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[2016] ZAGPPHC 212
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Cheg Trading (Pty) Ltd and Another v Emfuleni Estate Home Owners Association and Another (3116/2015) [2016] ZAGPPHC 212 (23 March 2016)
IN
THE HIGH COURT OF SOUTH AFRICA
GAUTENG
DIVISION, PRETORIA
CASE
NO: 3116/2015
DATE:
23 MARCH 2016
In the matter
between:
CHEG TRADING
(PTY)
LTD
........................................................................................
First
Applicant
SUK YOUNG
KIM
......................................................................................................
Second
Applicant
And
EMFULENI ESTATE
HOME OWNERS
ASSOCIATION
.............................................................................................................
First
Respondent
CORNELIUS
GERHARDUS
STOLP
....................................................................
Second
Respondent
JUDGMENT
DATE OF HEARING:
November 2015
OLIVIER, AJ
[1] This is an
application for the review and setting aside of an arbitration award,
and related relief.
[2] The first
applicant is Cheg Trading 55 (Pty) Ltd, a private company duly
incorporated in terms of the laws of South Africa.
The second
applicant is Suk Young Kim, the director of the first applicant. The
first respondent is the Emfulemi Estate Home Owners
Association. The
second respondent is Cornelius Gerhard us Stolp, a practising
attorney who acted as arbitrator in this matter.
[3] The facts appear
from paras 15 to 17 of the Arbitration Award. Essentially, the
dispute arose from the decision of the first
respondent to stop
allocating funds to the first applicant for the maintenance of the
golf course and sport facilities on the Emfuleni
Estate. The matter
was referred to arbitration in terms of the Constitution of the first
respondent.
[4] Two matters were
essentially before the arbitrator for determination: whether the
first applicant was entitled to funds (20%
of the levies) to maintain
the golf course and sport facilities; and whether the first applicant
was liable for payment of the
levy on the erf on which the golf
course was located.
[5] Clause 36 of the
first respondent's constitution gives the authority for the dispute
between the first respondent and a member
of the first respondent to
be resolved by an arbitration tribunal. Clause 36(4) provides that
the arbitrator is obliged to have
regard to the principles of the HOA
constitution and take decisions on a just and equitable basis without
necessarily applying
the strict rules of law in arriving at his
decision. It provides that the arbitration must be conducted in an
informal way and
shall be held under the provisions of the
Arbitration Act 42 of 1965
(save for the provisions of the
arbitration clause itself). The arbitrator must be a practising
attorney of not less than 15 years’
standing, appointed
by agreement between the parties. If there is no agreement within 7
days, the President of the Law Society of
the Northern Provinces
shall appoint the arbitrator. In this case there was no agreement and
the second respondent was appointed
by the President of the Law
Society.
[6] The arbitration
took place over ten days. The record of the arbitration proceedings
consists of more than 1200 pages. On 9 December
2014 the second
respondent handed down an arbitration award against the first
applicant. The arbitrator found that the first applicant
had no
obligation to maintain the golf course, and that the first applicant
was liable to pay the levy in respect of the property
on which the
golf course is located.
[7] The applicants
want this award reviewed and set aside. They also claim additional
relief, including that the court vacates and
substitutes the decision
of the arbitrator with its own determination. I shall deal with the
grounds on which the applicants base
their review challenge later.
[8] The
Promotion of
Administrative Justice Act 3 of 2000
is not applicable, as these
arbitration proceedings involve the exercise of private power, not
public power. The relevant legislation
is the
Arbitration Act,
specifically
s 33
, the relevant parts of which read as follows:
(1) Where-
(a) Any member of an
arbitration tribunal has misconducted himself in relation to his
duties as arbitrator or umpire; or
(b) An arbitration
tribunal has committed any gross irregularity in the conduct of the
arbitration proceedings or has exceeded its
powers; or
(c) An award has
been improperly obtained,
the court may, on
the application of any party to the reference after due notice to the
other party or parties, make an order setting
the award aside.
(3) The court may,
if it considers that the circumstances so require, stay enforcement
of the award pending its decision.
(4) If the award is
set aside the dispute shall, at the request of either party, be
submitted to a new arbitration tribunal constituted
in the manner
directed by the court.
[9] There are four
grounds on which an award can be challenged in terms of the
Arbitration Act:
(a
) Misconduct in
relation to the arbitrator’s duties;
(b) Gross
irregularity in conducting the proceedings;
(c) The arbitrator
exceeding his powers; or
(d) The award was
improperly obtained.
[10] The Act does
not provide for an appeal on the merits. Section 28 of the Act
provides that an award shall be final and not subject
to appeal,
which each party shall abide by and comply with, unless the parties
have agreed otherwise.
[11] Likewise, the
HOA’s constitution provides that the decision of the arbitrator
is final and binding on the parties, shall
be given effect to
immediately and shall be made an order of any court of competent
jurisdiction. The arbitration clause makes
reference to the
possibility of an appeal but only if the parties agree to an appeal.
There was no such agreement in this case.
[12] The purpose of
any review is to determine whether the decision was arrived at in an
acceptable manner - the correctness of
the outcome itself cannot be
challenged. For the latter, appeal exists. A court must strongly
resist any temptation to delve into
the merits of the matter. The
court should limit itself to process, not substance. An award cannot
be set aside simply because
the judge considers it wrong. See
Telcordia Technologies Inc v Telkom SA Ltd
[2006] ZASCA 112
;
2007 (3) SA 266
(SCA) par
55: "the general principle [is] that when parties select an
arbitrator as the judge of fact and law, the award is
final and
conclusive, irrespective of how erroneous, factually or legally, the
decision was. ...”
[13] The parties
sacrifice the right to appeal for a quick, final resolution of a
matter. Benjamin v Sobac South African Building
and Construction
(Pty)
Ltd
1989 (4) SA 940
(C) at 967J, 968C-D:
The rights of a
party to an arbitration to have the tribunal’s award set aside
are and have always been severely limited.
... one of the advantages
which people are supposed to get by a reference to arbitration is the
finality of the proceeding when
the arbitrator has once stated his
determination. They sacrifice something for that advantage - they
sacrifice the power to appeal.
If, in their judgment, the particular
judge whom they have selected has gone wrong in point of law or in
point of fact, they have
no longer the same wide power to appeal
which an ordinary citizen prosecuting his remedy in the Courts of law
possesses, but they
sacrifice that advantage in order to obtain a
final decision between the parties. It is well-settled law,
therefore, that when
they have agreed to refer their difficulties to
arbitration, as they have here, you cannot set aside the award simply
because you
think it wrong.”
[14] The applicants
say that the review cannot be considered without considering the
content of the arbitration proceedings. This
is true to some extent
in that the court needs to be pointed to those parts of the
proceedings which the applicants claim are examples
of procedural
irregularities, misconduct and so on. However, it needs to be
stressed that this does not mean that the court can
or will
reconsider the merits. All that is relevant here is whether, in
performing his duties, the arbitrator had misconducted
himself,
committed a gross irregularity or exceeded his powers.
[15] The applicants
base their review on the following grounds, saying that the second
respondent had misconducted himself in the
following ways:
(a) The Award was
materially influenced by an error of law and failure to interpret the
Constitution of the First respondent in
line with the evidence
presented at the hearing.
(b) He failed to
take into account relevant considerations when handing down the
award.
(c) The award was
not rationally connected to the evidence presented at the hearing by
the parties.
(d) The award handed
down is so unreasonable that no person performing the function of an
arbitrator given the evidence presented
at the hearing would have
handed such an award.
(e) The Arbitrator
committed an irregularity by allowing the Second Applicant to
continue to answer questions in English when it
was clear that the
Second Applicant was not able to comprehend and express himself in
English properly without the service of an
interpreter.
[16] In court the
applicants wisely abandoned their reliance on the error of law
ground. In Telcordia supra Harms JA was clear in
his rejection of
error of law as a ground of review of arbitration proceedings (par
86):
[l]t is a fallacy to
label a wrong interpretation of a contract, a wrong perception or
application of South African law, or an incorrect
reliance on
inadmissible evidence by the arbitrator as a transgression of the
limits of his power. The power given to the arbitrator
was to
interpret the agreement, rightly or wrongly; to determine the
applicable law, rightly or wrongly; and to determine what
evidence
was admissible, rightly or wrongly. Errors of the kind mentioned have
nothing to do with him exceeding his powers; they
are errors
committed within the scope of his mandate. To illustrate, an
arbitrator in a ‘normal’ local arbitration
has to apply
South African law but if he errs in his understanding or application
of local law the parties have to live with it.
If such an error
amounted to a transgression of his powers it would mean that all
errors of law are reviewable, which is absurd.
Parties are
therefore bound by the finding even if the arbitrator had erred on
the law.
[17] The applicants
persisted with the other grounds. It was argued that the Act did not
do away with common law grounds. However,
case law points to the
contrary. The Supreme Court of Appeal has stated definitively that
resorting to private arbitration means
that the parties waive other
grounds of review, including common-law grounds. In Telcordia supra
Harms JA expressed it thus (par
50-51):
By agreeing to
arbitration parties to a dispute necessarily agree that the fairness
of the hearing will be determined by the provisions
of the Act and
nothing else. Typically, they agree to waive the right of appeal,
which in context means that they waive the right
to have the merits
of their dispute re-litigated or reconsidered. ...
Last, by agreeing to
arbitration the parties limit interference by courts to the ground of
procedural irregularities set out in
s 33(1) of the Act. By necessary
implication they waive the right to rely on any further ground of
review, ‘common law’
or otherwise. If they wish to extend
the grounds, they may do so by agreement but then they have to agree
on an appeal panel because
they cannot be agreement impose
jurisdiction on the court.”
See too Lufuno
Mphaphuli and Associates (Pty) Ltd v Andrews and Another
[2007] ZASCA 143
;
2008 (2) SA
448
(SCA) at par 14.
[18] The grounds
argued by the applicants cannot stand as separate grounds and must
therefore be dismissed. At most, they could
potentially be relevant
is as indicators of the grounds of review in the Act - but this is
not always necessarily so. It depends
on the circumstances of the
case.
[19] The only ground
argued that I consider potentially to be of merit, is that of a
possible irregularity in the proceedings created
by the alleged
inability of the second applicant to testify in English, and the
lapse of the arbitrator to arrange for a translator.
[20] Not every
irregularity in the proceedings would result in the setting aside of
the award; it must be so serious that it caused
the aggrieved party
not having its case “fully and fairly determined”. See
LAWS A Vo/1: Arbitration, par 606. A gross
irregularity would occur
among others where the arbitrator misconceives the entire nature of
the enquiry, i.e. he misunderstands
his mandate, or his related
duties.
[21] The second
applicant argues that the arbitrator had committed an irregularity by
allowing him to continue to answer questions
in English when it was
clear that the second applicant was not able to comprehend and
express himself in English properly without
the service of an
interpreter.
[22] First
respondent’s counsel calls this claim a “transparent
untruth” and contests it on both legal and factual
grounds: it
is clear from the record that the second applicant had no difficulty
understanding English. See record pp 1, 153, 154,
172, 173, 175, 176
and 182. The second applicant deposed to the discovery affidavit in
English. The second applicant took the oath
and commenced giving
evidence in English. The second applicant completed his evidence in
chief without complaining that he did
not understand English or that
he had any difficulty in expressing himself in English.
[23] Furthermore,
the second applicant was at all relevant times represented by legal
representatives. They, in conjunction with
the applicants, elected
not to use a translator. The applicants should have arranged for an
interpreter if one was required, as
they were dominus litis, says the
first respondent.
[24] During the
early parts of the arbitration, particularly during cross-
examination of the second applicant, the first respondent's
counsel
alluded to the fact that it was the applicants’ legal
representatives who should arrange for a translator, if required
-
but “the attorney and counsel for the Applicants ‘declined
the offer’ of seeking the matter to stand down in
order to
obtain the
services of an
interpreter.” (First respondent’s heads of argument, para
4.24—25.)
[25] The only
complaint on the part of the second applicant was that he had
difficulty understanding the exact nature of the process,
for which
patience was sought from the arbitrator and respondent’s
counsel. (See record, pp 70, 130 and 135.)
[26] The applicants,
on the other hand, pointed to several other paragraphs of the record
in support of their claim.
[27] It seems to me
that the arbitrator had no difficulty understanding the testimony of
the second applicant and that he therefore
did not see the need to
appoint a translator. And any difficulty on the part of the second
applicant to answer certain questions
without the assistance of a
lawyer as he was not a trained lawyer himself is an altogether
different matter than an inability to
understand English, or to
express himself properly in that language. It seems to me that to the
extent that the language in which
the proceedings was conducted,
including the language in which the second applicant testified, was
potentially a problem, it should
have been raised by applicants'
legal representative. In my view, therefore, there was no
irregularity in the proceedings.
[28] I now turn to
the other possible grounds. Did the arbitrator commit misconduct? The
case of Dickenson & Brown v Fisher's
Executors at 175- 6,
referred to with approval in Benjamin v Sobac (at 970F), offered the
following explanation of misconduct:
”Now I do not
propose to attempt to give any definition of the word ‘misconduct’,
for it is a word which explains
itself. And, if it is used in its
ordinary sense, I fail to see how there can be any misconduct unless
there has been some wrongful
or improper conduct of the person whose
behaviour is in question
And later in
Benjamin (at 970J-971A):
"In ordinary
circumstances where an arbitrator has given fair consideration to the
matter which has been submitted to him for
decision, I think it would
be impossible to hold that he had been guilty of misconduct merely
because he had made a bona fide mistake
either of law or fact.”
[29] It seems to me
that if misconduct is given its ordinary meaning, the arbitrator
should have engaged in some sort of wrongful
or improper conduct for
it to be challenged. Moral turpitude or mala fides should be
established. A bona fide mistake cannot be
misconduct. The applicants
allege that in his failure to consider the evidence of the parties
the arbitrator committed misconduct.
Although an arbitrator is under
no obligation to observe the strict rules of evidence and procedure
that would ordinarily apply
in a court of law, he must at least
ensure that the parties are given a fair and just hearing, informed
by the principles of natural
justice. He must discharge his duties
impartially and honestly. The arbitrator has the discretion to decide
the relative weight
to attach to evidence and argument before him.
[30] In my view the
arbitrator did not conduct himself in any way that could be described
as wrongful or improper. Again, the fact
that a losing party may
disagree with the outcome of the arbitration or how the arbitrator
interpreted law or considered evidence
does not mean that the
arbitrator had misconducted himself.
[31] An arbitrator’s
award cannot go beyond the terms of reference. He must decide what
the parties have referred to him for
resolution. The applicants
contend that the arbitrator had exceeded his powers and mandate by
determining whether or not the developer
had assigned its obligations
in respect of the maintenance of the golf course to the First
Applicant. This relates to the interpretation
of clause 15.1.2 of the
constitution. The first respondent contends that this is an issue of
law, not fact.
[32] Did the second
respondent exceed his authority? In Telcordia the court referred with
approval to the decision of the House
of Lords in Lesotho Highlands
Development Authority v Impregilo SpA
[2005] UKHL 43
, para 24, where
Lord Steyn distinguished between the erroneous exercise of a power
which the arbitrator did have, and the exercise
of a power which he
did not have. “If it is merely a case of erroneous exercise of
power vesting in the tribunal no excess
of power ... is involved.”
So, provided the arbitrator had the particular power, its incorrect
exercise would not qualify
as an overstepping for purposes of this
ground of review.
[33] The applicants
contend that the arbitrator should have based his finding on the
evidence of the parties, not necessarily an
interpretation of the
Constitution. And that in so doing, he had acted outside the scope of
his powers and committed misconduct.
I cannot see how in interpreting
the constitution the arbitrator could have exceeded his powers or
committed misconduct. In my
opinion it would not have been possible
for the arbitrator to resolve the dispute without interpretation the
constitution. It is
a power which was his to exercise.
[34] The applicants
say that the arbitration should have been more flexible, as the
proceedings more resembled a court of law. The
fact is that the
parties employed the services of lawyers, which would clearly invite
a more formal approach to proceedings.
[35] Much of the
argument of the applicants seems to me to concern itself with merits
and with how the arbitrator interpreted the
law and the evidence
given by witnesses. For example, as referred to earlier, they take
issue with the application of principles
of law by the second
respondent, alleging that the second respondent had acted wrongfully
by applying strict rules of law. In respect
of the evidence, they
offer their own conclusions. The interpretation of a contract too is
a matter of law and not fact. The court
listens to evidence and then
on that basis decides.
[36] The applicants
may very well think that the arbitrator got the outcome wrong, but as
explained earlier they have nothing available
to them to challenge
the merits.
[37] To sum up, in
my opinion the arbitrator did not misconstrue or misunderstand the
nature of the arbitration, or his duties -
and he also did not exceed
the limits of his powers, or misconducted himself. I also find that
there was no gross irregularity.
As a result, the application must
fail.
[38] Considering
this finding, there is no need for me to deal with the substitution
of the award or other relief sought by the
applicants.
COSTS
[39] The first
respondent seeks a costs order on an attorney-client scale, including
the costs of senior counsel, against the applicants.
I was referred
to In re Alluvial Creek Ltd
1929 CPD 532
at 535, recently referred to
by the SCA in Boost Sports Africa (Pty) Ltd v South African Breweries
(Pty) Ltd
2015 (5) SA 38
(SCA), where the court said the following
about a punitive cost order:
“Now sometimes
such an order is given because of something in the conduct of a party
which the Court considers should be punished,
malice, misleading the
Court and things like that, but I think the order may also be granted
without any reflection upon the party
where the proceedings are
vexatious, and by vexatious I mean where they have the effect of
being vexatious, although the intent
may not have been that they
should be vexatious. There are people who enter into litigation with
the most upright purpose and a
most firm belief in the justice of
their cause, and yet whose proceedings may be regarded as vexatious
when they put the other
side to unnecessary trouble and expense which
the other side ought not to bear.”
[40] A punitive cost
order should be the exception - not the rule. I do not consider
attorney-client costs to be justified in this
case. In my view the
proceedings were not vexatious.
[41] I think the
matter justified the use of senior counsel.
ORDER
[42] The application
is dismissed with costs, including the costs associated with the
employment of senior counsel.
OLIVIER, AJ
ACTING JUDGE OF
THE HIGH COURT