Case Law[2022] ZAGPJHC 178South Africa
Mngomezulu NO. and Another v Mokoena and Others (20/37279) [2022] ZAGPJHC 178 (25 March 2022)
High Court of South Africa (Gauteng Division, Johannesburg)
25 March 2022
Judgment
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# South Africa: South Gauteng High Court, Johannesburg
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## Mngomezulu NO. and Another v Mokoena and Others (20/37279) [2022] ZAGPJHC 178 (25 March 2022)
Mngomezulu NO. and Another v Mokoena and Others (20/37279) [2022] ZAGPJHC 178 (25 March 2022)
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sino date 25 March 2022
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REPUBLIC
OF SOUTH AFRICA
IN
THE HIGH COURT OF SOUTH AFRICA
GAUTENG
DIVISION, JOHANNESBURG
Case
No: 20/37279
REPORTABLE:
NO
OF
INTEREST TO OTHER JUDGES: NO
REVISED
YES
25/032022
In
the matter between:
MNGOMEZULU
BOITUMELO NO
.
ID
NO
[....]
First Applicant
MNGOMEZULU
PHINDILE
ID
NO:
[....]
Second Applicant
and
MOKOENA
TUMELO AUBREY
ID:
[....]
First Respondent
MOFOKENG
NONTUTUZELO SYLVIA
ID:
[....]
Second Respondent
KRUGER
& KRUGER ATTORNEYS
Third Respondent
REGISTAR
OF DEEDS PRETORIA
Fourth Respondent
FIRST
NATIONAL BANK
Fifth Respondent
This
judgment was handed down electronically by circulation to the
parties’ legal representatives by email. The date and time
for
hand-down is deemed to be 25 March
2022
JUDGMENT
STRYDOM
J
[1]
This is an application in which the first applicant, in her capacity
as
the executrix in the estate of her late mother Merriam Mngomozulu
(“the deceased”) and the second applicant, the daughter
of deceased seek orders against respondents for the following relief
an order cancelling the title deed of House [....] Extension
12,
Bophelong (“the property”) presently registered in the
name of first respondent, as well as cancellation of the
bond in
favour of First National Bank, the fifth respondent. Ancillary relief
is sought including a costs order.
[2]
Only the first, second and third respondents opposed this application
and asked for the dismissal thereof with costs. Subsequently, the
case against the third respondent was withdrawn.
[3]
The applicant’s case is premised on the following factual
matrix:
The second applicant currently resides at the property and
has done so since the death of her mother; on 14 March 2000 the
second
applicant’s mother bought the property for R2000 in
terms of a written sale agreement; the full purchase price was paid
by
November 2000 but the property was not transferred to the
deceased, primarily because of non-cooperation of the second
respondent.
Subsequently, an eviction application was brought by the
first respondent who bought the property during about February 2020
from
the second respondent for the amount of R198 000 in terms
of a written agreement of sale. The property was duly transferred
into the name of the first respondent.
[4]
The second applicant relies on the conclusion of the sale agreement
in
the year 2000 to enforce transfer of the property to her.
[5]
The basis of the first applicant’s defence is that he bought
the
property form second respondent, who was the legal owner of the
property, and it was transferred into his name. He obtained a bond
for fifth respondent to finance his purchase. The first respondent
stated that he had no knowledge of the previous sale of the
same
property to the deceased.
[6]
The second respondent denied that she entered into any written or
other
agreement with the deceased in terms of which she sold the
property for R2000 to her. She denied that her signature appears of
the handwritten agreement which purports to be a sale agreement.
[7]
What the court is now faced with is a clear dispute of fact which
cannot
be decided on the papers filed. In the applicants’ heads
of argument and before court it was argued that the disputes of fact
should be referred to hear oral evidence or to trial. On behalf of
the respondents it was argued that this dispute of fact was
foreseen
and that the applicants should not have resorted to motion
proceedings. It was argued that on this ground alone the application
should be dismissed with costs. It should be noted that the
applicant, probably realising that the matter was not capable of
decision
on the papers unilaterally removed the matter from the
opposed roll but the removal was defective as it was done without the
consent
of respondents. On behalf of the first and second applicants
the court was requested to hear the matter and to dismiss the
application
with costs.
[8]
It was argued that despite the clear factual dispute the matter could
in any event be dealt with on the common cause and undisputed facts
as the second applicant lacks
locus standi
for the relief she
is seeking. It was further argued that the applicants applied the so
called doctrine of notice wrongly. Moreover,
the claim which the
applicants might have had has prescribed a long time ago.
[9]
Dealing with the
locus standi
point first. The second
applicant, the daughter of the deceased, who allegedly bought the
property, claims for the transfer of the
property into her name. She
deposed to an affidavit in support of her claim that the property
should be transferred to her. The
first applicant only deposed to a
confirmatory affidavit and does not state why the property should be
transferred to the second
applicant specifically. The applicants has
failed to establish a basis for this claim that the property should
be transferred to
second applicant. Even if it is accepted that there
was a previous sale agreement then allegations should have been made
pertaining
to the status of the estate and whether the deceased died
with a will or intestate. The court cannot assume that there are no
other
potential beneficiaries in the estate of the deceased, without
such allegation, and that the second applicant was entitled to
inherit
the house which was allegedly bought by the deceased.
[10]
It was argued on behalf of the applicants that the first applicant,
as executrix, supports
the transfer of the property into the name of
the second applicant. This in my view is however not sufficient. It
was not indicated
whether the deceased died with or without a will,
thus intestate. No allegations were made indicating that the second
applicant
was to only heir of the deceased and on what possible basis
she can lay claim to the property. In my view the second applicant
has failed to show on the papers that she has the necessary
locus
standi
for the relief she is seeking.
[11]
The further obstacle for the applicants, even if it is accepted that
the first sale agreement
was entered into, followed by a second sale,
lies in the wrong application of the legal doctrine of notice as
alluded to on behalf
of the applicants. In terms of this doctrine, a
first buyer of property remains entitled to claim transfer of this
property if
a second buyer, with knowledge of a previous sale
continued to buy the property and transfer same into his or her name.
See in
this regard
Bowring NO v Vrededorp Properties CC and
Another
2007 (5) SA 391
(SCA) where it was found as follows at p
395 F-H:
“
[11]
The legal basis advanced by Vrededorp for its claim to the blue
portion is again derived from the doctrine of notice. This
time it
relies on the application of the doctrine in the sphere of successive
sales. The usual operation of the doctrine in this
instance, as
explained in our case law, is essentially as follows: if a seller, A,
sells a thing – be it movable or immovable
– to B and
subsequently sells the same thing to C, ownership is acquired, not by
the earlier purchaser, but by the purchaser
who first obtains
transfer of the thing sold. If the first purchaser, B, is also the
first transferee, his or her right is unassailable.
If the second
purchaser, C, is the first transferee, his or her right of ownership
is equally unassailable if he or she had purchased
without knowledge
of the prior sale to B. But, if C had purchased with such prior
knowledge, B is entitled to claim that the transfer
to C be set aside
so that ownership of the thing sold can be transferred to B.”
[12]
In
Meridian
Bay Restaurant v Mitchell NO
2011
(4) SA 1
(SCA) it was found that the second purchaser does not need
to have actual knowledge of the first purchaser’s prior right.
It would suffice that the second purchaser subjectively foresaw the
possibility of the existence of the first purchaser’s
personal
right to enforce a valid sale agreement but proceeded with the
acquisition of his purchase regardless of the consequences
it may
have on the prior personal right of the first purchaser. The Court
found as follows at paragraph 18:
“
Thus
C, the acquirer of the real right, does not need to have actual
knowledge of B’s prior right. It suffices that C subjectively
foresaw the possibility of the existence of B’s personal right
but proceeded with the acquisition of his real right regardless
of
the consequences to B’s prior personal right.”
[13]
According to the applicants in this
matter, the only knowledge which the first respondent obtained was
that he became aware that
the second applicant was in occupancy of
the property. There is no allegation that he in fact knew that the
property was previously
sold to the deceased. In my view, the first
respondent could not subjectively foresee the possibility of the
existence of the deceased’s
personal right to enforce a sale
agreement against the second respondent. On the probabilities one
cannot imagine that the second
respondent would have told the first
respondent that she previously sold the property to the deceased. It
is more probable that
she would have told the first respondent that
the second applicant was in occupation of the property in her
capacity as a tenant
as is alleged by the second respondent. On this
basis the applicants has failed to make out a case for the relief
they sought.
[14]
It was argued on behalf of the
applicants that the first respondent should have engaged in a “
due
diligence
”
exercise to ascertain what the position was pertaining to the
occupancy of the property. This in my view is not required
from a
potential buyer.
[15]
Apart from anything else it was
argued on behalf of the first and second respondents that even if the
first sale agreement was concluded
(which was denied), then the claim
of the applicants prescribed. This, according to the respondents,
could also been decided on
the papers before Court.
[16]
As stated, the alleged first sale
agreement was concluded on 14 March 2000 and the final instalment was
paid during November 2000.
From that date onwards, the deceased
became entitled to claim for the transfer of the property into her
name.
[17]
A claim to transfer an immovable
property into the name of another is one for the delivery of goods
and constitutes a “debt”
for purposes of the Prescription
Act 68 of 1969 (“
Prescription Act&rdquo
;).
[18]
In terms of
section 11
of the
Prescription Act, any
claim which the deceased may have had in the
transfer of the property prescribed three years after the alleged
last instalment
which was paid during November 2000.
[19]
Axiomatically, the deceased’s
claim to ownership of the property prescribed in November 2003. In
eThekwini Municipality v
Mounthaven (Pty) Ltd
2019
(4) SA 394
(CC), it was found as follows in the Constitutional Court:
“
8.
In terms of the dictionary meaning of ‘debt’ accepted in
Makate, an obligation to pay money,
deliver goods or render services
is included under the definition and would prescribe within three
years under the
Prescription Act. Material
or corporeal goods consist
of property, movable or immovable. Ownership of immovable corporeal
property is transferred to another
by delivery, actual or deemed, of
the goods. That is practically impossible in the case of immovable
property like land. Hence
it is an accepted principle of venerable
ancestry in our law that the equivalent of the delivery of movables
is in a case of immovable
property, registration of transfer in the
Deeds Office. A claim to transfer immovable property in the name of
anther is thus a
claim to perform an obligation to deliver goods in
the form of immovable property. It is a ‘debt’ in the
dictionary
sense accepted in Makate. It really is as simple and
straight forward as that.”
[20]
Consequently, the deceased’s
right to obtain transfer of the property has become prescribed.
[21]
The applicants before this Court
has not made out a case, even on the acceptance of the applicants’
allegations, that the
second applicant can now claim for the
cancellation of the second sale agreement, the cancellation of the
transfer into the name
of the first respondent and for the property
to be transferred into the name of the second applicant.
[22]
It should be noted that the Court’s
decision in this judgment does not pertain to the existence and
validity of the alleged
sale agreement between the deceased and the
second respondent. It is no be noted that if the deceased and
thereafter the second
applicant was only tenants why was the last
rent only paid during November 2000? This fact rather supports a
version of an outright
sale. Again, without making any decision in
this regard, the first applicant may have a claim in delict against
the second respondent
should the first and second applicants be able
to prove the validity and existence of the first sale agreement.
Prescription may
very well again play a role and this Court will not
pronounce on this issue in this judgment.
[23]
In summary, the applicants have
failed to make out a case on the undisputed and common cause facts of
the matter. The application
could be decided on the papers and there
was no need for the referral of the matter to trial. Moreover, the
applicants must have
foreseen the factual dispute considering prior
correspondence between the parties.
[24]
Consequently, the application is
dismissed with costs.
RÉAN
STRYDOM
JUDGE
OF THE HIGH COURT
GAUTENG
LOCAL DIVISION OF THE HIGH COURT
JOHANNESBURG
Date
of Hearing:
10 March 2022
Date
of Judgment:
25 March 2022
APPEARANCES
For
the Applicant:
Mr. Mthenjwa David Hlatshwayo
Instructed
by:
Hlatshwayo — Mhayise Inc.
For
the 1
st
Respondent:
Adv. W F Wannenburg
Instructed
by:
Lawrence Melato Inc.
For
the 2
nd
Respondent:
Adv. W F Wannenburg
Instructed
by:
Kruger and Kruger Attorneys
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