Case Law[2023] ZAGPJHC 1101South Africa
Happy Valley Holiday Hotel and Pleasure Resort 1972 (Pty) Ltd and Another v Nakoseni Property Developers (Pty) Ltd and Others (9066/2020) [2023] ZAGPJHC 1101 (15 September 2023)
High Court of South Africa (Gauteng Division, Johannesburg)
15 September 2023
Judgment
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# South Africa: South Gauteng High Court, Johannesburg
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## Happy Valley Holiday Hotel and Pleasure Resort 1972 (Pty) Ltd and Another v Nakoseni Property Developers (Pty) Ltd and Others (9066/2020) [2023] ZAGPJHC 1101 (15 September 2023)
Happy Valley Holiday Hotel and Pleasure Resort 1972 (Pty) Ltd and Another v Nakoseni Property Developers (Pty) Ltd and Others (9066/2020) [2023] ZAGPJHC 1101 (15 September 2023)
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sino date 15 September 2023
REPUBLIC OF SOUTH
AFRICA
IN THE HIGH COURT OF
SOUTH AFRICA
GAUTENG DIVISION,
JOHANNESBURG
Case No:
9066/2020
NOT REPORTABLE
NOT OF INTEREST TO OTHER
JUDGES
NOT REVISED
15.09.23
In
the matter between:
HAPPY
VALLEY HOLIDAY HOTEL AND PLEASURE RESORT 1972 (PTY) LTD
First
Applicant
VALLEY
LODGE (PTY) LTD
Second
Applicant
And
NAKOSENI
PROPERTY DEVELOPERS (PTY) LTD
First
Respondent
MOGALE
CITY METROPOLITAN MUNICIPALITY
Second
Respondent
GAUTENG
PROVINCIAL DEPARTMENT
OF
AGRICULTURE AND RURAL DEVELOPMENT
Third
Respondent
GAUTENG
DEPARTMENT ROADS AND TRANSPORT
Fourth
Respondent
Delivered
:
This judgement was prepared and authored by the Judge whose name is
reflected in it and is handed down electronically by circulation
to
the parties/ their legal representatives by email and by uploading to
the electronic file on Case Lines. The date for hand-down
is deemed
to be
15 September 2023.
JUDGMENT
SENYATSI, J
Introduction and
Background
[1]
This application deals with conflicting
interests, namely, private interest driven by commercial gain as well
as public interest
and the constitutional mandate of a local sphere
of government, collaborating with the private sector to provide
social housing
to the citizens of this country.
[2]
The quibble in this matter
relates
to
social housing development of two
properties in Magaliesburg, the first known as the Remaining Extent
of Portion 38 (a portion of
Portion 25) of the Farm Steenekoppie 153
IQ, (“Extensions 10” owned in terms of Title Deed
of Transfer T2014/58640)
and the second property known as Portion 72
(a Portion of Portion 65) of the Farm Steenekoppie 153 IQ (“Extension
19”
owned in terms of Deed of Transfer T2017/67989). The two
properties were evidently transferred to the first respondent during
2014
and 2017, respectively, and they are within the jurisdiction of
the second respondent, Mogale City Metropolitan Municipality.
[3]
The applicants seek, to the extent that it
is necessary to do so, condonation
of the late launching of the
application and an order extending the time frame within which the
review ought to have been filed
in order to cover the period in which
their review application was actually filed in terms of the Uniform
Rules of Court. The condonation
application is opposed.
[4]
The first applicant is the owner of a
property known as Portion 65 of the Farm Steenekoppies 153 IQ which
has a hotel and spa on
the banks of Magaliesburg River. The business
has been in operation since 1972. It is located in the world heritage
site known
as the Cradle of Humankind and is operated by the second
applicant. The applicants describe their business as a tranquil
establishment.
Its property is separated from the two properties by
land belonging to Nimag Ltd and Transnet. In respect to the latter, a
railway
line traverses that property.
[5]
The
applicants initially sought an interdict to stop the high-density
housing development in Magaliesburg Extensions 10 and 19 owned
by the
first respondent, on the ground that they should have been served
with a copy of the advertisement as their property shares
the border
with the two properties that are being developed. They furthermore
claim that the two housing projects have been approved
contrary to
the existing legislative framework and contrary to the second
respondent’s Spatial Development Framework of 2011
and of
course SPLUMA (
Spatial Planning and Land Use Management Act 16
of 2013
)
as well as the Promotion of Access to
Fair Administrative Justice Act 3 of 2000 (“PAJA”).
[6]
Some 9 years ago, as part of the strategy
to address the acute shortage of housing, the respondents
collaborated with each other
and through private and public
participation, decided to develop two properties belonging to the
first respondent, for social housing
purposes. The process was
initiated by the previous owner of the first property, namely,
Church Council of the Full Gospel Church of
God in South Africa (“the Church”)
,
in respect of Extension 10. The
Church subdivided its farm, removed the restrictive conditions from
the deed of title; engaged a
town planning expert, Mr Steyn, to
design the plans and procured all the steps necessary for the
development of the township. Later,
another property was acquired to
embark upon the development of Extension 19. It suffices that when
the first respondent acquired
the two properties, there were no
restrictive conditions on the title deeds.
[7]
The necessary advertisements for both
developments, which commenced with Extension 10, were published in
the newspapers as required
by law and after consideration thereof,
the second respondent approved the developments. There were approvals
by the Surveyor General
relating to the surveyed sites as well as the
extensions when the work could not commence within the 12 months
period as required
by law. As already stated, the processes related
to the establishment of the township commenced long before the first
respondent
became the owner of the properties in dispute.
[8]
During 2020, the applicants brought an
urgent application to interdict the development of the sites in terms
of PAJA and the litigation
was initiated on the basis of Parts A and
B. Part A has been disposed of on the basis that an interdict would
stop the work pending
the determination of Part B, which is the
subject of this judgment.
[9]
The applicants claim that the development
of the properties was done in secrecy to the exclusion of property
owners like themselves
in the area. They contend that the projects
are illegal in that they were not served with the advertisements of
same. They further
contend that the developments fly against the face
of the second respondent’s existing Spatial Development
Framework read
together with the Precinct Plan which has designated
the area for ecotourism and that for that reason, the decision taken
by the
second respondent to approve the developments should be
reviewed and set aside due to the respondents’ non-compliance.
They
contend that the developments would adversely affect their lodge
which is in a tranquil ecotourism area within which Cradle of
Humankind is located. They contend, furthermore, that had they been
provided with the advertisements regarding the developments,
they
would have objected thereto and that for that reason alone, the
decision to approve the development of the two sites should
be
reviewed and set aside.
[10]
The first respondent opposes the
application and bases its opposition: -
a.
Firstly, on the ground that the application
was launched three years after the last approval and therefore falls
foul of sections
5,7 and 9 of PAJA. It contends that in any event,
the fight is about decisions taken by the second respondent nine
years ago;
b.
Secondly, it contends that the areas
approved for development of townships are for much-needed housing in
the area. It contends
that the three-year delay that it took for the
applicants to bring the application before court should, on that
basis alone, be
enough reason for the court to refuse the
application.
c.
It furthermore contends that the
applicants’ supine attitude and failure to take any steps to
have Part B of the application
finalized after Part A was agreed to
by the parties, shows lack of seriousness to have the application
finalized.
d.
The first respondent furthermore contends
that the applicants’ assertions that the approvals are
allegedly unreasonable, or
irrational are not supported by expert
testimony, be it of any town-planner or any other expert but are
based on their lay evidence
pertaining to the 2011 Mogale City
Spatial Development Framework and the 2011 Magaliesburg Local
Precinct Plan. It contends that
the old plan was overtaken by the new
plan approved by the second respondent and known as the 5-year
Integrated Development Plan
2016-2021. It states that in any event,
the Gauteng Department of Human Settlement had ringfenced funding in
the sum of R697 million
for the housing project and the upgrading of
the bulk services infrastructure in the greater Magaliesburg area,
which included
the impugned two development sites. It contends that
it would be grossly unreasonable and iniquitous to the public who
stand to
gain from the housing developments in Extensions 10 and 19,
for the projects to grind to halt on account of the challenge of the
decisions taken by the applicants.
e.
The first respondent contends that the
matter should be decided on the first and the second respondents’
version and that
in any event, as far as it is concerned, the
approvals for the township development on the two properties was done
lawfully and
in full compliance with the relevant legislation.
Accordingly, so it contends, Part B of the application should be
refused.
[11]
The second respondent contends that the
applicants, in their initial application, sought a final interdict
against the development
of affordable housing in Magaliesburg
Extensions 10 and 19 and alleged that it will impact negatively on
the tranquilly of their
business establishment. The applicants, in
their supplementary affidavit, seek to expand the grounds on which
they oppose the development
of the affordable housing by embarking on
overly technical and unwarranted criticism process of the previous
steps taken by both
the first and second respondents. The second
respondent argues that, on that ground alone, Part B of the notice of
motion should
be dismissed as their case must stand or fall on their
initial papers.
[12]
The second respondent avers that, to the
extent that the applicants had wished to rely on any documents
contained in the record,
they ought to have done so by annexing the
document on which they rely on to their supplementary affidavit,
which they failed to
do. It contends that this is so, given that the
applicants invoked Rule 53 of the Uniform Rules of Court and the
second respondent
had to provide the required documents under trying
circumstances during the Covid 19 National State of Disaster when its
staff
was not allowed to be at the office.
[13]
The second respondent also states that the
advertisement relating to the high-density residential development in
Magaliesburg Extension
10 was done in accordance with the law and
that the amendment on 20 August 2014 was to change the conditions of
the title deeds
in the proposed township from Residential 1 to
Residential 3 without increasing the permitted density. This was so
because Residential
3 density of 40 dwelling units per hectare was
identical to the density of 1 dwelling unit per 250m
2
contained in Residential 1.
[14]
The second respondent states, furthermore,
that the amendment to the township application requested on 27
January 2015, sought a
revision of the stand layout without any
increase in density or in respect of the rights to be accorded to the
erven on the proposed
township. The second respondent denies that the
exercise of power by a local authority to extend the time period for
the establishment
of a township amounts to an administrative action
that is subject to review under PAJA. Consequently, so contends the
second respondent,
the applicants have no standing to enquire into
the validity of the township developments and cannot therefore
question the decisions
of the second respondent taken from time to
time to extending time periods for compliance with various conditions
of townships
establishments.
[15]
Insofar as the applicants seek to review
and set aside, in terms of PAJA, the opening of the ownership
registers in respect of Magaliesburg
Extension 10 and 19 by the
Registrar of Deeds on the ground that the township application had
lapsed and that the opening of the
township register was not
competent, the second respondent contends that unless the Court finds
that the township application had
lapsed and was of no force or
effect, there is no basis for the relief sought by the applicants
against the Registrar.
Issues for determination
[16]
The issues for determination are:
a.
Whether the condonation of the late filing
of the challenge to the impugned decisions should be granted.
b.
Whether the applicants have the standing to
challenge decisions taken by the second respondent to approve
applications for township
development and whether the extensions
related thereto are reviewable in terms of PAJA because of the
alleged border they share
with the first respondent’s two
disputed sites.
c.
Whether decisions related to the township
development in Magaliesburg Extensions 10 and 19 constitute
administrative acts in terms
of PAJA and
d.
Whether the requirements for removal of the
conditions of title deed were not complied with by the first
respondent.
e.
Whether extensions granted to the first
applicants had in fact lapsed such that the Surveyor General ought
not to have approved
the township plans and that the township
registers ought not to have been opened by the sixth respondent, the
Registrar of Deeds.
f.
Costs pertaining to both Part A and Part B.
The legal principles on
the issues herein identified will be dealt with sequentially as set
out below.
Condonation of the
late filing of the application
[17]
The applicant, in its notice of motion,
references at prayer 6 that the period of time within which to launch
the application for
review of the decisions set out in Part B,
prayers 2 to 6 be extended in accordance with section 9 of PAJA until
March 2020. This
relief was abandoned in the initial application as
well as the relief in terms of section 9 of PAJA. Having realised
that the respondents
raised the undue delay in their replying papers,
the applicants brought a separate condonation application on the
basis that they
made an error in their amended notice of motion.
[18]
The respondents contend that the period
within which the clock starts running, for the purposes of section 9
of PAJA, is from the
date the impugned decision was taken. What has
not been denied is that the applicants only became aware of the
decision when the
earth works commenced on the two development
projects.
[19]
The
approach by the Court seized with an application for condonation for
the late challenge to an alleged administrative act outside
the 180
days required by PAJA, is that the Court has a discretion to
exercise, and such discretion must be exercised judicially
upon
consideration of all facts.
[1]
[20]
One
of the considerations is whether it is in the interests of justice to
grant condonation. In
City
of Cape Town v Aurecon South Africa (Pty) Ltd
[2]
the
Constitutional Court held as follows:
“
[40]
The City also attempted to
distinguish its knowledge of ‘reasons’ from its knowledge
of ‘irregularities’.
In this regard, the City was
of the view that the reference to ‘reasons’ in section
7(1)(b) of PAJA does not refer
to formal reasons furnished in terms
of section 5 of the Act but merely to ‘the relevant events
giving rise to the particular
decision, and which render it
susceptible to review’.
[41] On a textual level,
the City’s contention confuses two discrete
concepts:
reasons
and
irregularities
.
Section 7(1) of PAJA does not provide that an application must be
brought within 180 days after the City became aware that
the
administrative action was tainted by irregularity. On the
contrary, it provides that the clock starts to run with reference
to
the date on which the reasons for the administrative action became
known (or ought reasonably to have become known) to an applicant.
[42] On a purposive
level, the City’s interpretation would give rise to undesirable
outcomes. As the SCA pointed out,
the City’s
interpretation would—
‘
Automatically
entitle every aggrieved applicant to an unqualified right to
institute judicial review only upon gaining knowledge
that a decision
(and its underlying reasons), of which he or she had been aware all
along, was tainted by irregularity, whenever
that might be.
This result is untenable as it disregards the potential prejudice to
[Aurecon] and the public interest in
the finality of administrative
decisions and the exercise of administrative functions.’”
[21]
It must be accepted, under the
circumstances of this application, that the applicants ought to have
known about the applications
for the establishment of the township on
the two properties. This is so because the establishment was not done
in secrecy as the
applicants claim. The publications thereof are on
record in the Provincial Government Gazette, The Citizen and Beeld
newspapers.
It cannot be correct to assert that because they did not
see the advertisement or that they were not served with the
advertisements,
that the approvals were done in secrecy and therefore
that the decisions taken to approve the establishment of the
townships on
the two properties should be reviewed and set aside.
[22]
I, however, accept that they did not see
the advertisements published for the township development and I am
willing to condone the
application for condonation of the late filing
of the review application in Part B. I say so because it has to be
accepted that
not everyone reads newspapers every day. Under the
circumstances, it is in the interest of justice that the applicants’
Part
B application be heard.
[23]
Furthermore, it should be noted that the
applicants were not the parties as envisaged in PAJA. The condonation
application should
therefore succeed.
Principles on standing
[24]
Standing
in law, or
locus
standi,
has been used to refer to different factors that affect a party's
right to claim relief from a civil court.
[3]
It
determines the right to sue or seek judicial redress in respect of
alleged unlawful action. The general rule concerning standing
is that
it is for the party instituting the proceedings to allege and prove
its standing (
locus
standi
)
and the
onus
is on that party.
[25]
It
follows therefore that section 38 of the Constitution,
[4]
in affirming standing on the enforcement of the Bills of Rights,
states as follows:
“
Anyone listed in
this section has the right to approach a competent court, alleging
that a right in the Bill of Rights has been
infringed or threatened,
and the court may grant appropriate relief, including a declaration
of rights. The persons who may approach
a court are –
a. Anyone acting in their
own interest.
b. Anyone acting on
behalf of another person who cannot act in their own name.
c. Anyone acting as a
member of, or in the interest of, a group or class of persons.
d. Anyone acting in
the public interest; and
e. An association acting
in the interest of its members.”
[26]
In
Kruger
v President of the Republic of South Africa and Others
[5]
an
attorney was held to have personal standing to challenge presidential
proclamations that were of “direct and central
importance”
to the field in which he practised.
[6]
[27]
In
determining a litigant’s standing, the Court must assume that
the applicants’ complaints about the lawfulness of the
approvals are correct. This is because in determining a litigant’s
standing, a Court must, as a matter of logic, assume that
the
challenge the litigant seeks to bring is justified.
[7]
As Hoexter explains:
[8]
“
The
issue of standing is divorced from the substance of the case. It is
therefore a question to be decided in
limine
[at the outset] before the merits are considered.”
[28]
In
Giants
Concert CC v Rinaldo Investment,
[9]
the
court said:
“
[33] The
separation of the merits from the question of standing has two
implications for the own-interest litigant. First,
it signals that
the nature of the interest that confers standing on the own-interest
litigant is insulated from the merits of the
challenge he or she
seeks to bring. An own-interest
litigant
does not acquire standing from the invalidity of the challenged
decision or law, but from the effect it will have on his
or her
interests or potential interests. He or she has standing to bring the
challenge even if the decision or law is in fact valid.
But the
interests that confer standing to bring the challenge, and the impact
the decision or law has on them, must be demonstrated.”
[34] Second, it means
that an own-interest litigant may be denied standing even though the
result could be that an unlawful decision
stands. This is not
illogical. As the Supreme Court of Appeal pointed out, standing
determines solely whether
this
particular litigant
is entitled to mount the challenge: a successful challenge to a
public decision can be brought only if
“the right remedy is
sought by the right person in the right proceedings”. To this
observation one must add that the
interests of justice under the
Constitution may require courts to be hesitant to dispose of cases on
standing alone where broader
concerns of accountability and
responsiveness may require investigation and determination of the
merits. By corollary, there may
be cases where the interests of
justice or the public interest might compel a court to scrutinise
action even if the applicant’s
standing is questionable. When
the public interest cries out for relief, an applicant should not
fail merely for acting in his
or her own interest.
[35] Hence, where a
litigant acts solely in his or her own interest, there is no broad or
unqualified capacity to litigate against
illegalities. Something more
must be shown.”
[36] How much more was
the issue in
Ferreira.
There this Court considered own-interest
constitutional standing under the interim Constitution, whose
provision here was materially
similar to section 38 of the
Constitution. The applicants were obliged to answer questions at an
inquiry under a statute providing
that their answers, even if
incriminating, could later be used in evidence against them. They
sought to challenge the constitutional
validity of the provision. But
they had not yet been charged, nor was there an actual prosecution,
or even one threatened, where
their answers would be used against
them. This Court split on whether this gave them standing to
challenge the provision on fair-trial
grounds. A majority found that
it did. Chaskalson P held that, even where own-interest standing is
at issue, the Constitutional
Court should adopt a “broad
approach” : -
‘
This
would be consistent with the mandate given to this Court to uphold
the Constitution and would serve to ensure that constitutional
rights
enjoy the full measure of protection to which they are entitled.’
[37]
The object of the standing requirement, the Court held, was that
courts “should not be required to deal with abstract
or
hypothetical issues, and should devote its scarce resources to issues
that are properly before it”. The Court held
that own
interest standing does not require that a litigant must be the person
whose constitutional right has been infringed or
threatened: “What
the section requires is that the person concerned should make the
challenge in his or her own interest.”
(Footnotes
omitted).
[29]
In
dealing with standing, the Court stated as follows in
Tulip
Diamonds FZE v Minister of Justice and Constitutional Development and
Others:
[10]
“
[1]
Standing is an important element in determining whether a matter is
properly before a court. Our law accords generous rules
for standing
that permit applicants to bring lawsuits either on their own behalf
or on behalf of others. But these are not limitless.
A methodical and
thorough application of the rules of standing is necessary to ensure,
amongst other things, that relief is being
sought by the appropriate
party.”
[30]
Our
Courts have also stated that it would create an intolerable situation
if a Court were to be precluded from giving the right
decision on
accepted facts merely because a party failed to raise a legal point
as a result of an error of law on its part. It
would be intolerable
if the Courts were to be bound by an error of law made by a party
which then, within reasonable time, is corrected.
There must be
exceptionally good reason for a Court’s assessment of law to be
fettered by a party’s error.
[11]
[31]
In
explaining this standing principle under common law and the
Constitution,
Van
der Westhuizen J,
[12]
went on and held that:
“
[27]
Our law contemplates standing in two ways – at common law and
under the Constitution. At common law, an applicant must
be able to
show a sufficient, personal and direct interest in the case.
[29] Where an applicant
seeks to vindicate a right promised in the Bill of Rights, as
Tulip
does here, the starting point in the standing analysis is section 38
of the Constitution. This is because section 38 is a deliberate
and
radical departure from common law. Moreover, this approach is precise
and efficient. Constitutional standing is broader than
traditional
common-law standing.” (Footnotes omitted)
[32]
The
question is whether the approval of the high-density residential
development directly infringes upon the rights of the applicants
which must be vindicated through PAJA. The applicants’ base, in
terms of their amended notice of motion, reliefs sought in
terms of
PAJA and not section 38. Accordingly, the answer should be premised
on PAJA.
[33]
In
JDJ
Properties CC and Another v Umngeni Local Municipality and
Another,
[13]
the
court was called upon to decide whether the appellant had the
standing to challenge the approval of the building plans on
relaxation
of site space and parking requirements which affected the
space of the near-by landowner. The Court held that whether one is
dealing
with administrative action as defined in PAJA is a separate
and distinct enquiry to whether a party has standing to challenge an
exercise of public power. The first enquiry relates to the
nature
of
the public power in issue, while the second relates to
the
interest
that
an applicant may have in proceedings, and whether that interest is
sufficient to enable it to challenge the exercise
of the public power
concerned. The first issue is determined by an application of the
definition of administrative action in PAJA
to the facts, while the
second issue is determined by the application of s 38 of the
Constitution.
[14]
[34]
In
this case, the applicants averred that the two properties that are
the subject of the housing development are separated from
their own
by a railway line. They attached a photographic map of the second
respondent depicting areas for land use purposes. They
contend that
the areas show constraints for land development and that according to
the maps, the two sites identified for development
are for
conservation. I must state that if an area is designated for
conservation, the applicant ought to have joined the Department
of
Forestry, Fisheries and Environmental Affairs in terms of
National
Environmental Management Act 107 of 1998
, as the custodian of nature
conservation, and this has not occurred. Furthermore, from the
pictures submitted by the applicants,
it appears that the border is
not simply a railway line, but a significant property belonging to
Transnet through which the railway
line runs. I am therefore not
persuaded that the applicants’ property is separated from the
impugned properties by a railway
line.
[35]
There has not been adequate demonstration by the applicants,
on the facts, that their rights should be vindicated in terms of PAJA
regarding the impugned decision on the approval of the high-density
residential development in Magaliesburg Extensions 10 and 19.
This is
so because all that the applicants aver is that the second respondent
acted in violation of its Spatial Management Plan
to retain the area
of Magaliesburg for ecotourism and has failed to ensure that the
applicants are served with the advertisements
regarding the
developments. I find this line of argument unsustainable because the
second respondent, as a local sphere of government,
has the power to
change its spatial plans in accordance with the needs of the
community for public good. No future strategic plan
can ever be cast
in stone because doing so would negate the very purpose that the
executive decisions taken by local governments
should not be
subjected to a challenge under PAJA.
[36]
In
any event, it is to be expected of a local government to be
responsive to housing shortages and if that requires of it to change
its existing policy to achieve the resolution to housing needs, it is
inappropriate to challenge such executive power in terms
of PAJA.
Courts cannot countenance that power in line with the constitutional
mandate unless there is evidence of criminality,
because doing so
would violate the principle of separation of powers which is
jealously guarded by our Constitution and would amount
to
overreaching by Courts.
[37]
From
the facts before me, there is no evidence that the rights of the
applicants are directly infringed by the approvals. As already
stated, the second respondent has the legitimate constitutional
mandate to provide housing for the people within its jurisdiction.
In
discharging such mandate, it acts in collaboration with property
developers like the first respondent. It can hardly be denied
from
the papers that the development of both Extensions 10 and 19 were
duly advertised as required by the law. In fact, it is not
the
applicants’ case that this was not done, but rather that the
advertisement should have been made available to them. I
do not
agree. The applicants’ property is separated by the Nimag Ltd
and Transnet property which directly shares the border
with the
impugned Extensions 10 and 16. It follows, in my view, therefore that
the applicants have no standing to bring the application
to review
and set aside the impugned approvals. The applicants have failed to
show that they have standing to bring the application
for review of
the decisions and as such the application should fail.
Do
the decisions related to the approval for township development in
Magaliesburg Extensions 10 and 19 constitute the administrative
acts
in terms of PAJA?
[38]
To provide an answer to this question, it
is important to consider the principles relating to what an
administrative action is for
the purposes of PAJA. This is so because
to be successful in a review and setting aside an impugned decision
based on PAJA, a litigant
must show that the impugned decisions
constitute an “administrative action”.
[39]
Section
1
of PAJA states:
““
administrative
action
” means any decision taken,
or any failure to take a 5 decision, by—
(a) organ of state,
when—
(i) exercising a power in
terms of the Constitution or a provincial constitution; or
(ii) exercising a public
power or performing a public function in terms 10 of any legislation;
or
(b) a natural or juristic
person, other than an organ of state, when exercising a public power
or performing a public function in
terms of an empowering provision,
which adversely affects
the rights of any person and which has a direct, external legal
effect,
but does not
(my emphasis
)
include-
(aa) the executive powers
or functions of the National Executive, including the powers or
functions referred to in sections 79(1)
and (4), 84(2)(a), (b), (c),
(d), m, (g), (h), (i) and (k), 85(2)(b), (c), (d) and (e), 91(2),
(3), (4) and (5), 92(3), 93, 97,
98, 99 and 100 of the Constitution;
(bb) the executive powers
or functions of the Provincial Executive, including the powers or
functions referred to in sections 121(1)
and (2), 125(2)(d), (e) and
m, 126, 127(2), 132(2), 133(3)(b), 137,138, 139 md 145(1) of the
Constitution;
(cc) the executive powers
or functions of a municipal council;
(dd) the legislative
functions of Parliament, a provincial legislature or a municipal
council;
(ee) the judicial
functions of a judicial officer of a court referred to in section 166
of the Constitution or of a Special Tribunal
established under
section 2 of the Special Investigating Units and Special 15 Tribunals
Act, 1996 (Act No. 74 of 1996), and the
judicial functions of a
traditional leader under customary law or any other law;
(ff) a decision to
institute or continue a prosecution;
(gg) a decision relating
to any aspect regarding the appointment of a judicial officer, by the
Judicial Service Commission;
(hh) any decision taken,
or failure to take a decision, in terms of any provision of the
Promotion of Access to Information Act, 2000
; or
(ii) any decision taken,
or failure to take a decision, in terms of
section 4(1)
;”
[40]
The approvals given by the second
respondent as well as the extensions pertaining to the plans and
surveying thereof have no adverse
impact on the applicants.
Consequently, those decisions are not the administrative action for
the purposes of PAJA insofar as the
applicants are concerned. The
applicants were not involved in the development of housing as
developers and the administrative actions
taken by the second
respondent did not affect them within the meaning of PAJA.
[41]
The
judicial interpretation of the administrative action has been summed
up in
JDJ
Properties CC and Another v Umngeni Local Municipality and
Another,
[15]
by Plasket AJA as follows:
“
[15]
In
Grey’s Marine Hout Bay (Pty)
Ltd & others v Minister of Public Works & others
Nugent JA made the point that while the precise ambit of
administrative action has always been hard to define, ‘[t]he
cumbersome
definition of that term in PAJA serves not so much to
attribute meaning to the term as to limit its meaning by surrounding
it with
a palisade of qualifications’. At its core,
however, is the ‘idea of action (a decision) “of an
administrative
nature” taken by a public body or functionary’.
While indications of what is intended may be derived from the
qualifications
to the definition, the term ‘also falls to be
construed consistently, wherever possible, with the meaning that has
been attributed
to administrative action as the term is used in s 33
of the Constitution (from which PAJA originates) so as to avoid
constitutional
invalidity’.
[16] After summarising
the import of the more important cases on what constituted
administrative action in terms of s 24 of the
interim Constitution
and s 33 of the final Constitution, he concluded that administrative
action is ‘in general terms, the
conduct of the bureaucracy
(whoever the bureaucratic functionary might be) in carrying out the
daily functions of the State, which
necessarily involves the
application of policy, usually after its translation into law, with
direct and immediate consequences
for individuals or groups of
individuals’.” (Footnotes omitted)
[42]
In
The
Administrator, Transvaal and the Firs Investments (Pty) Ltd v
Johannesburg
City Council
[16]
O
gilvie
Thompson JA said that it was “of the essence of a town-planning
scheme that it is conceived in the general interests
of the community
to which it applies”. A
nd
in
BEF
(Pty) Ltd v Cape Town
Municipality
& Others,
[17]
Grosskopf
J stated:
“
The
purposes to be pursued in the preparation of a scheme suggest to me
that a scheme is intended to operate, not in the general
public
interest, but in the interest of the inhabitants of the area covered
by the scheme, or at any rate those inhabitants who
would be affected
by a particular provision. And by ‘affected’ I do not
mean damnified in a financial sense. ‘Health,
safety, order,
amenity, convenience and general welfare’ are not usually
measurable in financial terms. Buildings which do
not comply with the
scheme may have no financial effect on neighbouring properties, or
may even enhance their value, but may nevertheless
detract from the
amenity of the neighbourhood and, if allowed to proliferate, may
change the whole character of the area. This
is, of course, a purely
subjective judgment, but in my view this is the type of value which
the ordinance, and schemes created
thereunder, are designed to
promote and protect. In my view a person is entitled to take up the
attitude that he lives in a particular
area in which the scheme
provides certain amenities which he would like to see maintained. I
also consider that he may take appropriate
legal steps to ensure that
nobody diminishes these amenities unlawfully…”
[43]
The
aim of PAJA for making exclusions of certain administrative actions
was to ensure that parties who are not affected by such
decisions
cannot, at will, challenge the decisions for whatever reason they
deem fit. This case demonstrates just that because,
the applicants
considered it appropriate to investigate every step and process
followed by all cited respondents to check compliance
with any
statute. This was not done because the applicants’ own
interests were adversely affected by the approvals, but simply
to
ensure that the policy that was taken years ago to conserve
Magaliesburg area, was not changed. The reason they are opposed
to
the change is that their business is going to be adversely affected
by the housing development. There is no basis for this Court
to
interfere with the decisions even if it may be found that some
statute on timelines were not complied with.
[18]
It follows that Part B of the application must fail.
Whether the extensions
granted to the first respondent had in fact lapsed in violation of
the law and whether the restrictive conditions
in the title deeds of
the two properties were removed in accordance with the law.
[44]
The
applicants lament that the extensions granted by the second
respondent pertaining to the approval of the surveyed plans by the
Surveyor General as well as the opening of the Township Register by
the Registrar of Deeds in respect of Magaliesburg Extesions
10 and 19
had lapsed. As a result, so the lamentation continues, the Surveyor
General and the Registrar of Deeds had based their
approvals on the
lapsed applications. The Surveyor General was not cited in this
application.
[19]
[45]
Section
72 of the Town Planning and Township Development Act regulates the
duty to lodge certain documents with the Surveyor General.
It states
that an applicant who has been notified in terms of section 71(4) of
the ordinance that his application has been approved
shall, within a
period of 12 months from the date of such notice, or such further
period as the Director may allow, lodge for approval
with the
Surveyor General such plans, diagrams or other documents as the
Surveyor General may require, and if the applicant fails
to do so,
the application shall lapse.
[20]
It is evident that the provisions of these sections are peremptory
and must be complied with.
[46]
Where
the applicant fails, within a reasonable time after he has lodged the
plans, diagrams or other documents contemplated in subsection
(1), to
comply with any requirement the Surveyor General may lawfully lay
down, the Surveyor General shall notify the Administrator
is so
satisfied, and thereupon the application shall lapse.
[21]
The provisions in this instance are also crafted in peremptory terms
and must be complied with.
[47]
The extensions granted by the second
respondent do not constitute the administrative action as defined in
PAJA because the extension
did not adversely affect the interest of
any third party or the applicants for that matter. On the contrary,
only the applicant
to the extension was affected as it had purchased
the property from
the
Church
. It should be
remembered, as will be demonstrated below, that the initial township
development was made by the Church as
the previous owner of the land
concerned.
[48]
It is illogical that the applicants sought
to supplement their papers and attack the granting of an extension
that had nothing to
do with them. It is for this reason, in my
respectful view, that it is impermissible in motion proceedings to
build a case based
on information fished out in terms of the rules of
this court. Doing so will violate the
Plascon
Evans
rule in terms of which if the
conflict of facts is raised in the motion proceedings, the court is
allowed to reject the version
of the applicant/respondent on the
ground that it is far-fetched. This is so because the parties in
motion proceedings live or
fall by their papers. The applicants have
engaged in a strategy of raising any possible ground to attack the
township development
with the hope that one of the grounds will
stick. This is impermissible and the Court should, by exercise of its
discretion, refuse
to intervene. Accordingly, the review of the
decision based on this ground must fail and so does the attack for
approval of the
township plans by the Surveyor General.
[49]
I
now deal with the removal of the restrictive conditions in the
disputed properties. The law on removal of the restrictive conditions
contained in the title deed is trite. In
Van
Heerden v Appeals Authority IRO The Pixley Ka Seme District
Municipality and Others,
[22]
the Court dealt with the amendment and removal of restrictive
conditions to title with a view to facilitate residential
development,
and held as follows:
“
[34]
Before dealing with the statutory framework, it is opposite to
mention what the purpose of restrictions to the title deeds
is. In
Rossmaur Mansions
(Pty) Ltd v Briley Court (Pty) Ltd
1945 AD 217
at 228-229, the following was said:
‘
Where
an application to establish a Township has been granted subject to a
requirement, imposed on the recommendation of Township
Board, that
restrictive conditions as to the use of lots are to be included in
the titles, such conditions, when once included
in the titles of the
lot holders, if not framed in terms of which expressly render them
subject to future cancellation or variation,
must be regarded as
conferring rights of a permanent nature, which cannot be cancelled or
valid either by the townships board itself,
or by any other
authority, by virtue of powers of ‘administration’
exercisable over the Township concerned.’”
[50]
In
Malan
& Another v Ardconnel Investments (Pty)Ltd,
[23]
the Court held as follows:
“…
it
must be borne in mind that the town planning scheme does not overrule
registered restrictive conditions in the title deeds. Moreover,
a
consent by a local authority in terms of the town planning scheme
does not per se authorise the user of an erf contrary to its
registered restrictive title conditions…”
[51]
In
Van
Rensburg & Another NNO v Naidoo & Others NNO; Naidoo &
Others NNO v Van Rensburg NO & Others,
[24]
the
Court said the following regarding the removal of restrictive
conditions:
“
[35]
In
Malan & another v Ardconnel
Investments (Pty) Ltd
1988 (2) SA 12
(A) at 40E-G this court said the following:
‘
[I]t
must be borne in mind that a town planning scheme does not overrule
registered restrictive conditions in title deeds. Moreover,
a consent
by a local authority in terms of a town planning scheme does not per
se authorise the user of an erf contrary to its
registered
restrictive title conditions.
See Ex
parte Nader Tuis (Edms) Bpk
1962 (1) SA
751
(T) at 752B-D;
Kleyn v Theron
1966 (3) SA 264
(T) at 272;
Enslin v
Vereeniging Town Council
1976 (3) SA
443
(T) at 447B-D.’
[36] Froneman J, in
arriving at the conclusions referred to above, stated (at para 8):
‘
It
is common cause that this kind of restrictive condition takes
precedence over the municipality’s zoning and planning schemes.
Generally this follows from their characterisation in our case law as
praedial servitudes in favour of other erf holders (
Ex
parte Rovian Trust (Pty) Ltd
1983 (3)
SA 209
(D) at 212E-213F
; Malan and
Another v Ardconnel Investments
(Pty)
Ltd
1988 (2) SA 12
(A) at 40B-I) and in this case also, particularly,
from the express wording of clause 1.6.5 of the Council Zoning Scheme
Regulations.
Consequently, any possible permission by the
municipality to build or use buildings contrary to the conditions
cannot be lawful.’
See also
Camps Bay
Ratepayers and Residents Association and others v Minister of
Planning, Culture and Administration, Western Cape and others
2001 (4) SA 294
(C) at 324E-G.
[37] Restrictive
conditions of the kind in question enure for the benefit of all other
erven in a township, unless there are indications
to the contrary.
They are inserted for the public benefit and in general terms, to
preserve the essential character of a township.
In this regard see
Malan
at 38B-C and 39F-G. If landowners across the length and
breadth of South Africa, who presently enjoy the benefits of
restrictive
conditions, were to be told that their rights, flowing
from these conditions, could be removed at the whim of a repository
of power,
without hearing them or providing an opportunity for them
to object, they would rightly be in a state of shock.”
[52]
The passage quoted above remains good law
and must always be interpreted in the context to which the principles
apply and be applied
to the facts of each case. In the instant case,
it should be remembered that the process of the township development
was embarked
upon firstly by the Church which, through Mr Steyn,
initiated all the processes in respect of the regulatory compliance
for the
township development to see the light of the day. The Church,
in my respectful view, did not subdivide its farm for commercial
gain, but
rather did
so
to address the dire need for
housing in the Magaliesburg Municipality. Mr Steyn, as alluded to
above, also stated that the Municipality
was losing its
attractiveness. The second applicant imposed conditions such as the
installation of the bulk services such as sewer
and water
reticulation by the developer. This was so presumably as the second
respondent had not yet budgeted for such services.
This is normally
done in cases involving provision of accommodation with collaboration
between private investors and local governments.
The creative ways of
addressing housing shortage under these circumstances are admirable.
[53]
It is the applicants’ case that the
process followed in the removal of the restrictive conditions of the
title deeds was flawed
for several reasons, such as not being
notified directly about such removal. I have considered the
contentions by the applicants
that the removal of the restrictive
conditions did not follow the letter of the law. I do not agree with
this contention because
the explanation provided on the removal of
the conditions is adequate. This is so given the steps taken, not
only in regards to
the subdivision of the farm by the original owner
thereof, but the initiatives taken by Mr Steyn, an experienced town
planning
expert, to ensure compliance with the letter of the law on
the removal of the restrictive conditions to ensure the land use of
the identified portion as well as Extension 19 are fully compliant
with the letter of the law. The first respondent was not even
in the
picture when the restrictive conditions were removed.
[54]
In any event, when the first respondent
became the owner of Extension 10 in terms of deed of transfer
T2014/58640, the title deed
did not contain the restrictive
conditions on the land use because the previous owner had already
removed those conditions during
the subdivision of the main farm. I
therefore find no basis, on the facts, to support the claim that the
respondents did not follow
due process when the restrictive title
conditions were removed. This is so because the second respondent’s
strategic plan
had changed given the need to develop the township on
Extensions 10 and 19. It will not be in interest of justice to
unscramble
the proverbial egg that has long been scrambled because
that would result in an injustice to all stakeholders involved in the
housing
development, such as local residents who need housing and the
first respondent, who has invested time and money to make the
development
a reality for the greater good. The second respondent, as
a local arm of government, should be allowed to address the acute
housing
shortage in the area and rejuvenate the local economy, unless
there is evidence of criminality which requires judicial
intervention.
Permanently interdicting the efforts by the second
respondent to address the housing needs will do more harm than good.
[55]
To be able to give context to what led to
the removal of the restrictive title conditions, it is important to
state, according to
the evidence, that the Church Council of
the Full Gospel Church of God in South Africa (“the Church”)
was the
previous owner of the immovable property known as the
Remaining Extent of Portion 38 (a Portion of Portion 25) of the farm
Steenkoppie 153, Registration Division I.Q, measuring 11,6513
hectares. The main part of the property is Magaliesburg Extension
10.
During 2007, the church made an application to subdivide the property
then known as the Remaining Extent of Portion 38 (a Portion
of
Portion 25) of the farm Steenekopie 153 by excising the most
north-western parts of the property from the remainder.
[56]
The portion, together with an earlier
excision of that piece of property, is traversed by the railway line
measuring 4971m
2
and which is known as Portion 85 (a Portion of Portion 38) of the
farm Steenekopie 153, ultimately reduced the size of the property
that is known as Extension 10 to 7,5701 hectares in extent. The
Church, through Mr. Steyn of Futurescope, submitted an application
to
the second respondent for the establishment of the Township to be
known as Magaliesburg Extension 10 under remaining 7,57 hectares.
The
application was made in terms of the then applicable Town Planning
and Townships Ordinance,1986. As the aforesaid excisions
had not yet
been reflected on the original title deed in the name of the Church,
which title deed reflected the property to be
measuring 11,6513
hectares, it was clarified in the application that the application
was only lodged in respect of a certain part
of the land described as
portion 1 in their nature to the application. There were diagrams
attached to the application which showed
the property that now
comprises of Extension 10 measuring 7,5701 hectares in extent. The
application was for the creation of a
Township consisting of three
erven zoned “Residential 1”; one erf zoned “Special”
and an access road.
[57]
According to the proposed layout plan that
accompanied the application, the three “Residential 1”
erven would comprise
an area of 5,31 hectares, the erf to be zoned
“Special” an area of 1,38 hectares, and the road an area
of 0,88 hectares.
The application stated that each of the Residential
1 erven would have a density equal to one dwelling per 250m
2
which would have allowed a maximum of 73 dwelling units on Erf 1, 54
dwellings of Erf 2, and 85 dwelling units on Erf 3. Erf 4,
zoned
“Special”, was to enjoy primary rights for the
establishment of drilling units, residential units, retail space,
offices, creche/day care centre with the density of one dwelling
units to be erected on the stand. The three “Residential
1”
erven and the Special erf would have allowed for a maximum of 267
residential units to be developed.
[58]
According to Mr Steyn, who prepared the
application to the second respondent, the proposed densification was
in line with the Krugersdorp
Town Planning Scheme, 1980, which
allowed for densification of up to 40 units per hectare, the Mogale
City Spatial Development
Framework, 2011 and the Magaliesburg Local
Precinct Plan, 2011. Various technical reports were attached to the
application which
supported the township development. Those ranged
from geotechnical investigations, traffic impact assessment,
environmental impact
assessment and the land survey, and they were
all carried out by various experts in their fields. Mr Steyn
confirmed all the technical
compliance as part of the evidence before
me. For this judgment, I will not go into the details of what was
contained in each report
and the support given for the approval of
the township development.
[59]
I also wish to comment that in terms of
paragraph 5.1.2(A) of the Magaliesburg Precinct Plan, 2011,
residential, agricultural and
tourism are also contained in the
proposed Environmental Oriented Development area. Mr Steyn, a town
planner by profession with
a significant number of years of
experience, in his motivation for the application, stated that
Magaliesburg was in a state of
decline and in dire need of spatial
regeneration. He also stated that when the Church asked him to make
the application for the
township establishment, the land in question
was vacant and had not been used for any agricultural or ecotourism
purposes for many
years and had no distinguishing aesthetic appeal.
[60]
Pursuant to the submission of the
application for the establishment of Magaliesburg Extension 10 to the
second respondent, Mr Steyn
caused notices of the application to be
advertised in the Beeld and Citizen newspapers as well as in the
Gauteng Provincial
Gazette on 8 August 2012 and again on 15
August 2012, in terms of which all interested parties were advised in
English and Afrikaans
that further particulars of the application
would lie for inspection during normal office hours at the office of
the Executive
Manager: Economic Services for a period of 28 days from
8 August 2012. The advertisements also stated that all objections to
or
representations in respect of the application had to be launched
with or made in writing to the municipal manager within 28 days
reckoned from 8 August 2012. The publications were done as prescribed
by the Town-planning and Towns Ordinance 15 of 1986. He also
stated
that no further on-site notices or notifications to the adjoining
owners were required by the Ordinance. I have no basis
to reject Mr
Steyn’s affidavit as reliable, and the steps he took to ensure
that all processes were complied with, are commendable.
It is for
those reasons that the other regulators were also satisfied that due
processes were followed and this led to the extension
of the
applications, the approval of the surveyed plans; the environmental
approvals, road approvals and of course, the approval
of the opening
of the township registers in respect of Extensions 10 and 19.
[61]
Furthermore, the Basic Assessment Report
which had been prepared by an environmental specialist, also required
public participation
and the information about the planned
development and the application was given to the public and local
community members by Singisa
Environmental. There was no objection to
the planned development.
[62]
On 18 April 2013, The Gauteng Department of
Roads and Transport, the fourth respondent in this litigation,
approved the access road
or point. Access to Extension 19 was also
approved form that point with two service roads. The Gauteng
Department of Agriculture
and Rural Development, the third
respondent, approved the township development on 18 October 2013 and
authorised the Church to
undertake the establishment of a Township
comprising three “Residential 1” erven at 40 units per
hectare and one “Special”
erf for residential, retail,
offices, crèche, and incidental uses in accordance with
Activity Number 23(ii) of the Environmental
Impact Assessment
Regulations of 2010. The first respondent bought the property from
the Church on 2 October 2013 at which period,
the subdivision of the
property was formalized. The transfer and registration of ownership
of Extension 10 to the first respondent
was finalized on 15 August
2014.
[63]
The environmental authorization was
stipulated to be valid for a period of five years from the date of
issue thereof and would have
lapsed if the commencement of the
activity did not occur within that period. The conditions of
authorization furthermore required
14 days written notice to be given
to the adjacent landowners informing them that the activity would
commence, and that the commencement
would include site preparation.
The authorization also required the appointment of an independent
Environmental Control Officer
(ECO) to oversee all construction
activities taking place on the site and whose name and details had to
be provided to the third
respondent.
[64]
On 3 June 2014, the second respondent
approved the application to establish Extension 10 on the side of the
land that was identified
by Mr Steyn in the application. The
application was approved subject to the condition that erven 1,2 and
3 shall be zoned “Residential
1” with a maximum coverage
of 50%, maximum floor area ration of 1,2 and a maximum height of 3
storeys, together with a density,
for the residential dwelling units,
of 1 dwelling unit per 250m
2
.The
second respondent furthermore imposed building line restrictions of
16 meters along the R24 road and 5 meters along all other
roads.
Furthermore, approved for zoning as “Special” for
residential dwelling units, retail, offices, creche, day-care
centre
and uses incidental thereto subject to a maximum covering of 40%, a
maximum floor area ratio of 1.0 a maximum height of
2 storeys and a
density of 1 dwelling unit per 250m
2
.
One of the conditions for approval was that the second respondent
would not contribute to the provision or upgrading of bulk services
to the township development because it was not within its plan, for
instance, to establish the sewerage pipeline in the area.
[65]
The approval by the second respondent
furthermore stipulated that it would not take over any internal
services within the proposed
Township and that a section 21 company
or non-profit company, must take over the responsibility for the
long-term maintenance of
all internal roads and internal engineering
services in the Township. The approval was further subject to the
condition that because
of the low pressure in the municipal water
network in the area, the first respondent was required to provide a
24-hour water storage
facility in the Township to the satisfaction of
the second respondent. The second respondent also stipulated in the
approval that
it would not accept any responsibility for the
long-term maintenance of any water or sanitation services in the
proposed Township
and that such infrastructure shall be taken over by
this first respondent or the legally established body
corporate/homeowners
association which would also be responsible for
providing electrical reticulation in the township.
[66]
As it became apparent that more land was
required for housing, the first
respondent approached the owners of a portion known as Portion 72 (a
Portion of Portion 65) of the
farm loan Steenekoppie No. 153 and
measuring 15,6036 hectares in extent and bought the farm, now known
as Extension 19. The transfer
and registration of Extension 19 was
finalized on 21 September 2017. At the time of purchase of Extension
19, the planning of the
development of Extension 10 was in progress
as experts in various fields were engaged to assist with the
planning. The first respondent
had approached the Gauteng Housing
Department and other relevant financial entities for funding of the
development, given that
the first respondent was responsible for all
the bulk services through the NPC. On 20 August 2014, an application
for the consolidation
of the two “Residential 1” erven
into a single “Residential 1” was launched. The
consolidation application
did not materially change any of the
attributes of the proposed Township. The application was duly granted
by the second respondent
with the result that Extension 10,
henceforth comprises of two “Residential 1” erven and one
“Special”
erf. In my considered view, there could
not have been any irregular process that followed the approval
process if regard
is had to the fact that the process was first
initiated by the previous owner before the property was cut off from
the main farm
for the housing development that was in progress at
that time.
[67]
I now deal with whether the environmental
authorization in respect of Extension 10 had expired. The
environmental authorization
had been granted by the Gauteng
Department of Agriculture and Rural Development (“GDARD”)
on 10 October 2013 and was
valid for a period of five years within
which the first respondent had to commence with the authorised
activity of development
of Extension 10. Clause 1.13 of the
environmental authorization stipulates that the commencement included
site preparation and
that the first respondent had to give notice of
the date it anticipated commencing with the activity.
[68]
The installation of the bulk services on
Extension 10 commenced on 25 May 2018, which was prior to the
expiration of the five years
validity period of the environmental
authorization and continued until 31 July 2019. The construction work
in respect of Extension
19 commenced after July 2019. In respect of
both extensions 10 and 19, the first respondent’s environmental
control officer,
Mrs Steenkamp of Greenenergy, had given GDARD
sufficient prior notice of the intended commencement of the
authorised activities,
as required by the environmental
authorization.
[69]
Various applications were also made to the
second respondent for the extension of the period within which the
first respondent had
to submit the prescribed documents to the
Surveyor General, and the second respondent had approved each of the
applications for
the extension of the time. It can, therefore, not be
correct to contend that when the Surveyor General approved the
township development
plans, the township development application had
already expired. It follows that the contention that when approval
for the surveyed
area was granted by the Surveyor General, the
application had expired. Even if it had expired, and even if the
second respondent
could not have granted further extensions, it is
not up to the applicants, through a proverbial fishing exercise, to
raise any
possible challenge based on the documents that they
acquired by virtue of the discovery process. I reiterate that the
applicants
are bound by their founding affidavit and are not allowed
to build a case as the pleadings are exchanged. Even if the second
respondent
is found to have approved the extensions when the original
applications had expired, because the extensions were not
administrative
actions in terms of PAJA, the court will be less
inclined to intervene unless there is evidence of criminality or
fraud. The basis
of attack of the approval and the extensions granted
by GDARD and the second respondent, must fail on those grounds.
Costs
[70]
It is trite that the award of costs is in
the discretion of the Court, which must be exercised judicially. I
have not found any
basis to order costs on a punitive scale.
Order
[71]
Part B of the application is dismissed with
costs, including the cost of counsel.
ML SENYATSI
JUDGE OF THE HIGH
COURT
JOHANNESBURG
For
the Applicant:
Adv
I Mureriwa instructed by SE Kanyoka Attorneys
For
the First Respondent:
Adv
JA Venter instructed by Charles Rossouw Attorneys
For
the Second Respondent:
Adv
S Mitchell instructed by Majelo Hlazo Practice Attorneys
Date
of Hearing: 8 May 2023
Date
of Judgment: 15 September 2023
[1]
See
Melane
v Santam Insurance Company Limited
1962 (4) SA 531
(A) at 532.
[2]
2017 (4) SA 233 (CC).
[3]
See
Loots “Locus Standi to claim relief in the public interest in
matters involving the enforcement of Legislation”
(1987) 104
SALJ
131.
[4]
Act 108 of 1996.
[5]
2009 (1) SA 417 (CC).
[6]
At para 25.
[7]
Jacobs
en ‘n Ander v Waks en Andere
[1991] ZASCA 152
;
1992 (1) SA 521
at 536A.
[8]
Hoexter
Administrative
Law in South Africa
2
ed (Juta & Co, Cape Town 2012) at 488.
[9]
2013 (3) BCLR 251 (CC).
[10]
2013
(2) SACR 443 (CC).
[11]
Id at para 25.
[12]
Tulip
Diamonds FZE
above
n 27.
[13]
2013 (2) SA 395
(SCA) at para 25.
[14]
Section 38 of the Constitution reads:
‘
Anyone
listed in this section has the right to approach a competent court,
alleging that a right in the Bill of Rights has been
infringed or
threatened, and the court may grant appropriate relief, including a
declaration of rights. The persons who may approach
a court are –
(a)
anyone
acting in their own interest;
(b)
anyone
acting on behalf of another person who cannot act in their own name;
(c)
anyone
acting as a member of, or in the interest of, a group or class of
persons;
(d)
anyone
acting in the public interest; and
(e)
an
association acting in the interest of its members.’
## [15]Above n 30.
[15]
Above n 30.
[16]
1971 (1) SA 56
(A) at 70D.
[17]
1983
(2) SA 387
(C)
at 401B-F.
[18]
See
Tulip
Diamonds
above n 27 at para 30.
[19]
Act
15 of 1986.
[20]
Section
72(1).
[21]
Section
72(2).
[22]
(2849/2017)
[2019] ZANCHC 39
(30 August 2019).
[23]
1988
(2) SA 12
(A) at 40E-G.
[24]
2011
(4) SA 149
(SCA).
sino noindex
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