parties’ legal representatives by email and by being uploaded
to CaseLines. The date of this judgment is deemed to be 28 January
2025
Appearances:
Appearance
for Applicant:
Mr
DJ Smit
Instructed
by:
Leon
JJ van Rensburg
Applicant's
attorneys, Edenvale
Appearance
for Respondent:
Adv
L Segeels-Ncube
Instructed
by:
Eversheds
Sutherland (SA) Inc, Johannesburg
Date
of hearing:
10 December 2024
Date
of Judgment:
28
January 2025
[1]
Erasmus
Superior Court Practice,
second
edition ("Van Loggerenberg"), at pages D1
Rule 27
-
2
and D1
Rule 27
-
3
and the cases cited in footnotes 14 and 5
[2]
2014
(2) SA 68 (CC)
[3]
at
paragraph [23], p76 C-D
[4]
at
paragraph [34], p79 A-B
[5]
at
p D1
Rule 27
-
4
[6]
Van Wyk
v Unitas Hospital
,
[2007] ZACC 24
;
2008 (2) SA 472
(CC) at par
[22]
, p477 E-F
[7]
Standard
General Insurance Co Ltd v Eversafe (Pty) Ltd,
2000 (3) SA 87
(W) at paragraphs [12] and [15], pp93 E-H and 95 D-F
[8]
Van Loggerenberg p D
Rule 27
–
5
and authorities there cited
[9]
Duncan
t/a San Sales v Herbor Investments (Pty) Ltd
,
1974 (2) SA 214
[T] at 216 E to H
[10]
loc
cit at paragraph [22], 76 A-C per Bosielo AJ.
[11]
per
Zondo J (as he then was) at paragraph [51], 83 G-H
[12]
Commissioner
for Inland Revenue v Burger
,
1956 (4) SA 446
(A) at 449 G - H
[13]
at
p D1
Rule 28
-
2
[14]
Unreported
Western Cape Division judgment, WCC case no 1741/2021 at paragraph
[25]
[15]
1927
CPD 27
at 29.
[16]
P
age
D1
Rule 28
-
8
and footnote 8 and the authorities there cited.
[17]
Van Loggerenberg page D1
Rule 28
-
9
and the authorities cited in
footnote 1 on that page
[18]
1973
(3) SA 490
(A) at 512 E - H
[19]
1978
(1) SA 914
(A) at 928 D
[20]
Trans-Drakensberg
Bank Limited (under judicial management) v Combined Engineering
(Pty) Limited
1967 (3) SA 632 (D) 641 A
[21]
2002
(2) SA 447
(SCA) at 464 E
[22]
Van
Wyk v Unitas Hospital
,
paragraph [23] 477 E-F
[23]
Hart
v Broadacres Investments Limited,
1978
(2) SA 47
(N) at 51D and G
sino noindex
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