Case Law[2022] ZAGPJHC 7South Africa
G4S Cash Solutions SA (Pty) Ltd v Zandspruit Cash & Carry (Pty) Ltd and Another (A5061/2021; 23675/2012) [2022] ZAGPJHC 7 (6 January 2022)
High Court of South Africa (Gauteng Division, Johannesburg)
6 January 2022
Headnotes
Summary: Delict – Existence of a delictual legal duty arising out of a contractual agreement- adequate causal link resulting delictual liability- contributory negligence – the failure by a security company to inform to an omission in delict- positive conduct in displaying duty rosters- legal duty established.
Judgment
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## G4S Cash Solutions SA (Pty) Ltd v Zandspruit Cash & Carry (Pty) Ltd and Another (A5061/2021; 23675/2012) [2022] ZAGPJHC 7 (6 January 2022)
G4S Cash Solutions SA (Pty) Ltd v Zandspruit Cash & Carry (Pty) Ltd and Another (A5061/2021; 23675/2012) [2022] ZAGPJHC 7 (6 January 2022)
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sino date 6 January 2022
REPUBLIC
OF SOUTH AFRICA
IN
THE HIGH COURT OF SOUTH AFRICA
GAUTENG
DIVISION, JOHANNESBURG
CASE
NUMBER:
A5061/2021
23675/2012
REPORTABLE:
NO
OF
INTEREST TO OTHER JUDGES: NO
REVISED
NO
DATE:
06 January 2022
In
the matter between:
G4S
CASH SOLUTIONS SA (PTY) LTD
Appellant
And
ZANDSPRUIT
CASH & CARRY (PTY) LTD
First Respondent
DEVLAND
CASH & CARRT LTD
Second
Respondent
JUDGMENT
Coram:
Mudau J, Adams J et Dippenaar J
Heard:
6 October 2021-the virtual hearing of the Full Court Appeal was
conducted as a videoconference on Microsoft Teams
Delivered:
This judgment was handed down electronically by circulation to
the parties’ legal representatives by e-mail. The date and time
for hand-down is deemed to be 10h00 on the 06th of January 2022.
Summary:
Delict – Existence of a delictual legal duty arising out of
a contractual agreement- adequate causal link resulting delictual
liability- contributory negligence – the failure by a security
company to inform to an omission in delict- positive conduct
in
displaying duty rosters- legal duty established.
ORDER
On
appeal from:
The Gauteng Division of the High Court, Johannesburg
(Matojane J sitting as Court of first instance):
[1]
The appeal in respect of the first respondent is partially upheld;
[2]
Prayer 1.1.1 of the order of the court
a quo
is amended by the
deletion of the amount of R265 465.25 and the replacement
thereof by an amount of R132 732.63;
[3]
The first respondent is directed to pay the costs of the appeal
insofar as it relates to the claim of the first respondent,
including
the costs of the application for leave to appeal;
[4]
The appeal against the claim of the second respondent is dismissed
with costs.
JUDGMENT
DIPPENAAR
J ( MUDAU J ET ADAMS J CONCURRING):
Introduction
and factual background
[1]
The appellants appeal against the judgment and order of the court
a
quo
granted on 17 February 2020 in
terms of which judgment was granted in favour of the first and second
respondents against the appellant.
The appellant was directed to pay
the first respondent the amount of R265 464,25 and the second
respondent the amount of R641 744.00,
together with interest at
15.5% per annum a tempore morae and costs. This appeal is with leave
of the court
a quo
.
[2]
The relevant facts and a summary of the
evidence are set out comprehensively in the judgment of the court
a
quo
. In summary, the appellant provided
cash management and security services to both the first and second
respondents in terms of
written agreements in terms of which the
appellant would collect, convey, store and deliver money from the
respective respondents
in accordance with its operating methods as
amended from time to time.
[3]
On 3 April 2010, the first respondent fell
victim to a bogus pickup pursuant to which an amount of R265 465.25
was stolen from
its premises (“the Zandspruit incident”)
pursuant to a scheme in terms whereof unknown third parties (“the
imposters”)
arrived at the premises on the normal collection
date to collect cash under the pretence of being the appellant’s
security
cash collection service. The imposters arrived in a vehicle
that looked substantially identical to the appellant’s
vehicles,
were dressed in uniforms substantially identical to those
worn by the appellant’s guards and carried what looked like
official
identification cards of the appellant against which the
first respondent’s staff were to verify their identity. The
sealed
bags of cash were handed by the first respondent’s cash
office clerk to the imposters which bags were placed in cash
collection
boxes that could only be opened using an electronic key
provided by the first respondent. The imposters provided receipts to
the
first respondent’s staff confirming receipt of the cash
bags and the amounts contained therein (collectively referred to as
“the scheme”). The first respondent’s staff member,
Ms Kgampe did not acquire the imposter’s identity card,
nor did
she verify the identity of the guard or contact the appellant’s
control room to verify the name of the guard on duty.
[4]
On 12 March 2011, the second respondent
fell victim to a bogus pickup pursuant to which an amount of R641 744
was stolen utilising
the scheme (“the Devland incident”).
In this instance not only cash but also cheque envelopes were handed
to the imposters.
An employee of the second respondent, Mr Bhana,
obtained the imposter’s official identification card and
telephonically contacted
the appellant’s control room to verify
the identity of the guard in question. The name of the guard was
confirmed as Mr Masisi.
Mr Bhana followed the applicable protocols
and procedures utilised by the appellant in its collections.
[5]
It
was undisputed that the first and second respondents have the same
directors, Messrs Shiraz Gathoo and Mahomed Gathoo
[1]
,
who are brothers and the only directors of the first and second
respondents.
[6]
The
respondents sued the appellant in delict in two separate claims
pertaining to respectively the Zandspruit incident and the Devland
incident. The five requirements for delictual liability are trite
[2]
.
The
issues on appeal
[7]
The central issue is whether there was a
legal duty on the appellant and whether the respondents had
established wrongfulness. If
so, it must be determined: (i) whether
the respondents had established causation in respect of their claims,
considering the respondents’
knowledge of bogus pickups and
specifically in the case of the second respondent, in light of the
knowledge of the respondents’
directors of the Zandspruit
incident; and (ii) in respect of the first respondent’s claim,
whether negligence was established
and whether there was any
contributory negligence on the part of the first respondent.
The
parties’ respective cases on the pleadings and the evidence
[8]
The
respondents’ case was that the appellant had a legal duty to
provide them with certain facts, and negligently failed to
do so,
which failure caused the respondents to suffer damages. In sum, the
respondents’ case was that the appellant owed
them a legal duty
to advise or provide them with certain information as pleaded
pertaining to bogus pickups by imposters, to disclose
certain of
appellant’s conduct, defined as “the relevant conduct”
and not to represent to the respondents that
the imposters were
employees of the appellant duly collecting cash from their premises
and that the failure by the appellant to
disclose such information
was wrongful. The respondents’ case was thus principally based
on omissions on the part of the
appellant. In addition, the
respondents relied on positive acts on the part of the appellant,
being representations made by the
appellant’s control room
operator in verifying the identity of the guard who collected the
money in relation to the Devland
incident and in allowing access to
the cash in transit security guard duty rosters attending to the
respondents’ premises
to the imposters
[3]
.
[9]
On
the pleadings the appellant made various admissions,
[4]
which must be accepted
[5]
. Facts
which were common cause on the pleadings form no part of the dispute
between the parties and the respondents bore no onus
to prove
them
[6]
.
[10]
The
appellant’s plea must be read cumulatively and in context
[7]
.
The appellant’s central dispute is the existence of a legal
duty and any wrongful conduct on its part. It did not however
dispute
that harm was foreseeable if a duty was found to exist. The
appellant’s case as pleaded was that no such legal duty
exists.
It pleaded:
“
Defendant
admits that it did not advise the plaintiffs regarding the
allegations contained in paragraph 9.6 as the factual basis
did not
exist at the time and the defendant was not aware of the facts
underlying the allegations, alternatively, defendant was
not legally
obliged to do so. In any event it was public knowledge at the
relevant time that incidents have occurred in the industry,
also in
regard to clients of the defendant, where criminals have stolen from
victims, including clients of the defendant by fraudulently
pretending to be associated with the defendant or other security
service provider in the industry”.
[11]
It was not challenged in evidence that the
thefts occurred and that the respective respondents suffered damages
in the amounts claimed.
In respect of the second respondent’s
claim, the evidence was undisputed that a call was made by an
employee of Devland,
Mr Imtiaz Bhana whereby the name of the guard
employed by the appellant to collect money was provided and verified.
The imposter
was asked for his name and it was confirmed with the
name and photo on the guard’s Identity card and the name given
to him
by the appellant’s control room staff. The theft was
discovered later that day when another person by the name of Mr
Masisi
came to do the collection.
[12]
It was undisputed in evidence that the
appellant failed to advise the plaintiffs that cash in transit
employees’ uniforms
and/or official identification cards had
been lost or stolen; vehicles were used without authority
alternatively imposters had
converted vehicles to look identical or
close to those of the appellant and cash collection boxes of keys had
been lost or stolen
or could be duplicated.
[13]
It was undisputed that the appellant knew
that its clients and clients of other service providers had been
victims of bogus pick
up schemes in which criminals stole money by
fraudulently pretending to be associated with the appellant or other
service providers
in the industry.
[14]
The appellant’s version was that it
did not advise the respondents because it was public knowledge at the
time that such incidents
had occurred in the industry. It further
contended that as the directors of the second respondent were aware
of the Zandspruit
incident, it had not established a claim.
[15]
The appellant further pleaded that if a
legal duty and breach was found, the damages were caused as a result
of the respondents’
own negligence as they failed to take the
necessary and reasonable steps to verify the identities of the third
parties and handed
over money in circumstances where it was not safe
to do so.
A
legal duty and wrongfulness
[16]
The court
a
quo
phrased the issue to be determined
at the trial as:
“
Whether
the contract that exists between G4S and the plaintiffs prevent the
plaintiffs from instituting an action in the delict
pleaded”.
[8]
[17]
The court
a
quo
concluded that in circumstances
where the appellant was aware of the schemes it was obliged to inform
the respondents of those
hidden dangers and its failure to do so
grounds an action in delict.
[18]
In
its reasoning, the court
a
quo
held
[9]
:
”
In
the present case, Mr Gathoo, the director of the plaintiffs,
testified that the G4S was specifically contracted to take cash
from
the plaintiff’s stores and depositing it safely with the bank.
The loss that the plaintiffs have suffered originate
from the
services that G4S was contracted to provide”.
[19]
In
challenging the correctness of that finding, the appellant relied on
G4S
Cash Solutions (SA)(Pty) Ltd v Zandspruit Cash & Carry (Pty) Ltd
and Another
[10]
(“G4S”)
,
wherein the Supreme Court of Appeal held, in the context of the
limitation of liability clauses in the contracts concluded between
these parties:
“
Turning
to clause 9.9 it follows from the above interpretation that the
subclause envisages a loss and resultant claim arising pursuant
to or
during the provision of services by the appellant to the respondents
in terms of the agreements. In my view the clear wording
of the
agreements shows that the parties did not contemplate that clause 9.9
would encompass delictual claims of the nature averred
in the
respondents’ particulars of claim. These delictual claims did
not arise pursuant to or during the services rendered
by the
appellants nor while the money was in the possession of the
appellant, but in circumstances where the respondents handed
over the
money to unknown third parties. Had the appellant intended the time
limitation in clause 9.9 to also apply to delictual
claims of this
nature, it could easily have drafted the agreements to include such
claims. Its failure to do so justifies the inference
that the parties
did not intend clause 9.9 to encompass the respondents’
delictual claims.’’
[20]
The appellant relied on the finding that
‘
the delictual claims did not
arise pursuant to or during the services rendered by the appellants
”
in contending that the court
a quo’s
finding on that issue was wrong as the finding in
G4S
was in fact the opposite by finding that these delictual claims did
not arise pursuant to or during the services rendered by the
appellant. It was argued that it was for this very reason that the
Supreme Court of Appeal found that the appellant could not rely
on
the limitation of liability clause in the agreement, because the
losses were not suffered as a result of the services provided
under
the contracts. This argument lacks merit for various reasons.
[21]
First,
in
G4S
,
Fourie AJA was at pains to explain that the competence of the
delictual claims was not part of the separated issues with which
the
appeal court was seized
[11]
.
He stated:
“
The
difficulty that I have with this line of attack is that the
competence of the delictual claims was not an issue which Van Oosten
J had separated out for determination in terms of rule 33(4). The
special defence that the respondents’ delictual claims
were
time-barred by virtue of the provisions of clause 9.9 of the
agreements, was the sole issue that had to be heard separately….
I
have no doubt that had the competence of the delictual claims been in
issue, the parties, or at least the respondents would have
presented
evidence regarding the question whether a duty to prevent loss of
this nature should be held to exist. This would have
involved
considerations of policy, as well as a careful weighing-up of the
interests of the parties involved, taking into account
the public
interest”.
[12]
[22]
Second, the court
a
quo
did not find that the losses were
suffered
pursuant to or during the
services
. It was undisputed that the
losses were suffered because the money was handed over to unknown
third parties impersonating the appellant’s
employees. The
appellant’s argument conflates the performance under the
agreement with the origin of the relationship between
the parties. In
my view, the court
a quo’s
finding was no more than a finding that the loss
originated
from the agreement under which the services were performed which
formed the basis of the relationship between the parties. For
the
reasons set out below, the finding of the court a quo cannot be
faulted.
[23]
The existence of a special relationship
between the parties formed a main departure point between the
parties. The appellant contended
that the special relationship must
exist entirely outside the agreements between the parties and the
existence of the agreements
cannot
per
se
form the special relationship,
whereas the respondents contended the opposite and relied on the
existence of the agreement as foundational
to the relationship
between the parties.
[24]
On
this issue, the appellant challenged the court
a
quo’
s
finding on the basis that its reliance on
Trio
Engineered
Products Inc v Pilot Crushtec International (Pty) Ltd
(“Trio”)
[13]
was incorrect as authority for the finding that in the circumstances
of the matter delictual claims were competent where there
was an
agreement concluded between the parties. It argued that although it
is correct that
Trio
is authority for the general proposition that a delictual duty can
arise separately from a contract between the parties, this is
conditional on it being established that those additional or
complementary duties arise independently in delict, which is directly
at odds with the respondents’ case that a legal duty arises
from
inter
alia
the agreements concluded between the parties.
[25]
In
Trio
,
the relevant principles were summarized thus
[14]
:
“
(a)
A breach of contract is not, without more, a delict; (b) Where
parties have chosen to regulate their relationship under a contract,
the contractual rights and obligations undertaken will not ordinarily
permit of the recognition of a delictual duty at variance
with the
contract; (c) Parties to a contract may have additional or
complementary duties that arise independently in delict; (d)
In
determining wrongfulness, one must proceed with caution when
assessing whether a third party, harmed by a breach of contract,
can
sue a party to the contract for such harm, outside well-defined
causes of action”.
[26]
In
Trio, Unterhalter J further held
[15]
:
“
I
recognise that the duties that are said to arise from the business
relationship do not, on the pleaded case, arise independently
of the
agreement (since the agreement is pleaded to be foundational to the
relationship). Nevertheless, where the business relationship
is built
upon an agreement but extends beyond the agreement and is
complementary to it, I see no reason why a cause of action in
delict
cannot be pursued in the alternative as a claim that subsists
concurrently with the claim based on a breach of contract.
”
[27]
I
concur with the reasoning adopted in
Trio
[16]
and as adopted by the court
a
quo
to the present factual matrix. First, the delictual duties to inform
and not to cause harm, relied upon by the respondents as an
incident
of business relationship, are not repugnant to the agreement
subsisting. Rather, these duties complement and expand upon
the
contractual obligations undertaken by the parties. Second, although
the delictual duties may not have come into being independently
of
the agreement, it is not the causal origin of the duties that
signify. They are duties that arise separately from the agreement
by
reason of a business relationship subsisting between the parties.
Third, the business relationship that is said to give rise
to the
duties in delict is not at variance with the autonomy principles but
an extension of it. The duties in delict to inform
and not to cause
harm rest upon a distinct foundation, i.e. the business relationship
and are not repugnant to the contract or
the choice of the parties to
define their relationship in contract. There is no reason of
principle in the present circumstances
to exclude a concurrency of
contract and delictual duties.
[28]
It can therefore not be concluded that the
court
a quo’s
reliance on
Trio
was misconceived. The court
a quo’s
finding seen in context that the duty originates from the contract
cannot be faulted. The appellant’s challenge on this basis
must
thus fail.
[29]
The
appellant further challenged the court
a
quo’s
reliance
on the Constitutional Court’s judgment in
Loureiro
and Others v iMvula Quality Protection (Pty) Ltd
[17]
(“
Loureiro”
)
to support its finding that the moral and legal convictions of the
community demand that the appellant inform its clients of hidden
dangers such as bogus pickups.
[30]
The court
a
quo
, found that:
“
In
my view, the moral and legal convictions of the community demands
that where, as in the present instance G4S is aware that criminals
were impersonating its own security guard and its procedures using
similar uniforms, receipts and cash boxes, it must make its
clients
aware of the hidden dangers in allowing guards to enter their
premises to collect cash. The fact that the relationship
between the
parties is governed by contract does not make failure by G4S to warn
the plaintiffs of that danger any less a fault
which, independent of
the origin of the danger grounds an action in delict.
The
plaintiffs are bearers of fundamental rights to life, liberty and
security of the person and have the rights not to be arbitrarily
deprived of property as contained in section 10, 12 and 25 of the
Constitution. I find that the failure by G4S to warn its clients
of
the aforementioned hidden danger of which it is aware of is an
omission which grounds an action in delict.
”
[18]
[31]
In
the case of pure economic loss, as in the present instance, the
question is whether public policy, or the convictions of the
community, require that there should be such a duty. Although our
courts have been circumspect in allowing a remedy because of
the
possibility of unlimited liability as the economic consequences of an
act may far exceed its physical effect, our courts have
recognised
that if a special relationship exists between the parties it may give
rise to a legal duty to take active steps to prevent
harm
[19]
.
Ultimately, what must be considered is not merely the interests of
the parties
inter
se
but also the conflicting interests of the community must be weighed
up carefully and a balance must be struck in accordance with
what a
court conceives to be what the society’s notions are of what
justice demands
[20]
.
[32]
In
Loureiro
,
the public policy reasons to impose liability were stated thus:
[21]
“
[54]
The wrongfulness enquiry focuses on the conduct and goes to whether
the policy and legal convictions of the community, constitutionally
understood, regard it as acceptable. It is based on the duty not to
cause harm – indeed to respect rights – and questions
the
reasonableness of imposing liability
.
[22]
Negligence,
on the other hand, focuses on the state of mind of the defendant and
tests his or her conduct against that of a reasonable
person in the
same situation in order to determine fault …
[56]
There are ample public-policy reasons in favour of imposing
liability. The constitutional rights to personal safety and
protection
from theft or damage to one’s property are
compelling normative considerations. There is a great public interest
in making
sure that private security companies and their guards, in
assuming the role of crime prevention for remuneration, succeed in
thwarting
avoidable harm. If they are too easily insulated from
claims for these harms because of mistakes on their side, they would
have
little incentive to conduct themselves in a way that avoids
causing harm. And policy objectives (such as the deterrent effect of
liability) underpin one of the purposes of imposing delictual
liability. The convictions of the community as to policy and law
clearly motivate for liability to be imposed”.
[33]
The
appellant argued that
Loureiro
is distinguishable on two grounds. First as the first plaintiff in
Loureiro
concluded a contract which the Constitutional Court found the
defendant’s conduct had breached and the defendant was held
liable in contract to the first plaintiff in accordance with the
principle in
Trio
that if the parties’ relationship is governed by contract it is
the contract that must inform a cause of action unless it
can be
established that a separate legal duty arose independently of the
contract. The second distinction contended for by the
appellant is
that where no contract existed, a legal duty was recognised in the
specific circumstances of that case, which are
distinguishable from
the present as in
Loureiro
the duty not to cause harm was breached when the security guard
opened the gate and allowed imposters to enter (thus a positive
act
rather than an omission as in the present instance). It was argued
that the circumstances are completely different here as
the court
a
quo
did
not find and there is no evidence to find that the appellant did
anything to cause the loss which would have been a positive
act. The
court
a
quo
relied on a negative act. It was argued that our courts recognise
that a higher hurdle must be imposed in respect of a negative
act and
that this matter is more analogous to
Saaiman
and Others v Minister of Safety and Security and Another
(“Saaiman”)
[23]
,
wherein
a duty was not recognised
.
[34]
There are various reasons why the
appellant’s arguments do not pass muster. First, I have already
dealt with the principles
in
Trio
and why the appellant’s argument on that issue must fail.
[35]
Second,
Saaiman
is distinguishable and does not assist the appellant, as the duty
sought to be imposed was in relation to outside third parties
who
were not involved in any agreement with the security company and
recognising a duty would result in indeterminate liability.
In this
context appellant’s contention that there must be a link
between the wrongdoer and the defendant and that that link
creates a
special relationship lacks merit. The existence of such a link is but
one of the factors to consider
[24]
and should not be considered in isolation. It was further not
contested by the appellant that by recognising a duty it would not
result in indeterminate liability, considering that on the pleadings,
this was admitted.
[36]
Third,
the respondents did not only rely on omissions but also relied on
positive conduct on the part of the appellant in providing
the
imposters with their assumed identities and by displaying the daily
rosters in an open and unsecured part of its offices where
it was
available to everybody employed at such a branch, including cleaning
staff. The evidence pertaining to the display of the
daily duty
rosters was presented by Mr Calitz, the appellant’s own witness
and it was at no stage contended that the appellant
was prejudiced by
the respondents’ reliance on this evidence or that the evidence
was inadmissible
[25]
. The
appellant further took no steps to ensure that such information did
not pose a risk to its clients
[26]
.
[37]
Fourth,
the basis on which a duty not to cause harm was imposed in
Loureiro
and
the applicable policy considerations are substantially similar to the
present where private security companies are involved
which obtain
remuneration for their services. The appellant operates within the
framework of the security services industry and
is therefore bound by
the provisions of Private Security Industry Regulation Act
[27]
(‘PSIRA’) and its code of conduct, which in turn provides
for adequate protection of the fundamental rights to life
and
security of persons and the right not to be lawfully deprived of
property, which are fundamental values to the social and economic
development of our country.
[28]
This was not disputed by the appellant and it did not challenge the
facts on which the respondents relied to support the relevant
policy
considerations. The fact that here there are primarily omissions
rather than positive acts involved, does not change the
fact that
similar policy considerations apply to impose liability.
[38]
Lastly, the appellant contended that on the
present facts, a legal duty to inform does not arise as the
respondents were aware of
bogus pickups and the security measures
implemented to minimize the risks. The appellant argued that the
respondents were aware
of the risks of bogus pickups because it had
been trained in security measures aimed at avoiding such incidents
and moreover, the
fact that bogus pickups occur, is in the public
domain. It was argued that the security measures used to minimize the
risks were
well known to the respondents. In support of this argument
the appellant relied on the evidence of Mr Calitz that bogus pickups
occur all over the world and that customers were aware of the risks
and knew that procedures could be compromised, necessitating
procedures such as verification of the identification card of guards
arriving to collect money. According to Mr Calitz, those security
measures are explained to customers when they are presented with an
induction pack upon first contracting with the appellant, the
purpose
of which is to inform clients of measures they must implement to
reduce the risk of theft. It was argued that the appellant
cannot
attract a legal duty to inform the respondents of the bogus pickups
of which they were aware.
[39]
In
relation to the Zandspruit incident, there was nothing to arouse the
first respondent’s suspicions regarding bogus pickups.
I agree
with the appellant that in respect of the Devland incident the second
respondent did know about bogus pickups and the general
outline of
the scheme as the second respondent was aware of the Zandspruit
incident due to the commonality of directors between
the first and
second respondents and the knowledge of the Gathoo brothers
[29]
.
I do not however agree with the contention that the appellant could
not have a legal duty on the present facts. The argument disregards
that the respondents’ case was predicated on a wider basis
including a legal duty not to harm which included certain positive
acts such as the display of the duty roster already referred to.
[40]
It was undisputed that the second
respondent’s staff did follow all the security measures at the
time of the Devland incident
and that the imposter’s identity
was checked and verified with the appellant’s control room
staff as being the name
of the appellant’s guard on duty, Mr
Masisi, which information was available on the duty roster and came
to the knowledge
of the imposters. Mr Bhana’s evidence
confirmed that the second respondent took all measures they were
supposed to implement
to reduce the risk of theft.
[41]
Considering all the facts, I conclude that
the conclusion of the court
a quo
to impose a legal duty cannot be faulted and it would be reasonable
to impose liability in the present circumstances. The appellant’s
challenge to the imposition of a legal duty must thus fail.
Negligence
on the part of the appellant and contributory negligence
[42]
Negligence
is determined by applying the authoritative test enunciated in
Kruger
v Coetzee
[30]
. It must be determined
whether: (i) a reasonable person in the position of the appellant
would have foreseen the reasonable possibility
that its conduct and
its failure to inform the respondents of the scheme would injure the
respondents’ property causing loss;
(ii) a reasonable person in
the positon of the appellant would have taken reasonable steps to
guard against such loss; and (iii)
the appellant failed to take those
steps.
[43]
In
determining what steps a reasonable person would have taken to
prevent harm a number of consideration are relevant, including:
(i)
the degree or extent of the risk created by the conduct in question;
(ii) the gravity of the consequences if the harm occurs;
and (iii)
the burden of eliminating the risk of harm
[31]
.
[44]
The court
a
quo
found no contributory negligence on
the part of the first respondent. It reasoned that:
“
Because
G4S did not inform Mr Gathoo that criminals were impersonating its
security guards and collecting cash under the pretence
of performing
cash collections services on behalf of G4S, Mr Gathoo would not have
had a false sense of security about G4S procedures.
He could have
requested G4S to increase or improve its security measures to his
satisfaction or consider alternative service providers.
Ms
Kgampe and the other employees would have been on their guard and
every collection would have been given heightened security
and
attention. Even if Ms Kgampe had checked the identification card of
the imposter like Imtiaz Bhana did, she would still have
been tricked
in handing over the cash as she had no reason to suspect that the
imposter was not from G4S”.
[45]
Ms Kgampe’s evidence was that despite
not recognising the imposter she did not ask for his identification
card and did not
check the card or verify the information thereon.
She confirmed that the imposter had a card which looked different
from the booklet
identity card used by the appellant at the time. Ms
Kgampe was aware of the procedure that she was required to check the
identification
card and whether the photo and name corresponded with
the person. She was not told of the procedure to phone the
appellant’s
control room to verify the identity of the guard.
The imposter was wearing a uniform of the appellant. She gave him a
tag and put
the money in a bag and closed it. The imposter wrote down
the seal number from the bag and gave her a receipt. She did not
remember
whether the electronic box made a noise when it was opened,
which was normally the case. The imposter was wearing a uniform of
the appellant. Nothing occurred which raised Ms Kgampe’s
suspicions that something was amiss.
[46]
The appellant’s argument that the
first respondent failed to prove a material feature of the scheme as
the identification
card was not presented by the imposter for
verification and the staff member at Zandspruit did not identify that
person as an employee
of the appellant responsible for collecting the
cash bags does not pass muster as the salient features of the scheme
were not disputed
in evidence.
[47]
The appellant further argued that it was
not negligent and that the loss was occasioned by the negligent
conduct of Ms Kgampe, who
was on duty the day of the Zandspruit
incident. It argued that no amount of increased security measures
would have made any difference
if the first respondent’s staff
did not even bother to adhere to the security measures that were in
place at the time and
which ought to have alerted them to the fact
that the person was an imposter.
[48]
I am not persuaded that the appellant was
not negligent, even though I agree that Ms Kgampe’s failure to
adhere to the existing
security protocols by checking and verifying
the identity of the guard who attended to the collection is
significant and constitutes
contributory negligence on the part of
the first respondent. As correctly, in my view, found by the
court
a quo
, if the risks were disclosed, Mr
Gathoo could have requested the appellant to increase or improve its
security measures. At the
very least, the first respondent’s
employees could have been advised of the increased risks and placed
on their guard to
ensure the strict implementation of the existing
security measures.
[49]
I do not however agree with the finding of
the court
a quo
,
as also argued by the respondent, that on a balance of probabilities
the theft would still have occurred even if Ms Kgampe had
checked and
verified the identity card of the imposter. To reach such conclusion,
the facts of the Devland incident were conflated
with those of the
Zandspruit incident. Absent any attempt by Ms Kgampe to verify the
identity of the imposter and absent any primary
facts in relation to
the Zandspruit incident, it cannot in my view be concluded that the
probabilities favour a finding that she
would have been tricked to
hand over the cash even if she had verified the identity of the
guard. The conclusion is speculative
and based on similar fact
evidence.
[50]
I further do not agree with the
respondents’ argument that there was no evidence presented that
Ms Kgampe’s conduct
was negligent or that if she had perused
the identity card or phoned appellant’s control room, the theft
would have been
avoided. On Ms Kgampe’s own version, and
applying the relevant test, she was negligent.
[51]
I conclude that Ms Kgampe’s
negligence contributed to the loss in relation to the Zandspruit
incident and that negligence
should be apportioned on the basis of
50% to respectively the appellant and the first respondent. To this
extent the court a quo
misdirected itself and the appeal must
partially succeed on this issue.
Causation
in respect of the second respondent’s claim
[52]
The court
a
quo
did not expressly deal with
causation in its judgment. It however accepted that causation was
established as it granted judgment
in favour of the two respondents.
[53]
In
challenging the findings of the court
a
quo
,
the appellant relied on the findings made by the court
a
quo
on the issue of contributory negligence
[32]
,
already referred to. The appellant’s challenge was predicated
on two grounds. First, on the basis that the respondents already
knew
of incidents of bogus pickups and the scheme employed by the
imposters
[33]
, specifically in
relation to the Devland incident; and second, on the basis that the
respondents did not do anything differently
and continued to utilise
the appellant’s services.
[54]
The undisputed evidence of Ms Kgampe
established that a few months after the Zandspruit incident the first
respondent changed to
another security company, SBV, which follows
different procedures, including advising the first respondent of the
name of the person
collecting and providing a password and the
registration number for the vehicle. The appellant’s second
challenge thus only
applies to the second respondent’s claim.
[55]
The appellant’s contention was that
on the second respondent’s own version, causation was not
established because it
did not do anything differently after
acquiring knowledge of the bogus pickups. The appellant argued that
the evidence presented
on behalf of the second respondent contradicts
the reasoning and finding of the court
a
quo
as the second respondent knew of
the risks associated with bogus pickups because it was aware of the
Zandspruit incident, yet it
continued to employ the appellant’s
services and Mr Gathoo confirmed that they were comfortable with such
services. There
was also no evidence that the second respondent
insisted on more secure safety measures despite being aware of the
Zandspruit incident.
It was argued that this is entirely destructive
of the argument that had the appellant informed it of bogus pickups
it would have
done something different to avoid falling victim to
similar crimes.
[56]
The undisputed evidence of Mr Mohamed
Gathoo, a director of both first and second respondent, was that he
had not been informed
inter alia
of
the bogus pickups. The appellant admitted it did not advise the
respondents that the uniforms and vehicles could be used by imposters
and they did not say anything about their cash boxes and key cards
being compromised. Mr Calitz, appellant’s witness, also
admitted that it did not warn the respondents about the fact that
there were imposters in the industry that may impersonate their
guards. If Mr Gathoo’s evidence was undisputed that if he had
been informed of bogus pickups when concluding the agreements,
he
would have asked what further steps the appellant could take to
secure them. If the appellant could not satisfy him that further
steps could be implemented to secure the respondents, he would have
considered alternative service providers.
[57]
Mr Calitz’s evidence established that
the identification verification procedure was a precautionary measure
contained in the
induction pack and explained to new clients for
purposes of reducing the risk of theft by impersonators. Mr Bhana
confirmed that
in relation to the Devland incident that he was
familiar with the introduction pack and followed the process for
verifying the
identification of the imposter against the
identification card that was provided. He also complied with the
requirements by contacting
the appellant’s control room to
verify the identity of the security guard.
[58]
Mr Calitz acknowledged that at the time the
appellant did not consider it necessary to advise its clients of any
losses or incidents
where the scheme was implemented. He testified
that subsequently, however, the appellant had communicated such
information to its
clients in any particular area via letter. Thus
the appellant has adapted its procedures to address the security
concerns.
[59]
In my view, the appellant’s arguments
do not pass muster for various reasons. First, in its pleadings the
appellant admitted
that it knew of the scheme, foresaw the risk it
posed to the respondents, accepted that had the respondents been
advised, the risk
could have been avoided and that it, the appellant,
could have taken steps to avoid such risks and consequent losses.
[60]
Second, it was the undisputed evidence of
Mr Gathoo that if the extent of the scheme had been known, it would
have required the
appellant to satisfy the respondents that measures
had been put in place to protect the respondents. If they could not
be satisfied,
the respondents would have sought alternative service
providers. The first respondent had in fact enlisted the services of
an alternative
service provider after the Zandspruit incident.
[61]
Third, the evidence of the financial
manager of the second respondent, Mr Masudu Gathoo, established that
it still employed the
appellant because none of the other competing
security companies which the second respondent approached could
provide the same
services required, being collections twice a day,
six days a week and thus that the second respondent was obliged to
retain the
appellant’s services although it would consider
another option if one was available.
[62]
Considering
all the facts, the inferences sought to be drawn by the appellant are
not sustained by the facts and the attempt to
put up an
unsubstantiated inferential proposition lacks merit and is of no
value.
[34]
[63]
On the facts, I conclude that the second
respondent has sufficiently established causation and that the
appellant’s challenge
on this issue must fail.
Conclusion
and costs
[64]
The only misdirection of the court
a
quo
was in relation to contributory
negligence on the part of the first respondent. The appeal in respect
of the first respondent must
partially succeed. For the reasons
provided, the order of the court
a quo
must be amended and the amount awarded must be substituted with an
award of 50% of that amount.
[65]
In respect of the second respondent, the
appeal must fail.
[66]
The normal principle is that costs follow
the result. There is no reason to deviate from this principle. The
respondents sought
the costs of two counsel where so employed,
including the costs of Mr Patel, the attorney of record of the
respondents who has
right of appearance. In
G4S
the Supreme Court of Appeal granted such an order in similar
circumstances.
Order
[67]
The following order is granted:
[1]
The appeal in respect of the first respondent is partially upheld;
[2]
Prayer 1.1.1 of the order of the court
a quo
is amended by the
deletion of the amount of R265 465.25 and the replacement
thereof by an amount of R132 732.63;
[3]
The first respondent is directed to pay the costs of the appeal
insofar as it relates to the claim of the first respondent,
including
the costs of the application for leave to appeal;
[4]
The appeal against the claim of the second respondent is dismissed
with costs.
EF
DIPPENAAR
JUDGE
OF THE HIGH COURT JOHANNESBURG
APPEARANCES
DATE
OF HEARING
: 06
October 2021
DATE
OF JUDGMENT
: 06 January
2022
APPELLANT’S
COUNSEL
: Adv. G. Herholdt
APPELLANT’S
ATTORNEYS
: Webber Wentzel
RESPONDENT’S
COUNSEL
: Adv. H Van Nieuwenhuizen
RESPONDENT’S
ATTORNEYS
:Ziyaad E Patel Attorneys
Mr Patel
[1]
The
spelling of the surname differs in the judgment of the court a quo
and the record which refers to Mr Gathu
[2]
“
A
delict is and act or omission of a person that in a wrongful and
culpable manner causes harm to another”
[3]
Albeit
pleaded as part of the “relevant conduct” in the context
of an omission to inform the respondents of this fact
[4]
Those
admissions were that: (i) the defendant concluded agreements with
the plaintiffs for the provision of cash transit services;
(ii) the
appellant knew that incidents had occurred in the private security
industry where thieves had stolen money from victims,
including
clients of the appellant by fraudulently pretending to be associated
with the appellant and conducting the schemes;
(iii) the appellant
was a security service provider with knowledge and experience with
cash in transit services and was aware
or reasonably should have
been aware that the respondents were, as clients of the appellant,
vulnerable to falling victim to
such schemes; (iv) the appellant
knew or reasonably should have known that its wrongful conduct might
cause the respondents to
suffer loss; (v) the appellant could
easily, and without incurring substantial expense, have refrained
from its wrongful conduct;
(vi) the appellant’s clients,
including the respondents, are bearers of fundamental rights to
life, liberty and security
of the person, and not to be arbitrarily
deprived of property as contained in ss 10, 12 and 25 of the
Constitution; and (vii)
the number of potential claimants in the
position of the respondents is finite in that they are limited to
the clients with whom
the appellant has contracted.
[5]
s15
of the Civil Proceedings Evidence Act
25
of 1965, which provides: It shall not be necessary for any party in
any court proceedings to prove nor shall it be competent
for any
such party to disprove any fact admitted on the record of such
proceedings
[6]
FirstRand
Bank v venter (829/2011)[2012] ZASCA 117 (14 September 2012) at para
[9]; Absa Technology Finance Solutions (Pty) Ltd
v Funela Trade and
Invest 21 (Pty) Ltd t/a Caltex The Downs Service Station and Another
(519/2015)
[2016] ZASCA 127
(26 September 2016) at para [6]
[7]
McCarthy
Ltd t/a Budget Rent A Car v Sunset Beach Trading 300 Cc t/a Harvey
World Travel and Another
2012
(6) SA 551
(GNP) at para [11]
[8]
Para
[23]
[9]
Para
[27]
[10]
2017 (2) SA 24
(SCA) para [16], which relates
to
the present dispute between the parties, albeit in a contractual
context
[11]
Paras
[20]-[21]
[12]
Para
[22]
[13]
2019
(3) SA 580(GJ)
[14]
Para
[29]
[15]
Para
[40]
[16]
Paras
[42]-[43]
[17]
2014 (3) SA 394 (CC)
[18]
Paras
[28]-[30]
[19]
Viv’s
Tippers (Edms) Bpk v Pha Phama Staff Services (Edms ) Bpk h/a Pha
Phama Security
2010 (4) SA 455
(SCA) at paras [5]-[8], 459F-460A;
Cathkin Park Hotel and Others v JD Makesch Architects and Others
1993 (2) SA 98
(W) 100D-E; Faiga v Body Corporate of Dumbarton Oaks
and Another
1997 (2) SA 651
(W) 664G-665B; Trio Engineered Products
Inc v Pilot Crushtec International (Pty) Ltd
2019 (3) SA 580
(GJ)
[31]-[45]
[20]
Kadir
v Minister of Law and Order 1992 (3) SA 737 (O)
[21]
Para
[53]
[22]
This
principle was restated in Country Cloud Trading CC v MEC, Department
of Infrastructure Development
2015 (1) SA 1
(CC) para [21]
[23]
2003
(3) SA 496(O)
[24]
Kadir
v Minister of Law and Order
1992 (3) SA 737
(O); Joubert v Impala
Platinum Limited
1998 (1) SA 643
(B)
[25]
EC
Chenia and Sons CC v Lame & Van Blerk
[2006] ZASCA 10
;
2006 (4) SA 574
(SCA)
paras [12]-[15]
[26]
Holm
v Sonland Ontwikkeling (Mpumalanga)(Edms) Bpk 2010 (6) SA 342 (GNP)
347-348 CHECK
[27]
Act
56 of 2001
[28]
Judgment
van Oosten J in application for leave to appeal; Macadamia Finance
Ltd v De Wet 1991 (4) SA 273 (T) 278
[29]
Northern
Province Development Corporation v Attorneys Fidelity Fund Board of
Control
2003 (2) SA 284
(T) para [31]
[30]
1966 (2)
SA
428(A) at 430E-F
[31]
Loureiro
supra para [62]
[32]
Para
[31] of the court a quo’s judgment
[33]
Also
relied on by the appellant in challenging the legal duty dealt with
elsewhere in this judgment
[34]
Prinsloo
v Woolbrokers Federation Ltd
1955 (2) SA 298
(N) 299D-H; Du Plessis
NO v Phelps
1995 (4) SA 165
(C) 172D/E; Nedperm Bank Ltd v Verbi
Projects CC
1993 (3) SA 214
(W) 220I-221B
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