Case Law[2024] ZAGPJHC 1067South Africa
Merchant West Specialised Finance (Pty) Ltd v Le Grange and Another (Reasons) (2023/063944) [2024] ZAGPJHC 1067 (22 October 2024)
High Court of South Africa (Gauteng Division, Johannesburg)
22 October 2024
Judgment
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# South Africa: South Gauteng High Court, Johannesburg
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## Merchant West Specialised Finance (Pty) Ltd v Le Grange and Another (Reasons) (2023/063944) [2024] ZAGPJHC 1067 (22 October 2024)
Merchant West Specialised Finance (Pty) Ltd v Le Grange and Another (Reasons) (2023/063944) [2024] ZAGPJHC 1067 (22 October 2024)
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sino date 22 October 2024
REPUBLIC
OF SOUTH AFRICA
IN
THE HIGH COURT OF SOUTH AFRICA,
GAUTENG
DIVISION, JOHANNESBURG
CASE
NO: 2023-063944
(1)
REPORTABLE: YES / NO
(2)
OF INTEREST TO OTHER JUDGES: YES / NO
In
the matter between
:
Merchant
West Specialised Finance (Pty) Ltd
Applicant
And
Jonathan
Le Grange
1
st
Respondent
Pieter
De La Porte
2
nd
Respondent
REASONS FOR ORDER
Raubenheimer
AJ:
Order
[1]
In this matter I make the following order:
a. The application
is dismissed with costs on scale B
[2]
The reasons for the order follow below.
Introduction
[3]
The matter came before me on 18 June 2024 in the urgent court only in
respect of the relief against the First Respondent
as the dispute
with the Second Respondent had become settled.
[4]
The relief claimed was that the First Respondent be interdicted and
restrained, for the period from 18 June 2024 to 17
June 2025 from:
4.1
Soliciting orders from the Applicant’s customers for similar or
any competing services, from canvassing business
in respect of the
Applicant’s services or competing services from the Applicant’s
customers or any competitors.
4.2 Rendering
any service or competing services to any of the Applicant’s
customers or any competitors.
4.3
Soliciting appointments as a distributor, licensee, agent, employee
or representative or any of the Applicant’s
suppliers in
respect of services on behalf of or for the benefit of a supplier.
4.4
Encouraging or enticing employees of the Applicant to leave the
employment of the Applicant or be either employed
or engaged by
another entity in any capacity whatsoever.
4.5
Encouraging or enticing customers and/or suppliers of the Applicant
to transfer their business to another entity.
4.6 Anywhere
in the Republic of South Africa, whether as a proprietor, partner,
director, shareholder, employee, consultant,
contractor, financier,
agent, representative, assistant or member of, or holding or
whatsoever in relation to any person and whether
for its direct or
indirect benefit or for reward or otherwise, from, directly or
indirectly, being interested or engaged in, concerned
with, or
employed by Cetrafin (Pty) Ltd or any other competitor, whether
directly or indirectly, of the Applicant.
4.7
Disclosing, in any manner whatsoever, the know-how, process or
invention, any marketing or business technique which
is carried on or
used by the Applicant, and secret and confidential information
including, but not limited to information pertaining
to the
Applicant’s clients/customers, the Applicant’s know-how,
trade secrets, artistic works, designs, drawings, sketches,
plans,
technical know-how and data, systems, software, processes, methods,
client/customer lists and marketing and financial information;
and
any programme or programming developed by or for the Applicant,
contracts and personal introductions at all levels, and inventions,
patents, trademarks and copyrights.
[5]
I dismissed the application after hearing both parties as I was not
persuaded that there was indeed a protectable interest.
[6]
The applicant requested reasons in terms of Rule 49(3). These are the
reasons for the order.
The
parties
[7]
The applicant operates in the financial industry providing
specialised financial solutions and advisory services to business
entities and high net worth individuals. It has been in operation
since 1998.
[8]
The services provided by the applicant entails asset finance, working
capital solutions, fleet, investment, treasury solutions,
property
finance, private wealth and specialised finance tailor made lending,
wealth and asset management and transactional solutions
to the
mentioned clientele.
[9]
Apart from operating offices in some of the major commercial hubs in
South Africa such as Johannesburg, Cape Town, Pretoria,
George,
Durban, Mbombela, Gqeberha, it also has offices in Namibia, Botswana
and North Carolina.
[10]
The applicant employed the first respondent, initially as a junior
credit analyst since April 2021, the corporate
credit department and
eventually the administration department in 2023.
The
restraint of trade agreement
[11]
The applicant and the first respondent concluded an employment
contract of which the relevant clauses are as follows:
11.1 The First
Respondent would render services generally associated with his
position as more fully described in the agreement;
11.2 On termination
by either party the First Respondent is required to work notice
periods ranging from 1 week to 4 weeks
depending on the duration of
the employment
11.3 The First
Respondent would in the scope of performing his duties acquire
consideration(
sic)
know-how, trade secrets, business
connections, confidential information, techniques and business
information of the Applicant;
11.4 The First
Respondent shall have access to the customer information of the
Applicant;
11.5 The First
Respondent undertook for a period of twelve months after terminating
his employment with the Applicant not
to:
11.5.1 Solicit
orders from the customers of the Applicant for similar or competing
services;
11.5.2 Canvas
business from the Applicant’s customers for the services of the
Applicant or competing services;
11.5.3 Render any
service or competing service to the customers of the Applicant;
11.5.4 Solicit
appointment as a distributor, licensee, agent, employee or
representative of the suppliers of the Applicant
in respect of
services including on behalf of or for the benefit of a supplier;
11.5.5 Encourage or
entice employees of the Applicant to leave its employment or be
employed or engaged by another entity
in any capacity whatsoever;
11.5.6 Encourage or
entice customers and/or suppliers of the Applicant to transfer their
business to another entity.
Chronology
[12]
The First Respondent responded to an advertisement on LinkedIn of a
position in which he was interested.
[13]
He applied for the position in March 2024 and was requested to send
in his curriculum vitae which he did on 2 April
2024.
[14]
On 15 May 2024 he was informed that his application was successful
and submitted his resignation to the Applicant
on 20 May 2024.
[15]
The Applicant reminded him of his restraint of trade via a letter on
21 May and he attended a meeting with the
management of the Applicant
on 22 May to discuss the possibility of a relaxation of the restraint
of trade. Nothing came of the
meeting and the management of the
Applicant did not respond to his request.
[16]
The First Respondent was hospitalised and subsequently on sick leave
from 25 May to 1 June. During his absence,
his laptop was swept, and
it was confirmed that no confidential information was shared.
[17]
The First Respondent was served with the current application on 11
June 2024.
[18]
At the time of the launching of the application the First Respondent
had not yet commenced employment with the
alleged competitor.
The
alleged competitor
[19]
The alleged competitor has been in business for the past 22 years. It
specialises in a niche market of equipment
financing in the office
automation, security and surveillance, audio visual, manufacturing
equipment, material handling equipment
and plant equipment.
[20]
It is not involved in wealth management and does not deal with high
net worth individuals.
[21]
The Applicant in its founding affidavit suggested that the First
Respondent’s mere taking up of employment
with an entity which
the Applicant deems to be a direct competitor, in and of itself,
constitutes a breach of the restraint of
trade agreement.
[22]
The First Respondent, in his answering affidavit materially
challenged the Applicant’s contention that Centrafin
(Pty) Ltd
(hereafter “Centrafin”) is indeed a direct competitor of
the Applicant. The business of Centrafin, even on
the version of the
Applicant, is focussed on asset finance specific to business
equipment.
[23]
Even if a case was made out by the Applicant in its papers that
Centrafin is a competitor of the Applicant in certain
areas of
business relating to asset finance for business equipment, the
Applicant made no factual averments that the Respondent
attempted to
breach his obligations as set out in paragraph 14.2 (subparagraphs
14.2.1 to 14.2.6 thereof) of his contract of employment.
[24]
The First Respondent on the other hand specifically denied that his
new employer is a direct competitor of the
Applicant.
The
protectable interest
[25]
To be
successful in the enforcement of a restraint of trade application the
Applicant has to make out a case in its Founding Affidavit
for the
existence of a protectable interest.
[1]
[26]
Although
protectable interests are not limited to a closed group
[2]
,
such
interests comprises in essence the following two types
:
[3]
[27]
Relationships
with customers, potential customers, suppliers and others that go to
make up what is compendiously referred to as
the “trade
connection” of the business, being the important aspect of its
incorporeal property known as goodwill
;
[4]
[28]
All confidential matter which is useful for the carrying on of the
business and which could therefore be used by
a competitor, if
disclosed to him, to gain a relative competitive advantage commonly
referred to as “trade secrets”.
[29]
Confidential
information must not be in the public domain and must objectively be
worthy of protection and must have a value.
[5]
[30]
Such
information is classified as information:
[6]
30.1 received by an
employee about business opportunities available to an employer;
30.2 that is useful
or potentially useful to a competitor, who would find value in it;
30.3 relating to
proposals, marketing or submissions made to procure business;
30.4 relating to
price and/or pricing arrangements, not generally available to third
parties;
30.5 that has
actual economic value to the person seeking to protect it;
30.6 in respect of
customer data, details and particulars;
30.7 the employee
is contractually, regulatory or statutory required to keep
confidential;
30.8 relating to
the specifications of a product, or a process of manufacture, either
of which has been arrived at by the
expenditure of skill and industry
which is kept confidential; and
30.9 information
relating to know-how, technology or method that is unique and
peculiar to a business.
[31]
The
protection of trade connections arises where the particular employee
not only has access to customers but is also in a position
to
establish a relationship of such nature
[7]
that he would with ease be able to induce or persuade the customers
to follow him to the new employer when he leaves the employment
of
the current employer.
[8]
[32]
For a
relationship such as this to develop the employee would have to be in
a position where he acquires “such personal knowledge
of and
influence over the customers of his employer … as would enable
him (the servant or apprentice), if competition were
allowed, to take
advantage of his employer’s trade connection”
[9]
[33]
Determining
whether this threshold has been attained is a factual question and
depends on the following factors:
[10]
33.1
The duties of the employee;
33.2
The personality of the employee;
33.3
The frequency and duration of the contact between the employee and
the customers;
33.4
Where the contact occurred;
33.5
What knowledge the employee obtains about the business and
requirements of the customers;
33.6
The general nature of the relationship between the employee and the
customer;
33.7
The extent of reliance on the employee by the customer;
33.8
The degree of personal involvement of the relationship;
33.9
Whether the
position occupied by the employee would provide him access to
customer and customer information
[11]
[34]
The mere
allegation that there are protectable interests does not suffice.
[12]
[35]
The
Applicant has not only to allege facts from which the conclusion can
be reached that the information is confidential and that
the trade
connections is indeed protectable but furthermore when and how the
employee was exposed to them
.
[13]
[36]
The
existence and essence of the protectable interest should be disclosed
in such detail to afford the court with evidence as to
the existence
of such a protectable interest in accordance with the general
principles applicable to motion proceedings.
[14]
Application
[37]
The following aspects will be dealt with in this section:
37.1 Whether the
Applicant has a protectable interest;
37.2 Whether there
was a breach of the restraint agreement.
[38]
The Applicant deals scantily with the protectable interest and
dedicates a mere six paragraphs to this aspect.
[39]
There are extraordinarily little facts dealing with the confidential
information and even less dealing with the
trade connections.
[40]
The mere provision of financial advice in respect of the provision of
credit and the calculation of a credit score
is not sufficient
evidence of the existence of a protectable interest.
[41]
The Applicant specifically stated that it will not disclose its
unique products and methodologies in much detail.
[42]
Although it
is not required that the Applicant disclose its trade secrets or
confidential information it still has to provide sufficient
evidence
for a court to determine whether the interests are protectable.
[15]
[43]
Credit scores are calculated across the financial services industry
on a regular basis.
[44]
The Applicant did not indicate any uniqueness in the methodology, its
uses or the factors or combination of factors
taken into
consideration in conducting its risk assessment or calculating its
credit score.
[45]
The Applicant similarly did not elaborate on its use of any software
or databases that it uses and whether the
First Respondent had any
involvement in the development, upgrading or maintenance of the
software. Neither did the Applicant indicate
whether the software was
off the shelf, customised or custom developed for its purposes.
[46]
The First Respondent was employed in a junior position in three
departments over the course of his employment with
the Applicant. He
ended up in the office administration department that had nothing to
do with office automation.
[47]
He was never elevated to a senior position where he could have had
access to client data or establish a relationship
with customers of
such nature that he would be able to induce or persuade them to
follow him to his new employer.
[48]
At some stage, his access to specific modules of the software
programmes were revoked or limited.
[49]
He worked at the corporate credit department for a noticeably brief
period of time of approximately one month,
whereafter he was
transferred to the administration department and where his access and
exposure to data, software and other information
was severely
limited.
[50]
The First Respondent was throughout his employment period limited as
to the inner workings of the Applicant and
not only had a limited
understanding but also limited exposure to the trade secrets of the
Applicant.
[51]
The restraint provisions of the contract of employment prohibits the
First Respondent from rendering “any
service or competing
service to the customers of the Applicant.” There is not a
singular averment made in the Applicant’s
affidavit that the
First Respondent ad indeed breached or attempted to breach such
provision.
[52]
This prohibition as it is defined in clause 14.2 of the contract of
employment in any event seems to be limited
to a “contract of
services” (
location conductio operis)
and then only in
respect of such services being offered by the First Respondent
personally and then again limited only to the customers
of the
Applicant.
[53]
Taking up employment with a different employer amounts to a contract
of employment (
location conductio operarum)
and does not
amount to the rendering of services to a customer of the Applicant.
There is no allegation that the new employer is,
or was a customer of
the Applicant.
[54]
There is no provision in the restraint clause that prohibits the
First Respondent from taking up employment with
a different employer.
In fact, the restraint clause does not expressly prohibit the
Applicant form taking up employment with a
competitor of the
Applicant.
[55]
Consequently, there was no breach of the restraint clause of the
contract of employment.
Conclusion
[56]
For the reasons set out above I conclude that the Applicant has not
succeeded in proving the existence of a protectable
interest. Neither
has the Applicant proven that there occurred a breach of the
restraint. For these reasons, the application was
dismissed.
ACTING
JUDGE OF THE HIGH COURT OF SOUTH AFRICA
GAUTENG
DIVISION
JOHANNESBURG
Electronically
submitted
Delivered:
This judgement was prepared and authored by the Acting Judge whose
name is reflected and is handed down electronically
by circulation to
the Parties / their legal representatives by email and by uploading
it to the electronic file of this matter
on CaseLines. The date of
the judgment is deemed to be
22 October 2024
Counsel
for the Applicant:
Adv
McTurk
Instructed
By:
Uys
Matyeka Schwartz Attorneys
Counsel
for the Respondent:
Adv
Botha
Instructed
By:
Herman
Vermaak Attorneys
Date
of Argument:
18
June 2024
Date
of Judgment:
22
October 2024
[1]
Interpark (South Africa) Ltd v Joubert and Another (09/29946) [2010]
ZAGPJHC 39 (17 May 2010),
Magna-Alloys and
Research SA (Pty) Ltd v Ellis 1984(4) SA 874 (A).
[2]
Labournet (Pty) Ltd v Jankielsohn and Another (2017) 38 ILJ 1302
(LAC)
[3]
Sibex Engineering Services (Pty( Ltd v Van Wyk and Another
1991 (2)
SA 482
(T);
Experian South Africa
(Pty) Ltd v Haynes and Another
2013 (1) SA 135
GSJ;
Venter and Others v
Twenty Four Motors CC ta Ford Ermelo (JA34/2024)
[2024] ZALAC 32
(28
June 2024),
Voltex (Pty) Ltd
v Jackson (5110/2024)
[2024] ZAFSHC 311
(30 September 2024))
[4]
Morris (Herbert) Ltd Saxelby (1916) 1 AC 88 (HL)
[5]
Dot Activ (Pty) Ltd v Daubinet and Another (2023) 44 ILJ 785 (LC)
[6]
Dickenson Holdings Group (Pty) Ltd and Others v Du Plessis and
Others
1 All SA 583
(D);
Jonsson Workwear (Pty)
Ltd v Williamson and Another (2014) ILJ 712 (LC);
David Crouch Marketing
CC v Du Plessis (2009) ILJ 1828 (LC);
Esquire
System Technology (Pty) Ltd t/a Esquire Technologies v Cronje and
Another (2011) 32 ILJ 601(LC)
[7]
Esquire System Technology (Pty) Ltd t/a Esquire Technologies v
Cronje and Another (2011) 32 ILJ 601(LC).
[8]
Rawlins and Another v Caravan Truck (Pty) Ltd
[1992] ZASCA 204
;
1993
(1) SA 537
(A).
[9]
Morris (Herbert) Ltd Saxelby (n 4 above) Recycling Industries (Pty)
Ltd v Mohammed and Another
1981(3) SA 250 (E).
[10]
Drewtons (Pty) Ltd v Carlie
1981 (4) SA 305
(C), FMW Admin Services
CC v Stander and Others
(2015) 36 ILJ 1051 (LC).
[11]
Pest Control (Central Africa) Ltd v Martin and Another
1955 (3) SA
609
(SR), Dickenson Holdings (Group) (n 6 above)
[12]
Mozart Ice Cream Classic Franchises (Pty) Ltd v Davidov and Another
(2009) 30 ILJ 1750 (C ), Viamedia (Pty) Ltd v Sessa (unreported
judgement of CPD case no 8679/2008)
[13]
Mozart Ice Cream Classic Franchises (n 12 above)
[14]
Esquire Technologies (n 7above) Plascon-Evans Paints Ltd v Van
Riebeeck Paints (Pty) Ltd 1984 (3) SA 623 (A)
[15]
Mozart Ice Cream Classic Franchises (n 12 above)
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