Case Law[2022] ZAGPJHC 170South Africa
Mabizela v Minister of Police and Another (2020/24049) [2022] ZAGPJHC 170 (11 March 2022)
High Court of South Africa (Gauteng Division, Johannesburg)
11 March 2022
Judgment
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# South Africa: South Gauteng High Court, Johannesburg
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## Mabizela v Minister of Police and Another (2020/24049) [2022] ZAGPJHC 170 (11 March 2022)
Mabizela v Minister of Police and Another (2020/24049) [2022] ZAGPJHC 170 (11 March 2022)
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sino date 11 March 2022
IN
THE HIGH COURT OF SOUTH AFRICA
GAUTENG
DIVISION, JOHANNESBURG
CASE
NO: 2020/24049
REPORTABLE:
NO
OF
INTEREST TO OTHER JUDGES: NO
REVISED:
YES
DATE:
11 March 2022
In
the matter between:
MABIZELA:
LINDANI
Applicant
and
MINISTER
OF
POLICE
First Respondent
NATIONAL
DIRECTOR OF PUBLIC PROSECUTIONS
Second Respondent
JUDGMENT
ALLY
AJ
INTRODUCTION
[1]
This is an application wherein the Applicant seeks condonation for
the late filing
of a notice in terms of Section 3 of the Institution
of Legal Proceedings against certain Organs of State Act
[1]
(hereinafter referred to as “the Act”).
[2]
The application is opposed by both Respondents.
BACKGROUND
FACTS
[3]
The Applicant was arrested on 26 October 2017 and charged with common
assault.
He alleges that he was found not guilty by the Court.
This is as far as the Applicant goes, in this application for
condonation,
in dealing with the merits of his action against the
Respondents.
[4]
The Applicant indicates that he approached the Police Station at
Moroka and was unsuccessful
in trying to convince the personnel to
assist him in obtaining his docket information.
[5]
The Applicant had a notice issued in terms of Section 3 of “the
Act” which
notice was sent by registered post to the
Respondents on 21 January 2020.
[6]
The Applicant had a summons issued against the Respondents on 19
September 2020 and
the said summons was served on the Respondents on
21 September 2020.
[7]
A notice of intention to defend was filed by the Respondents on 8
October 2020 and
on 18 November 2020, a plea and special plea was
filed by the Respondents.
[8]
The special plea related to the non-compliance by the Applicant with
the provisions
of Section 3 of “the Act”. I deem it
necessary to quote the whole of the provisions of Section 3 of “the
Act”
hereunder for convenience.
THE
LAW
[8]
Section 3 of “the Act” provides as follows:
“
(1)
No legal proceedings for the recovery of a debt may be instituted
against an organ of state unless-
(a) the creditor has
given the organ of state in question notice in writing of his or her
or its intention to institute the legal
proceedings in question; or
(b) the organ of state
in question has consented in writing to the institution of that legal
proceeding(s)-
(i) without such
notice; or
(ii)
upon receipt of a notice which does not comply with all the
requirements set out in subsection (2).
(2) A notice must-
(a)
within six months from the date on which the debt became due, be
served on the organ of state in accordance with section 4 (1);
and
(b) briefly set out-
(i)
the facts giving rise to the debt; and
(ii)
such particulars of such debt as are within the knowledge of the
creditor.
(3) For purposes of
subsection 2(a) –
(a)
a debt may not be regarded as being due until the creditor has
knowledge of the identity of the organ
of state and of the facts
giving rise to the debt, but a creditor must be regarded as having
acquired such knowledge as soon as
he or she or it could have
acquired it by exercising reasonable care, unless the state organ
willfully prevented him or her or
it from acquiring such knowledge;
and
(b)
a debt referred to in subsection 2 (a), must be regarded as having
become due on the fixed date.
(4) (a) If an organ of
state relies on a creditor’s failure to serve notice in terms
of subsection 2(a), the creditor may
apply to a court having
jurisdiction for condonation of such failure.
(b) The court may
grant an application referred to in paragraph (a) if it is satisfied
that –
(i) the debt has not
been distinguished by prescription;
(ii) good cause exists
for the failure by the creditor; and
(iii) the organ of
state was not unreasonably prejudiced by the failure.
ANALYSIS AND
EVALUATION
[9]
Applications of this nature have become a regular occurrence of late
in our Courts.
Our Courts
[2]
have thus had cause to enunciate the principles and guidelines in
evaluating such applications.
[10]
The Applicant contends and it cannot be denied on the facts that this
application does not enter
the realm of prescription and therefore it
is unnecessary for the Court to consider and evaluate that aspect for
the reason that
it is common cause that the action arose on 27
October 2017 and that summons was issued on 21 March 2020 within
three years of
the cause of action having arisen. Clearly therefore
Section 3 (1) does not arise. This, however, is not the end of the
matter.
[11]
The cause of action having arisen on 27 October 2017, it was then
incumbent on the Applicant
to give notice to the Defendant in terms
of Section 2 within six months of the cause of action arising. Having
only given notice
on 21 March 2020, clearly the Applicant has not
complied and the Defendant has not consented to the late delivery of
the Notice.
[12]
The Court now needs to evaluate whether the Applicant has met the
requirements of Section 3 (4)
(b) of ‘the Act’.
[13]
Firstly, the requirement of a Court ‘being satisfied’ has
been interpreted as relating
to proof, not on a balance of
probabilities but rather that it is an overall impression a Court
gains from the facts placed before
it by the parties
[3]
.
[14]
Secondly the requirement of ‘good cause’ which is a
concept well known to the Courts
with which this Court aligns itself
with as outlined hereunder:
‘
Good cause’
looks at all those factors which bear on the fairness of granting the
relief as between the parties and as affecting
the proper
administration of justice. In any given factual complex it may be
that only some of many such possible factors become
relevant. These
may include prospects of success in the proposed action, the reasons
for the delay, the sufficiency of the explanation
offered, the bona
fides of the applicant, and any contribution by other persons or
parties to the delay and the applicant’s
responsibility
therefor.
[4]
[15]
Heher JA goes further at paragraph 12 in dealing with ‘good for
the delay’
[5]
:
‘
Good cause for
the delay’ is not simply a mechanical matter of cause and
effect. The court must decide whether the applicant
has produced
acceptable reasons for nullifying, in whole, or at least
substantially, any culpability on his or her part which attaches
to
the delay in serving the notice timeously. Strong merits may mitigate
fault; no merits may render mitigation pointless. There
are two main
elements at play in s 4(b), viz the subject’s right to have the
merits of his case tried by a court of law and
the right of an organ
of state not to be unduly prejudiced by delay beyond the statutorily
prescribed limit for the giving of notice.
Subparagraph (iii) calls
for the court to be satisfied as to the latter. Logically,
subparagraph (ii) is directed, at least in
part, to whether the
subject should be denied a trial on the merits. If it were not so,
consideration of prospects of success could
be entirely excluded from
the equation on the ground that failure to satisfy the court of the
existence of good cause precluded
the court from exercising its
discretion to condone. That would require an unbalanced approach to
the two elements and could hardly
favour the interests of justice.
Moreover, what can be achieved by putting the court to the task of
exercising a discretion to
condone if there is no prospect of
success? In addition, that the merits are shown to be strong or weak
may colour an applicant’s
explanation for conduct which bears
on the delay: an applicant with an overwhelming case is hardly likely
to be careless in pursuing
his or her interest, while one with little
hope of success can easily be understood to drag his or her heels. As
I interpret the
requirement of good cause for the delay, the
prospects of success are a relevant consideration.
[16]
The Applicant has shown that his claim has not been extinguished by
prescription as outlined above
in compliance with Section 3
(4)(b)(i).
[17]
An issue which needs to be addressed in this matter is that these are
motion proceedings and
the rule is that an Applicant must make out
its case in its founding affidavit. The Applicant is entitled to file
a replying affidavit
after the Respondent has filed an opposing
affidavit. Any additional affidavits may only be filed with the leave
of the Court.
[6]
[18]
The Applicant chose to file a founding affidavit which is very brief
and does not deal in detail
with the requirements of Section 3(4). In
this regard, one only has to have regard to the requirement of
showing ‘good cause
for the delay’ to realise that the
Applicant does not come near to explaining the delay in the Founding
affidavit. Furthermore
the aspect of ‘good cause’ in the
sense of prosepcts of success is also not dealt with sufficiently or
at all. However,
this deficiency is cured by the Applicant’s
Supplementary affidavit. The Applicant, however, only provides his
confirmatory
affidavit supporting his allegations regarding the
actions of his attorneys in his replying affidavit.
[19]
The vexed question then arises whether a Court may consider the
replying and supplementary affidavits
together with the confirmatory
affidavits of the Applicant? In my view, the answer to this question
would depend on the circumstances
of each case as well as the
interests of justice and the attitude of a given Respondent.
[20]
In this matter, the Applicant filed a supplementary affidavit
[7]
before Respondents filed their answering affidavit. This factor must
be taken into consideration because of the prejudice that
a
Respondent would suffer if a supplementary affidavit is filed after
its answering affidavit
[8]
.
The answering affidavit furthermore responds to the Founding
affidavit as supplemented by the Supplementary affidavit and in my
view shows no prejudice to the Respondent. However, the Respondent
raised the issue of supporting affidavits attached to the replying
affidavit and submits that this is not permissible. This issue has
been dealt with above and in my view does not deal with the
merits of
the assertions made in the supporting affidavit but rather a
technical point dealing with the permissibility of relying
on
supporting affidavits attached to the replying affidavit. Looked at
holistically, I am of the view that the Applicant has explained
the
delay in not giving notice timeously within the confines of the
principles outlined by Heher JA
[9]
in the Madinda case.
[21]
Insofar as the attitude of the Respondent is concerned, one has to
evaluate same against the
objective facts of the Respondent knowing
the explanation of the Applicant before filing their own answering
affidavit and whether
this knowledge worked against them and
prejudiced them in any way. In my view, no such prejudice has been
shown relating to the
facts contained in the founding, supplementary
and replying affidavit. The fact remains that the Applicant was
thwarted by the
First Respondent in his efforts to access information
relating to his case.
[22]
However, this is not the end of the matter either. The further
question in evaluating the requirements
of Section 3 (4) of the Act
is whether the Applicant, on the papers, has shown good prospects of
success
[10]
in the action against the Respondents. Just as the Applicant dealt
cursorily with the explanation for the delay in his founding,
the
same applies to the requirement of ‘good prospects of success’.
In an application for condonation this could sound
the death knell
for an Applicant. Unfortunately for the Applicant, the deficiency of
the application on this ground, counts against
him and the Court must
perforce refuse the application for condonation for the reason that
he has not dealt with the requirement
of ‘good prospects of
success’ sufficiently or at all.
CONCLUSION
[23]
Accordingly, the application for condonation must, for the reason set
out above, fail.
COSTS
[24]
It is trite that the Court has a discretion with regard to costs but
such discretion must be
exercised judicially and the norm of the
successful party being entitled to costs may only be deviated from in
exceptional circumstances.
I find no exceptional circumstances to
deviate from the norm and the Respondents are entitled to their
costs.
Accordingly,
the following Order will issue:
a)
The Application for condonation is
dismissed;
b)
The Applicant is to pay the party and party
costs of the Respondents.
G
ALLY
ACTING
JUDGE OF THE HIGH COURT
GAUTENG
DIVISION OF THE HIGH COURT, JOHANNESBURG
Electronically
submitted therefore unsigned
Delivered:
This judgement was prepared and authored by the Judge whose name is
reflected and is handed down electronically by circulation
to the
Parties/their legal representatives by email and by uploading it to
the electronic file of this matter on CaseLines. The
date for
hand-down is deemed to be 14 March 2022.
Date
of hearing: Matter decided on the papers
Date
of judgment: 11 March 2022
Appearances:
Matter
decided on the papers. Heads of Argument being drafted by:
The
Applicant
:
L R Molope
Y Bodlani Attorneys
Yonela.bodlani@gmail.com
The
Respondents
:
R. Pooe
The State Attorney
RPooe@justice.gov.za
[1]
Act 40 of 2002
[2]
Madinda
v Minister of Safety & Security of South Africa 2008 SCA 34;
Maguga v Minister of Police 2018 ECHCG; Marumo v Minister
of Police
2014 NGHC;
[3]
Madinda
supra at para 8
[4]
Madinda
supra at para 10
[5]
Madinda
supra
[6]
Rule
6 (e)
[7]
Caselines
Section 011-3 – commissioned on 15 February 2021
[8]
Caselines
Section 009-3 filed and served on 19 March 2021
[9]
Paragraph 13 supra
[10]
Unreported
Judgment: Mabaso v Minister of Police 2018 GPJHC
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