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[2009] ZAGPPHC 115
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Botha NO v Smith & Assoicates (27836/09) [2009] ZAGPPHC 115 (11 June 2009)
IN
THE HIGH COURT OF SOUTH AFRICA
(
NORTH
GAUTENG HIGH COURT PRETORIA)
CASE
NO
:
27836/09
DATE:
2009-06-11
In
the matter between:
FREDERIK
RUDOLPH
BOTHA N.O.
Applicant
and
SMITH
& ASSOCIATES, A P P SMITH,
N
J WOLMARANS Respondent
JUDGMENT
LEGODI,
J
:
In this matter the applicant seeks relief on an urgent basis stated
in Afrikaans as follows:
"1.
Dat daar ingevolge die bepaling van reel 6(12) van die
Eenvormige
Hofreëls
afgesien
word van die bepalings wat betref tye en betekening en dat hierdie
aansoek aangehoor word as een van dringendheid.
in
existence.
The
third respondent is sued in his capacity as an employee of the first
respondent, although it is alleged by the first and second
respondents that at all material times hereto the third respondent
acted as an executor of the estate of the deceased, the third
respondent having been appointed as such by the Master of this court
on 13 September 2007.
I
have reluctantly decided to deal with this matter on an urgent basis,
the parties having agreed that it is urgent. Having regard
to the
merits of the matter I eventually find it necessary to deal with this
matter on an urgent basis.
At
the start of the hearing, counsel for the applicant handed in a draft
order which is stated in Afrikaans as follows:
"1.
Dat die naam van die eerste respondent word gewysig na Van Zyl Smith
en Assosiate Ingelyf;
2.
Die eerste en tweede
respondente
word
gelas
om
onverwyld alle dokumentasie wat betrekking het op die boedel wyle
David Piercy Meestersverwysingsnommer 3644/09 aan die eerste
applikant te oorhandig.
3.
Die eerste en tweede
respondente
word
gelas
om
onverwyld volledige rekenskap van hulle
administraste
van
die boedel aan die eerste applikant te verskaf.
4.
Die eerste en tweede
respondente
word
gelas
om
alle gelde wat deur hulle ingevorder is op die boedel aan die eerste
applikant oor te betaal insluitend, maar nie beperk nie tot
die
bedrae van R4,1; R1,392 863.90.
R2
497,00 R34 300,00
Rente
op
die voormelde bedrae teen 14.5% per jaar vanaf 12 Mei 2009 tot datum
van betaling
Dit
word verklaar dat die derde respondent nie geregtig is op 'n
eksekuteursloon ten aansien van sy aanstelling as sodanig nie en
dat
-
5.1
Die eerste en tweede
respondente
nie
geregtig is om enige eksekuteursloon te ontvang of dit te behou nie.
5.2
Die eerste en tweede
respondente
gelas
word
om die bedrag van R170 173-50 aan die eerste applikant te betaal
tesame met rente daarop teen 14,5% per jaar vanaf 12 Mei 2009
tot
datum van betaling
6.
Die eerste en tweede
respondente
word
gelas
om
die koste van die aansoek te betaal op 'n skaal soos tussen prokureur
en
kli
ë
nt
insluitende
die koste van die twee advokate.
7.
Die regshulp wat in hierdie bevel verleen word is gesamentlik en
afsonderlik met die regshulp wat reeds teen die derde respondent
verleen is".
The
draft order is marked Annexure X.
Counsel
for the respondents indicated that paragraphs 4 and 5.1 and 5.2 of
the draft order are not acceptable to the respondents.
As regard
paragraph 5 which relates to the third respondent an order has
already been made against the third respondent under case
number
27856/2009.
The
real issue as I see it is whether the third respondent acted in his
capacity as an employee of the third respondent or as an executor
independently from the first and second respondents or to put it
differently, whether the first respondent is entitled to receiving
the amount as indicated in para. 4.1 to 4.3 and 5.2 for the services
rendered to the third respondent, the third respondent having
given
the first respondent instruction to assist in the winding up of the
deceased estate.
The
point taken by counsel on behalf of the respondents was that the
third respondent in dealing with the estate of the deceased,
never
acted as an employee of the first respondent but rather in his own
capacity as an executor of the deceased estate and that
therefore the
first respondent or second respondent cannot be held liable on the
basis of vicarious liability arising from the actions
of the third
respondent.
A
further contention was that the amounts referred to in para. 4.1,
4.2, 4.3 and 5.2 of the draft order was for services rendered
to the
third respondent in his capacity as a representative of the deceased
estate. These contentions should in my view, be seen
in the light of
two factors.
Firstly,
the averment made by the first applicant in the founding affidavit
suggesting vicarious liability and the response thereto
by the
respondents. Secondly, the nature of the relationship between the
first, second and third respondents. In para. 43.2 and 44.3
of the
founding affidavit, the following are stated:
"43.2
Die derde respondent het ten
alie
tye
opgetree in sy diensbestek as werknemer van die eerste respondent in
die uitvoering van sy pligte as sulks
43.3
Die eerste en tweede
respondente
is
aanspreeklik
vir
die
dade
van
die derde respondent as leerklerk."
An
answer to para. 43.2 and 43.3 was stated as follows: "
AD
PARAGRAPHS 43.2 TO 43.5 THEREOF
5.1.
It is not denied that the third respondent was during the relevant
stage in the employ of the first respondent;
5.2
The first respondent, however, left the employ of the first
respondent during the beginning of 2009"
I
take it, it was meant to be the third respondent left the employ of
the first respondent.
5.3
I reiterate that if the third respondent make himself guilty of any
irregular or unlawful behaviour neither the first respondent
nor
myself were aware thereof
Remember,
in para. 43.2 of the founding affidavit, the allegation is that at
all material times the third respondent acted within
the cause and
scope of his employment as an employee of the first respondent and in
the execution of his obligation as such.
To
say "it is not denied that the third respondent was during
relevant stage in the employ of the first respondent" in my
view
is an acknowledgement of what is stated in 43.2 of the founding
affidavit or to put it differently, it was not a denial trial
at all
relevant times thereto, the third respondent acted within the course
and scope of his employment withe the first (?) respondents.
An
admission to this averment is an admission of being liable on the
principle of vicarious liability.
Again
to say "I reiterate that if the third respondent made himself
guilty of any irregular or unlawful behaviour neither the
first
respondent nor myself were aware" does not relieve the
respondents of liability arising from improper actions by the third
respondent.
As
an attorney and worse as a principal you have a duty and obligation
to be aware of what your candidate attorney is doing. For example
any
money debited against a trust account or paid out of a trust account,
is the principal's responsibility to ensure that such payment
is
properly done or fees if debited is properly earned. In any event
being unaware of what a candidate attorney is doing in an attorney's
office would amount to negligence on the part of the principal unless
such negligence is dispelled by credible evidence. This is
lacking in
the respondent's answer.
I
therefore find that by their own admissions as set out above the
respondents, that is the first and second respondents should be
held
liable for the actions of the third respondent.
Assuming
for a moment that such a concession, that is a concession relating to
the capacity in which the third respondent acted, was
not made in
response to paragraphs 43.2 and 43.3 of the founding affidavit, and
also perhaps paragraphs 43.4 to 43.5 of the founding
affidavit one
would still have to look at the nature of the relationship between
the first respondent and the third respondent. Such
relationship is
governed by the Attorneys Act and applicable rules thereto, for
example in terms of section 6(1)(a) of the Attorneys
Act any
candidate attorney shall during the whole term of service
specifically in terms the articles of clerkship, serve in the office
of his principal under his direct personal supervision or under that
of an attorney who is a partner or a manager of his principal.
I have
already earlier in this judgment referred to the obligation of an
attorney with regard to supervision of candidate attorneys.
In
terms of section 9 of the Attorneys Act, the candidate attorney shall
not have any pecuniary interest in the practice and service
of an
attorney or in the organisation or institution where he performs
community service and shall not without the prior written
consent of
the counsel of the society or the province in which he performs
service, under the articles or contract of service hold
or occupy any
office or engage in any other business other than that of a candidate
attorney.
The
suggestion by counsel on behalf of the first and second respndents
was that the third respondent was a candidate attorney in practice
and service of the first respondent on the one hand and an executor
on the other hand. If this was to be correct, it would have blatantly
constituted a contravention of the provisions of section 9. But, of
course this should also be seen in the light of the amounts which
were debited or received by the first respondent in or out of the
trust account allegedly as being payments on behalf of the estate
or
as services rendered by the respondents to the estate. You render a
service to an estate as an executor. Thereafter prepare a
liquidation
and distribution account and only then would one be entitled to be
paid executor's fees. This did not happen in the instant
case or in
this case as at the time the amounts indicated in paragraphs 4.1 to
4.3 and 5.2 of the draft order was paid to the respondents.
That is,
these payments were made without a liquidation and distribution
account duly approved by the Master.
Remember,
secton 51(4) of the Administration of Estate Act, provides that an
executor shall not be entitled to receive any remuneration
before the
estate has been distributed as provided for in sections 34 (1) or
35
(12) as the case may be, unless payment of such remuneration has been
approved in writing by the Master. None of this has happened
in the
instant case and therefore irrespective of the nature of the
relationship between the first respondent and the third respondent,
the latter was not entitled to any payment.
All
of the factors mentioned above, that is, the respondents were under
obligation to supervise the third respondent in terms of section
6 of
the Attorneys Act, that the third respondent was not entitled to have
any pecuniary interest using the first and second respondents
practice as a base during the period- of his articleship as envisaged
in section 9 of the Attorneys Act and lastly the fact that
to date
the respondents did not account for the money received, makes the
respondents' version more improbable.
If
indeed one was to go by what respondents are alleging, then their
conduct in dealing with the matter should be found to have been
more
wanting in the extreme. Such conduct could constitute no valid
defence to the claim by the applicants. Having said this, I must
also
find that there was no basis for the respondents to oppose the
application. Their attempts to thwart the relief sought by the
applicants, in my view, were unreasonable. This should justify a
punitive order for cost.
ORDER
Consequently
an order is hereby made in terms of a draft order,