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REPUBLIC OF SOUTH AFRICA
THE LABOUR COURT OF SOUTH AFRICA, JOHANNESBURG
JUDGMENT
Not Reportable
Case No. J2762/12
In the matter between:
MONGEZI GERALD MAJOLA Applicant
and
CRICKET SOUTH AFRICA First Respondent
MINISTER OF SPORT AND RECREATION Second Respondent
CHRIS NICHOLSON N.O. Third Respondent
FREEMAN NOMVALO N.O. Fourth Respondent
ZOLISA ZWAKALA N.O. Fifth Respondent
THE PRESIDENT OF THE REPUBLIC OF SOUTH AFRICA Sixth Respondent
SASCOC Seventh Respondent
KAREL TIP N.O. Eighth Respondent
Heard: 19 and 25 March 2013
Delivered: 29 August 2013
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Summary: Application for declaratory relief - reliance on right to fair labour
practices in S23 of Constitution - failure to show statutory right arising from
LRA - application dismissed.
JUDGMENT
VISAGIE, AJ
Introduction
[1] This is an application for declaratory relief. In his application, the applicant
seeks an order declaring certain actions and/or decisions of the second to fifth
respondents as unlawful, invalid and unfair. It is the applicant's case that those
actions and/or decisions had led to the institution of disciplinary proceedings
against the applicant, which resulted in the applicant’s dismissal. The Court is
requested to set aside the disciplinary proceedings if it finds that the actions
and/or decisions of the second to fifth respondents, which were allegedly
unlawful, invalid and unfair, collectively lead to the institution of the disciplinary
proceedings.
[2] The applicant seeks substantive relief only against the first respondent and
declaratory relief in respect of the validity of the actions and/or decisions of the
second, third, fourth and fifth respondents. The applicant likewise seeks no
substantive relief against the eighth respondent who was the chairperson of
the disciplinary hearing. The sixth and seventh respondents were only cited by
virtue of their possible interests in the proceedings and the relief that is sought
in the proceedings.
Condonation application
[3] The application was initially set down for hearing on 19 March 2013. A day
before the hearing, the second respondent filed an application for condonation
seeking the Court to condone the late service of the second respondent’s
answering affidavit and tendering the wasted costs occasioned by the
application for condonation.
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[4] The applicant filed and served the notice of motion on 15 October 2012. The
second respondent’s notice to oppose the application was served and filed on
11 November 2012. The second respondent's answering affidavit was filed
with the Court on 24 December 2012 but was not served on the applicant at
that time. Mr Ngoetjana, an attorney at the State Attorney offices in Pretoria,
stated in the affidavit supporting the application for condonation that he was
surprised when, after serving the second respondent’s heads of argument on
12 March 2013, he received a telephone call from the applicant’s attorney on
13 March 2013, who informed him that the applicant was of the impression
that the second respondent was not opposing the application in lieu of the fact
that no answering affidavit from the second respondent was received by the
applicant. It was only then that Mr Ngoetjana discovered that the second
respondent’s answering affidavit was filed with this Court but not served on the
applicant.
[5] The applicant did not oppose the condonation application but requested that
the matter be stood down until 25 March 2013 in order for the applicant to
consider replying to the second respondent's answering affidavit. Counsel for
the first respondent did not object to the request for a postponement on the
basis that the parties agree to a date that all parties would be available. In light
of the fact that the condonation application was not opposed and that it would
only be fair to allow the applicant an opportunity to consider whether he
wanted to reply to the second respondent's answering affidavit, the
condonation application was granted and the matter was postponed by
agreement between the parties to 25 March 2013 on the basis that the second
respondent pay the wasted costs occasioned by the condonation application.
Factual background
[6] The background facts of the matter are fairly common cause.
[7] The applicant was employed as the Chief Executive Officer of the first
respondent from 1 January 2001 until he was dismissed on 19 October 2012
following a disciplinary enquiry instituted by the first respondent. The board of
directors of the first respondent (the "first respondent's board") resolved on 17
and 30 March 2012 to hold a disciplinary enquiry into allegations of
misconduct levelled against the applicant and on 15 May 2012, charges were
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served on the applicant. From about the end of September 2012 through
October 2012, the parties were engaged in the disciplinary enquiry. There
were a number of procedural steps that were dealt with at the commencement
of the disciplinary enquiry. This included, amongst others, a special plea
raised by the applicant, which was dismissed by the disciplinary chairperson
as well as an application for the postponement of the disciplinary enquiry
pending an application to this Court to intervene. The application for
postponement was also dismissed by the chairperson who gave his reasons
on 13 October 2012. In light of the refusal to grant the postponement, the
applicant decided not to participate any further in the disciplinary enquiry,
which continued in his absence and which resulted in a finding which was
provided by the chairperson on 19 October 2012. The finding of the
chairperson was for the applicant to be summarily dismissed.
[8] In these proceedings, the applicant relies mainly on the events that preceded
the institution of the disciplinary proceedings against him in support of his
application and the relief that he seeks in his notice of motion.
[9] In early August 2010, the first respondent's board established a review
committee (“the Khan committee”, Mr A K Khan was the Vice President of the
first respondent at the time and was also the first member appointed to the
committee) to investigate allegations regarding the unauthorised payment of
bonuses as well as the non-disclosure of the payment of bonuses to certain of
its staff, including the applicant, by the Indian Premier League ("IPL") and the
International Cricket Council ("ICC") after these two bodies separately held
tournaments in South Africa in 2009. The Khan committee made a number of
recommendations, amongst them, that the applicant “be formerly cautioned to
ensure that the payments received by him are authorised by the appropriate
committee or body within CSA and that all amounts received by him from
sources other than CSA be promptly and comprehensively reported to
REMCO.” The Khan committee also recommended that the bonuses “paid to
all staff, including [the applicant] and McIntosh be ratified”. At a meeting of the
first respondent’s board on 19 November 2010, the first respondent's board
endorsed the Khan committee's findings and its recommendations.
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[10] In April 2011, the first respondent’s board instructed KPMG, an independent
auditing firm, to conduct a forensic investigation into the payment of bonuses
to employees of first respondent and the travel and related expenditure of the
applicant. The first respondent invited the South African Sports Confederation
and Olympic Committee (“SASCOC”) to oversee the process. After finalising
its investigation, KPMG provided its report to the first respondent on 5
September 2011. With regard to the payment of bonuses, the report identified
four instances of possible irregular conduct by the applicant relating to his
failure to disclose. The report recommended that the conduct was possibly in
contravention of the Companies Act and the fiduciary duties of directors and
should therefore be referred for legal advice to determine what appropriate
action should be taken. The report also made recommendations with regard to
the travel and related expenditure as well as the repayment of these
expenses. What followed was that the various parties independently sought
opinions from three senior counsel. SASCOC sought an opinion from
Advocate Bam SC in August 2011. Dr Nyoka, the President of the first
respondent at the time, instructed Advocate Paul Pretorius SC on 19 August
2011 to provide an opinion, and the applicant himself sought an opinion from
Advocate VS Notshe SC.
[11] At the meeting of the first respondent’s board on 19 and 20 August 2011, the
first respondent's board considered the three opinions. Advocate Bam SC was
present at the meeting and he presented his opinion to the first respondent's
board. Advocate Bam SC concluded that in his opinion Sections 234 and 235
of the Companies Act were breached and there was a breach of fiduciary
duties owed to the first respondent “arising from the manner in which the IPL
bonuses were determined and paid out and the non-disclosure of the IPL
bonuses”. The minute of the meeting records the fact that the opinion from
Advocate Pretorius SC was sought by Dr Nyoka in his personal capacity.
Advocate Pretorius SC’s opinion stated that the allegations as they appear in
the KPMG report against the applicant were serious and his failure to disclose
all matters relating to the bonuses was a breach of the relevant provisions of
the Companies Act. He recommended that the first respondent's board should
call the applicant to a properly constituted disciplinary enquiry chaired by an
independent chairperson. The minute also records that Advocate Notsche SC
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was independently asked by the applicant to provide an opinion and was also
invited to address the first respondent's board and to deliver to it his views. In
Advocate Notsche SC’s view, the first respondent's board had no power to
appoint KPMG to conduct the investigation without a rescission of its earlier
decision and the provisions of Sections 234 and 237 of the Companies Act
had no application.
[12] The first respondent's board resolved, amongst others, that the applicant
should be severely reprimanded. It was recorded that the first respondent's
board “agreed that the matter have reached conclusion and was closed”. It
was further recorded in the minute that Mr Reddy, the SASCOC
representative at that board meeting, requested that the first respondent
provide SASCOC with a full report on the matter and the first respondent
agreed to do so.
[13] In a letter dated 3 September 2011, SASCOC gave feedback to the second
respondent on what had transpired at the aforementioned board meeting. In
this letter, SASCOC informed the second respondent that it was satisfied with
the outcome of the board meeting and recommended that the matter be
treated as closed.
[14] On 15 October 2011, the members of the first respondent passed a vote of no
confidence in Dr Nyoka and relieved him of his positions. The following day,
the second respondent appointed a Ministerial Committee with members
comprising the third, fourth and fifth respondents to, amongst others,
investigate why the first respondent at its board meeting of 19 August 2011
failed “to adhere to certain recommendations” of the KPMG report and the
advice that was given by the two senior counsel and failed to call the applicant
to a disciplinary enquiry. The third respondent, Judge Nicholson, was
appointed by the second respondent to chair the enquiry of the Ministerial
Committee. In the Ministerial Committee’s report of 7 March 2012, it stated
that the Ministerial Committee was appointed in accordance with Treasury
Regulation 20, issued in terms of the Public Finance Management Act, 19991
and Section 13(5)(a) of the National Sports and Recreation Act, 1998.2 The
procedures followed by the Ministerial Committee, as stated in its report, were 1 Act No. 1 of 1999. 2 Act No. 110 of 1998 ("the Act").
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‘informal, flexible and non-sectorial and which [permitted] for the maximum
participation by interested parties.’
[15] The applicant participated in the proceedings of the Ministerial Committee by
providing written and oral submissions. The Ministerial Committee found that
‘there was maladministration in CSA in relation to payment of bonuses to
officials in respect of the IPL and Champions Trophy and that this was in
contravention of Sections 234-6 of the Companies Act.’ The Ministerial
Committee also believed that ‘there was maladministration with regard to
incurring of travel expenses, which were beyond [the applicant's] duties for
CSA on his own behalf and on behalf of his wife and children.’ The Ministerial
Committee recommended, amongst others, that ‘the same remedies as those
mentioned by certain of the counsel… mainly to subject Majola to a
disciplinary enquiry, on the bonus payments and travel expenses issues,
prosecuted and chaired by independent senior advocates, chosen by the
chairperson of the Society of Advocates.’
[16] The first respondent's board, at its meeting of 17 March 2012, discussed the
contents of the Ministerial Committee’s report and the recommendation
contained therein. The first respondent's board resolved that the Ministerial
Committee’s recommendation “be adopted by the board in totality" and that
the applicant "be suspended from Cricket South Africa with immediate effect
pending a disciplinary enquiry.” At a subsequent meeting of the first
respondent's board on 30 March 2012, the first respondent's board dealt with
the Ministerial Committee’s report further and recorded in the minute that the
report “had been accepted “in principle”, implying that the board's options
would be open to dealing with the report's recommendation in the best interest
of CSA but that, should consultation be required, the board would do so with
whomever was necessary.”
[17] On 15 May 2012, the applicant received the notice to attend the disciplinary
enquiry containing various charges.
Submissions on behalf of the applicant
[18] The applicant’s main contention was that the disciplinary enquiry instituted
against him by the first respondent violated his constitutional right to fair labour
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practices and was accordingly unlawful and invalid. He seeks to have the
disciplinary enquiry set aside by obtaining declaratory relief relating to the
alleged unlawfulness and invalidity of those actions and/or decisions of the
second to fifth respondents that collectively led to the institution of the
disciplinary enquiry.
[19] Advocate Soni SC, who acted on behalf of the applicant, submitted that the
first issue that the Court is called upon to consider is whether the interference
by the second respondent was lawful, valid, fair and/or permissible. Advocate
Soni contended that the second respondent did not have the power to appoint
a committee to determine whether the services of a person in the position that
the applicant held at the time should be terminated. Advocate Soni stated that
there were a number of reasons for this contention. First, the power to set up a
commission is given to the sixth respondent. Second, the Act on a proper
interpretation does not permit the second respondent to appoint a committee
of enquiry: Section 13(5)(a)3 simply allows the second respondent to refer a
dispute to mediation or to issue directives. Third, even if the Act empowers the
second respondent to appoint a committee of enquiry, that power may only be
exercised subject to Section 13(5)(b), which expressly precludes the second
respondent from interfering in matters relating to the termination of services of
executive members of a sports body, such as the applicant, who was the CEO
of the first respondent.
3 Section 13(5) of the Act states the following: ‘13. Dispute Resolution
5(a) Subject to paragraph (b), the Minister may, after consultation with the relevant MEC, if applicable, intervene - (i) in any dispute, alleged mismanagement, or any other related matter in sport or recreation that is likely to bring a sport or recreation activity into disrepute; or (ii) in any non-compliance with guidelines or policies issued in terms of Section 13A or any measures taken to protect or advance persons or categories of persons, disadvantaged by unfair discrimination as contemplated in Section 9(2) of the Constitution, by referring the matter for mediation or issuing a directive, as the case may be.
(b) The Minister may not - (i) intervene if the dispute or mismanagement in question has been referred to the Sports Confederation for resolution, unless the Sports Confederation fails to resolve such dispute within a reasonable time; and (ii) interfere in matters relating to the selection of teams, administration of sport and appointment of, or termination of the service of, the executive members of the sport or recreation Body.
(c) If a national federation fails to adhere to a decision of the mediator or directive issued by the Minister, as referred to in paragraph (a), the Minister may - (i) direct Sport and Recreation South Africa to refrain from funding such federation; (ii) notify the national federation, in writing, that it will not be recognised by Sport and Recreation South Africa; and (iii) publish his/her decision as contemplated in sub-paragraphs (i) and (ii) in the Gazette.’
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[20] Advocate Soni went further and stated that, even if the second respondent
had the power to appoint the Ministerial Committee, the second respondent
was not entitled to include, in the terms of reference of the Ministerial
Committee, the power to recommend that steps be taken against the applicant
that would lead to the termination of the applicant's services with the first
respondent.
[21] Advocate Soni argued that it was incumbent on the ministerial committee
when it was appointed by the second respondent to first determine if it was
entitled to make the recommendations requested of it by the second
respondent. The Ministerial Committee's report makes it clear, according to
Advocate Soni, that it did not determine whether it was entitled to do so and,
as a result, the recommendations that the Ministerial Committee made in
respect of the applicant were beyond the Ministerial Committee's powers and
were consequently invalid. Advocate Soni contended that the failure of the
members of the committee to explain if they had considered the ambit of their
powers while they had an opportunity to do so in these proceedings is also
significant. In the result, Advocate Soni concluded that both the second
respondent and the committee exceeded their powers in doing so. Advocate
Soni stated that they acted in violation of Section 33 of the Constitution,
consequently acted unconstitutionally and as a result there was no basis for
the first respondent which had already, by that time, twice regarded the
questions of the complaints against the applicant as having been resolved, to
reconsider them. Advocate Soni’s main contention in this regard was that the
first respondent was not entitled, in order to comply with the outcome of the
invalid processes and decisions, to institute disciplinary proceedings against
the applicant and also to rely on those invalid processes and decisions to
reconsider the complaints against the applicant.
[22] Advocate Soni submitted that, from the outset, the first respondent's board
was of the view that the appointment of the Ministerial Committee was
unlawful. Despite this view, the first respondent's board participated in the
proceedings and also instructed the applicant to do so. According to Advocate
Soni, the first respondent's board even held this view after the ministerial
committee had made its recommendations and notwithstanding, the first
respondent's board entered into a formal agreement with the second
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respondent which provided that if the first respondent's board did not
implement the recommendations of the Ministerial Committee against the
applicant that the first respondent's board would be stripped of its recognition.
Advocate Soni contended that the first respondent had an opportunity to
address these allegations in an answering affidavit and, instead of doing so, it
only filed an affidavit from its acting CEO who had no personal knowledge of
the matters raised in the applicant’s founding affidavit. According to Advocate
Soni, the allegations made in the affidavit of the CEO on behalf of the first
respondent constituted hearsay and should be accorded no weight.
[23] Advocate Soni also contended that in light of the first respondent's board's
initial view about the lawfulness of the Ministerial Committee and in light of its
previous decisions relating to the conduct of the applicant, it was for the first
respondent's board to challenge the unlawful processes of the second to fifth
respondents because the second respondent was exercising statutory powers.
Advocate Soni's contention was that where an employer is aware or believes
that the process that culminates in it instituting disciplinary proceedings
against one of its employees was not lawful, its decisions to launch such
proceedings were invalid and also unfair.
[24] Advocate Soni argued that it was highly unfair, if not unlawful, for the applicant
to be subjected to a disciplinary enquiry in order that the first respondent could
continue to receive its recognition by the second respondent as the body
representing cricket in South Africa. Advocate Soni stated that in so doing, the
actions of the first respondent constituted a violation of the applicant's
constitutional right to fair labour practices, which includes the right not to be
unfairly subjected to a disciplinary enquiry and/or to be dismissed unfairly. In
these circumstances, Advocate Soni contended that the Court was entitled to
declare the impugned processes and decisions unlawful and invalid.
Submissions on behalf of the first respondent
[25] Advocate Redding SC, on behalf of the first respondent, stated that the first
issue to be determined by this Court is whether the applicant’s application is
moot. Advocate Redding submitted that there is no challenge to the fairness or
lawfulness of the applicant’s dismissal and a Court will be reluctant to issue
declaratory relief where there is no live issue at stake. In the absence of a
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challenge to his dismissal, according to Advocate Redding, it is unclear what
purpose will be served in “setting aside” disciplinary proceedings which took
place sometime in the past. Advocate Redding submitted that it is trite law that
the relief of a declaration of rights is discretionary in nature and will not be
afforded where little or no purpose will be served if the court were to make
such declaration. In the result, Advocate Redding stated that the applicant's
application is an expensive and redundant exercise which has no practical
purpose at all and should accordingly be dismissed with costs.
[26] Advocate Redding contended that insofar as the applicant argued that his
constitutional right to fair labour practices had been violated by the first
respondent when it held a disciplinary enquiry in order to comply with alleged
unlawful and invalid actions or decisions of the second respondent and the
Ministerial Committee, it is now firmly established that the constitutional right
to fair labour practices must be asserted through the labour legislation
promulgated to give effect to the constitutional right and not directly from the
Constitution itself. Advocate Redding went further and stated that the
applicant’s general reliance on a violation of his right to fair labour practices
without specifying precisely which right is implicated is a fatal problem in his
application. The applicant failed to rely on any provision in the labour
legislation promulgated to give effect to the constitutional right, according to
Advocate Redding. In addition, if the applicant was relying on the unfair labour
practice regime set out in Section 186 of the Labour Relations Act,4 Advocate
Redding submitted that there is no pertinent reliance on an unfair labour
practice and no allegations are set out which brings the first respondent’s
conduct within the LRA definition of an unfair labour practice. Advocate
Redding stated that in any event the LRA provides that the relevant bargaining
council or the CCMA, as the case may be, has exclusive jurisdiction to
consider such a dispute and the Labour Court has no jurisdiction to do so. In
the result, according to Advocate Redding, the applicant’s reliance on the
violation of his constitutional right to fair labour practices ought to be rejected
and his application dismissed with costs.
[27] With regard to the applicant’s contention relating to the alleged unlawfulness
and invalidity of the second respondent and the Ministerial Committee’s 4 Act No. 66 of 1995 (“LRA”).
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actions and decisions, Advocate Redding submitted that the Labour Court
lacked inherent power to declare the administrative actions of Ministers of
State and investigative committees to be unlawful and invalid unless this is
incidental to the exercise of a power which the Labour Court has under the
LRA.
[28] Advocate Redding also submitted that the underlying legal basis for stating
that the decision of the first respondent to hold a disciplinary enquiry was
unlawful and invalid is not clear from the applicant’s case. Advocate Redding
stated that the applicant does not aver that the first respondent breached a
contractual duty which it owed him, whether under his contract of employment
or otherwise. Advocate Redding submitted that the applicant did not allege
that the first respondent wrongfully and unlawfully breached a contract nor did
he allege that first respondent wrongfully or unlawfully committed a delict nor
does he say that the first respondent breached a particular statutory duty
which was owed to him. According to Advocate Redding, there is no
suggestion that when the first respondent’s board resolved to hold a
disciplinary enquiry that they acted ultra vires the first respondent’s
Memorandum and Articles of Association or contrary to them. Advocate
Redding stated that the first respondent is a non-profit company governed by
the provisions of the Companies Act and its powers are to be found in the
company's Memorandum and Articles of Association. Advocate Redding
argued that the decision of the first respondent to hold a disciplinary enquiry in
respect of the allegations against the applicant fell within the first respondent's
powers as a company and did not breach any law or any agreement which
prevented it from doing so and therefore the decision was not unlawful or
invalid.
[29] Advocate Redding further argued that it was also unclear how the applicant
can contend that the first respondent is affected by the invalidity of the second
respondent's decision without laying a basis to show that the first respondent
was legally bound to adopt the Ministerial Committee’s recommendation. The
first respondent could choose to do so or not, according to Advocate Redding.
[30] Advocate Redding also submitted that the appointment of the Ministerial
Committee is not the issuing of a directive by the Minister. It is simply the
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instigation of an investigative process. As such, therefore, Advocate Redding
argued that there is no reason why the appointment of a committee to
investigate issues relating to cricket lies outside of the powers of the second
respondent generally. Advocate Redding submitted that there is no reason
why the second respondent is not entitled to appoint a committee to
investigate an issue of concern prior to issuing any directives within the
meaning of Section 13 of the Act.
[31] Advocate Redding argued that what the applicant is seeking to do is to bring
the decision of the second respondent under review and in order to review a
decision of an official such as the second respondent, a party is obliged to rely
upon the provisions of the Promotion of Administrative Justice Act (2000)
(“PAJA”).5 Advocate Reddy pointed out that Section 7(1) of PAJA provides
that any proceedings for a judicial review must be instituted without
unreasonable delay and not later than 180 days after the applicant becomes
aware of the administrative action. Advocate Redding stated that in this case
the administrative action was the second respondent's decision to appoint a
Ministerial Committee. According to Advocate Redding, the applicant clearly
abandoned any complaint that he might have had to the lawfulness of the
Ministerial Committee when he participated in its proceedings. Advocate
Redding submitted that it is inappropriate for a court belatedly to seek to set
aside the act of the second respondent and the time requirements for review
cannot be side-stepped by way of a collateral challenge to the second
respondent's decision nor by applying for a declaration, rather than judicial
review. In the absence of an application for condonation for the belated
challenge to the second respondent's decision and any reasons advanced in
support of such condonation, Advocate Redding submitted that the Court
should dismiss the entire application with costs.
Submissions on behalf of the second respondent
[32] Advocate Motimele SC, who argued on behalf of the second respondent,
submitted that to the extent that the applicant seeks an order declaring the
decision of the second respondent to appoint the Ministerial Committee of
enquiry to investigate matters relating to the first respondent unlawful and
5 Act No. 3 of 2000.
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invalid, the applicant must show that there is an employer and employment
relationship governed by the LRA between him and the second respondent in
order for this Court to have jurisdiction to hear the application. Advocate
Motimele submitted that the applicant must demonstrate that the second
respondent owed him any duty relating to fair labour practices as provided for
in Section 23 of the Constitution or any other legislation. Advocate Motimele
contended that it is only the High Court that has jurisdiction to review the
decision taken by the second respondent and the Labour Court does not have
jurisdiction to enquire into a challenge that the act of appointing the Ministerial
Committee by the second respondent had been invalid and unlawful.
Elaborating on the second point, Advocate Motimele indicated that because
there is no employer/employee relationship between the second respondent
and the applicant, there can be no suggestion that the applicant's right to fair
labour practices as set out in Section 23 of the Constitution having been
breached by the second respondent.
[33] Advocate Motimele also argued that the applicant lacked locus standi with
regard to the appointment of the Ministerial Committee by the second
respondent. Advocate Motimele contended that the terms of reference of the
Ministerial Committee appointed by the second respondent does not in any
way require the applicant to do anything, the applicant is not mentioned in the
terms of reference at all and, but for being employed by the first respondent,
applicant had no direct interest in the appointment of the Ministerial
Committee. Advocate Motimele argued that even if the Court was to find that
such employment constituted direct interest by the applicant, that such interest
was not substantial. In the result, because the applicant had no direct and
substantial interest in prayers 1 to 5 of the notice of motion,6 the applicant
lacked locus standi to request the relief in prayers 1 to 5 according to
Advocate Motimele.
[34] Advocate Motimele also argued that the declaratory order sought by the
applicant had no material advantage nor is there any tangible benefit to be
6 Prayers 1 to 5 mainly seeks to declare the appointment of, and investigation by, the ministerial committee of enquiry as unlawful and invalid, alternatively to declare as invalid, unlawful and unfair the investigation by the ministerial committee and a to declare the recommendation of the ministerial committee's enquiry that a disciplinary be held against the applicant as a violation of the applicant's right to fair labour practices.
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gained from the relief. In support of this contention by Advocate Motimele, he
stated that firstly, a declaratory order is not appropriate to deal with events that
happened in the past. Secondly, Advocate Motimele said that the jurisdiction
of the Court cannot be exercised to get legal advice, answer abstract,
academic or hypothetical questions which have no tangible benefits to the
applicant. Lastly, Advocate Motimele submitted that prayers 1 to 5 of the
notice of motion are, accordingly, not competent and the application should be
dismissed with costs.
[35] Advocate Motimele also argued that on a proper interpretation of Section
13(5) of the Act, the qualification in 13(5)(b) only finds application where the
intervention relates to “… the dispute or mismanagement in question”, which
have been referred to the Sports Confederation for resolution. Section 13(5)(b)
does not apply where the second respondent decides to intervene in any “…
matter in sport or recreation that is likely to bring a sport or recreation activity
into disrepute.” Advocate Motimele stated that due to the fact that the second
respondent's intervention related to the first respondent allegedly bringing the
sport of cricket into disrepute, the qualification in Section 13(5)(b) does not
apply to the second respondent's intervention. In addition, according to
Advocate Motimele, it is only where SASCOC is seized with a matter that the
second respondent must apply deference because it may be resolved by the
sports body. Advocate Motimele indicated that SASCOC’s letter was dated 3
September 2011 and accordingly SASCOC was functus officio because it was
doing nothing to resolve the matter when the second respondent appointed
the Ministerial Committee in November 2011. Advocate Motimele also
contended that an “intervention” as referred to in Section 13(5)(b)(i) must be
distinguished from “interference” as referred to in Section 13(5)(b)(ii). Lastly,
Advocate Motimele indicated that the second respondent was also
empowered to intervene by reason of the resolution of the International Cricket
Council of 11 November 2011.7
7 On 11 November 2011, the ICC sent a notice to all its members headed "Regulations relating to the Independence of Member Board", and which stated in paragraph 2 of the third page that, "Naturally, a government (or any office thereof) would also not be prevented from investigating the affairs of a Member Board in order to ascertain whether any criminal offence has been committed, including fraud, dereliction of directors' duties (including fiduciary duties) or contravention of any relevant legislation. Similarly, there may be circumstances where a government (or any ministry thereof) rightfully seeks to intervene in the event that a Member Board is dysfunctional. The ICC Governance Review Committee believes that this is a question of accountability, not interference."
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Analysis and legal principles
[36] In light of the conclusion which I have reached, it is not necessary for me to
deal with all the legal arguments and points raised by counsel. I am indebted,
however, to counsel for their in-depth and comprehensive arguments on the
points. Some of the detailed arguments in respect of some of the issues may
be interesting and persuasive. However, I refrain from commenting thereon. I
am sure that they will remain for debate in future litigation, should the need
arise.
[37] This Court has the power in terms of section 158(1)(a)(v) of the LRA to make
declaratory orders. In the case of National Employers' Association of South
Africa v Minister of Labour,8 Van Niekerk J stated as follows:
‘Section 158(1)(a)(v) empowers this Court to make declaratory orders. Neither
the LRA nor the Rules of this Court prescribe the circumstances in which an
order may be made. Section 19(1)(a)(iii) of the Supreme Court Act 59 of 1959,
entitles the High Court, in its discretion, and at the instance of an interested
person, to enquire into and determine any existing, future or contingent right
or obligation, notwithstanding that such person cannot claim any relief
consequential on the termination. The granting of a declaratory order is
dependent on the judicial exercise by the Court of its discretion, with due
regard to the circumstances of the matter before it.9 Section 19(1) of the
Supreme Court Act establishes a two-stage approach - the first leg of the
enquiry is concerned with whether the applicant has an interest in an existing,
future or a contingent right or obligation; the second is whether or not the
order should be granted.
Harms, in Civil Procedure in the Superior Courts referring to Director of Public
Prosecutions v Mohammed N.O. 2003 4 SA 1 (CC), suggests that a
declaratory order is not appropriate if there are other specific statutory
remedies available (at A26). In the present instance, the powers conferred on
this Court by Section 158(1) (g) afford the applicants a right of recourse.
Whether the existence of an alternative statutory remedy is necessarily fatal to
an application for a declaratory order appears to be open to some doubt.
Herbstein and Van Winsen observe that the fact that remedies other than a
declaration of rights are available is a consideration that the Court must take
8 [2012] 2 BLLR 198 (LC) at paras 17-18. 9 See Farlam, Fickhardt and Van Loggenberg, Erasmus Superior Court Practice (Juta) at A1-34.
17
into account in exercising a discretion as to whether or not to make a
declaration of rights (see page 1437). On either account, it is clear that the
availability of alternative remedies ought properly to be taken into account in
the exercise of the discretion as to whether or not to grant a declaratory order
[Trinity Asset Management (Pty) Ltd v Investec Bank Limited 2009 4 SA 89
(SCA) at para [40] [also reported at [2009] All SA 449 (SCA - ed).’
[38] The first aspect of the aforementioned requirement to consider is whether the
applicant has demonstrated an interest in an existing, future or contingent right
or obligation. As I understand it, it is the applicant's contention that the
disciplinary enquiry instituted by the first respondent against him and which
resulted in the termination of his employment allegedly violated his
constitutional right to fair labour practices. The applicant's contention is that
because the disciplinary enquiry came about as a result of the alleged
unlawful and invalid actions and decisions of the second to fifth respondents,
the holding of the disciplinary enquiry, in the circumstances, was unfair.
[39] It is common cause that the applicant relies directly on his right to fair labour
practices as set out in Section 23(1) of the Constitution. The applicant's case
is therefore not based on any one or more of the grounds listed in Section
186(2) of the LRA,10 the labour legislation promulgated to give effect to the
constitutional right the applicant is relying on.
[40] In De Klerk v Cape Union Mart International (Pty) Ltd,11 Steenkamp J, when
faced with an application who relied directly on the right to fair labour practices
in Section 23 of the Constitution, said the following:
‘As set out above, the applicant relies directly on the right to fair labour
practices enshrined in Section 23 of the Constitution.
As the applicant herself acknowledges, national legislation - specifically the
LRA - has been enacted to regulate and to give effect to the right to fair labour
10 Section 186(2) of the LRA defines unfair labour practice as meaning any unfair act or omission that arises between an employer and employee involving (a) unfair conduct by the employer relating to the promotion, demotion, probation (excluding disputes about dismissals for a reason relating to probation) or training of any employee or relating to the provision of any benefits to an employee; (b) unfair suspension of an employee or any other unfair disciplinary action short of dismissal in respect of an employee; (c) a failure or refusal by an employer to reinstate or re-employ a former employee in terms of any agreement; and (d) an occupational detriment, other than dismissal, in contravention of the Protected Disclosures Act, 2000 (Act 26 of 2000), on account of the employee having made a protected disclosure defined in that Act. 11 (2012) 33 ILJ 2887 (LC) at paras 23 to 27.
18
practices. Where legislation has been enacted to give effect to a constitutional
right, a litigant may not bypass that legislation and rely directly on the
Constitution without challenging the legislation in question.
In Mazibuko and Another v City of Johannesburg and Others 2010 (4) SA 1
(CC); [2010] 3 BCLR 239 (CC) at para 73, the Constitutional Court discussed
the principle of constitutional subsidiarity and reiterated that:
“This Court has repeatedly held that where legislation has been
enacted to give effect to a right, a litigant should rely on that legislation
in order to give effect to the right or alternatively challenge the
legislation as being inconsistent with the Constitution.”
This dictum is consistent with, inter alia, the earlier statement by Ngcobo J in
Minister of Health and Another N.O. v New Clicks SA (Pty) Ltd and Others:
(footnote omitted)
“[434] In NAPTOSA, the Cape of Good Hope High Court had
occasion to consider whether in the context of the Labour
Relations Act (LRA) it is appropriate to grant relief directly
under s23(1) of the Constitution without a complaint that the
LRA was constitutionally deficient in the remedies that it
provides. The Court held that it could not conceive that it is
permissible for an applicant, save by attacking the
constitutionality of the LRA, to go beyond the regulatory
framework which it establishes. In reaching this conclusion, the
High Court was concerned that were the practice to be
permitted, it would encourage the development of two parallel
streams of labour law jurisprudence, one under the LRA and
the other under s23(1). It considered this to "be singularly
inappropriate.”
[435] In NEHAWU, this Court considered NAPTOSA but refrained
from expressing any opinion on it as it found that it had no
application in that case. In Ingledew, again this Court referred
to NAPTOSA and observed, that together with other cases
referred to in Ingledew, it “cast doubt on the correctness of the
proposition that a litigant can rely upon the Constitution, where
there is a statutory provision dealing with the matter without
challenging the constitutionality of the provision concerned.”
19
[436] In my view, there is considerable force in the view expressed in
NAPTOSA. Our Constitution contemplates a single system of
law which is shaped by the Constitution. To rely directly on s
33(1) of the Constitution and on common law when PAJA,
which was enacted to give effect to s33 is applicable, is in my
view, inappropriate. It will encourage the development of two
parallel systems of law, one under PAJA and another under
s33 and the common law. Yet this Court has held that there are
not two systems of law regulating administrative action - the
common law and the Constitution – ‘but only one system of law
grounded in the Constitution.’ And in Bato Star we underscored
this, holding that ‘the Courts' power to review administrative
action no longer flows directly from the common law but from
PAJA and the Constitution itself.’
[437] Where, as here, the Constitution requires Parliament to enact
legislation to give effect to the constitutional rights guaranteed
in the Constitution, and Parliament enacts such legislation, it
will ordinarily be impermissible for a litigant to found a cause of
action directly on the Constitution without alleging that the
statute in question is deficient in the remedies that it provides.
Legislation enacted by Parliament to give effect to a
constitutional right ought not to be ignored. And where a litigant
founds a cause of action on such legislation, it is equally
impermissible for a court to bypass the legislation and to decide
the matter on the basis of the constitutional provision that is
being given effect to by the legislation in question.’
And specifically in the context of the LRA, O'Regan J stated in SANDU v
Minister of Defence and Others: (footnote omitted)
“Accordingly, a litigant who seeks to assert his or her right to engage in
collective bargaining under s 23(5) should in the first place base his or
her case on any legislation enacted to regulate the right, not on s
23(5). If the legislation is wanting in its protection of the s 23(5) right in
the litigant's view, then that legislation should be challenged
constitutionally. To permit the litigant to ignore the legislation and rely
directly on the constitutional provision would be to fail to recognise the
20
important task conferred upon the legislature by the Constitution to
respect, protect, promote and fulfil the rights in the Bill of Rights.”’
[41] The applicant has not relied on any of the grounds listed in Section 186(2) of
the LRA and has therefore not shown any existing right arising from the LRA
in which the applicant has an interest. The right to fair labour practices must
be found in the LRA because it is this legislation that regulates and gives
effect to the right to fair labour practices as set out in Section 23 of the
Constitution. As Advocate Redding rightly pointed out, even if it were possible
for the applicant to bring the first respondent's conduct in instituting the
disciplinary enquiry within the ambit of Section 186(2) of the LRA, the Labour
Court has no jurisdiction to entertain any dispute arising out of Section 186(2)
because the legislator has provided exclusive jurisdiction to deal with such
disputes to the CCMA or any relevant bargaining council.12 This Court has
declined to give a declaratory order where the determination of the underlying
dispute is one that falls outside its jurisdiction.13
[42] In my view, based on the above, the applicant has failed to demonstrate an
interest in an existing, future or a contingent right or obligation.
[43] Even if I am wrong in coming to the conclusion that the applicant has failed to
meet the first hurdle of the requirement, I am in any event disinclined to grant
the declaratory relief in light of all the facts and circumstances of the case and
for the reasons that follow.
[44] If the applicant was of the view that the disciplinary enquiry was unfair, for
whatever reason, alternative remedies were open to the applicant to challenge
the substantive and/or procedural fairness of the disciplinary enquiry in terms
of the relevant provisions of the LRA. Even prior to the commencement or
during the disciplinary proceedings, the applicant had an opportunity to
approach this Court to intervene if the applicant was able to show exceptional
12 Save that the director of the CCMA has a right in terms of Section 186(6) to refer a dispute to the Labour Court under certain circumstances. 13 SACWU v Engen Petroleum Limited and Another [1999] 1 BLLR 37 (LC) at para 3 where the court determined that it could not provide a declaratory order because the dispute concerned the entitlement to severance pay and the court did not have jurisdiction because such disputes must be referred to arbitration unless the court was also adjudicating a dismissal for operational requirements. (See also University of the North v Franks and Others [2002] 8 BLLR 701 (LAC)).
21
circumstances for this Court to do so.14 The applicant elected not to do so at
the time of the commencement of the disciplinary enquiry nor has the
applicant instituted any proceedings subsequent to the conclusion of the
disciplinary enquiry to challenge the outcome thereof. The existence of
alternative remedies, although not fatal to the granting of declaratory relief, is
a factor to be taken into account for the exercise of the discretion as stated in
National Employers Association of South Africa.15
[45] It is trite law that the Court will decline to grant a declarator if it regards the
questions raised before it as hypothetical, abstract and academic16. As I have
indicated above, the applicant has decided not to challenge his dismissal and
in the absence of the challenge to the lawfulness or fairness thereof, I do not
see any purpose that will be served by the declaratory relief sought by the
applicant.
[46] I am further not persuaded that the first respondent's board was precluded
from instituting the disciplinary enquiry whether the decision to do so was
based on the recommendations of the Ministerial Committee irrespective of its
legal status. The applicant has not contended in these proceedings that the
first respondent acted ultra vires its Memorandum of Association or contrary to
it nor has the applicant laid any other foundation to show that by resolving to
institute the disciplinary enquiry, the first respondent acted contrary to a duty
owed to the applicant whether founded in contract or any other basis in law.
Under these circumstances, I cannot understand how the decision of the first
respondent to institute disciplinary proceedings against the applicant could be
construed to have been unlawful or invalid. As pointed out, even if there was
some basis for the applicant to challenge the decision of the first respondent
to hold a disciplinary enquiry, he should have done so at the time when the
disciplinary enquiry was instituted (if he was able to meet the requirements of
Booysen17) or he could have challenged the lawfulness and the fairness of the
disciplinary hearing, in terms of the provisions of the LRA, after its completion
and the outcome was communicated to him. He has done neither. In these
14 Booysen v Minister of Safety and Security and Others [2011] 1 BLLR 83 (LAC) at para 54. 15 Footnote 8 16 See the authorities listed at footnote 10, page A1-34 Harms, Farlem, Fitchardt and Van Loggerenberg Erasmus Superior Court Practice (Juta) at A1-34. 17 Footnote 15
22
circumstances, I can see no tangible benefit or material advantage to be
gained by the applicant from the relief he is seeking in these proceedings.
[47] For the above reasons, therefore, the applicant's application is dismissed.
Costs
[48] I first deal with the costs for the postponement. As I have indicated above, the
condonation application was not opposed and Advocate Motimele conceded
that the second respondent should be responsible for the costs occasioned by
the condonation application. When I put it to Advocate Motimele that it should
also include the costs of the postponement, Advocate Motimele held on to the
position that it should only relate to the condonation application. In my view,
had it not been for the condonation application, there would not have been a
postponement. I can, therefore, see no reason why the second respondent
should not be responsible for the costs occasioned by the condonation
application and the postponement.
[49] In this matter, the applicants as well as the first and second respondents were
represented by senior counsel. The applicant's application has failed and I can
see no reason why the first and second respondents should not be awarded
costs.
Order
[50] I, therefore, make the following order:
50.1 The application is dismissed;
50.2 The second respondent is to pay the costs of the applicant and first
respondent occasioned by the condonation application of the second
respondent and the resultant postponement of the matter on 19 March
2013;
50.3 Applicant is to pay the costs of the first and second respondents.