Afrox Limited v Laka and Others (J874/97) [1999] ZALC 14; [1999] 5 BLLR 467 (LC); (1999) 20 ILJ 1732 (LC) (9 February 1999)

70 Reportability

Brief Summary

Labour Law — Unfair dismissal — Review of arbitration award — Applicant seeking to set aside CCMA award reinstating employees dismissed for alleged assault — Court considering procedural fairness regarding legal representation at arbitration — Commissioner’s refusal of legal representation deemed improper as it did not consider statutory factors — Award set aside and matter remitted for reconsideration.

IN THE LABOUR COURT OF SOUTH AFRICA
Held in Johannesburg
Case No.J874/97
In the matter between
Applicant
and
First Respondent
Second Respondent
Third Respondent
Fourth Respondent
Fifth Respondent
THE CHAIRPERSON OF THE GOVERNING 
Sixth Respondent
JUDGEMENT
ZONDO J.
[1] In this matter the applicant applies for an order reviewing and setting  
aside an arbitration award which was issued by the first respondent, a  
CCMA commissioner, in favour of the third up to the fifth respondents  
in a dispute about the fairness or otherwise of their dismissal by the

applicant from its employ. 
[2] Before I proceed I need to deal with one procedural matter. The case  
which the applicant pursued during argument was wider than the case  
which was foreshadowed in the applicant’s founding affidavit in that  
some of the grounds on which the applicant sought to have this Court  
review and set aside the first respondent’s award did not form part of  
the case covered by the founding affidavit. However, those grounds  
were included in a later supplementary affidavit filed on behalf of the  
applicant. The second, third, fourth and fifth respondents filed their  
own supplementary affidavit in answer thereto. The second up to the  
fifth respondents complain that, as such grounds of review were not  
included in the founding affidavit but only in a later supplementary  
affidavit, the Court should not permitt the applicant to pursue that part  
of its case which is covered by such grounds.
[3] While   I   agree   with   the   second   up   to   the   fifth   respondents   that   the  
proper affidavit to contain an applicant’s case in motion proceedings is  
the founding affidavit, I am of the opinion that there are cases where  
an applicant may be allowed to pursue a case which is not covered by  
its founding affidavit provided (a) such case is covered in a subsequent  
affidavit   (b)all   other   parties   are   given   an   opportunity   to   respond  
thereto   and   (c)   either   there   is   no   prejudice   to   be   suffered   by   the  
respondents or if there is prejudice to be suffered by the respondents,  
such   prejudice   as   they   may   stand   to   suffer,   can   be   cured   by   the

opportunity to respond thereto with or  without an appropriate costs  
order. Whether or not the Court allows this is in the discretion of the  
Court. The Court is required to exercise such discretion judicially ­  
with due regard to fairness to all parties. The Court would also need to  
be furnished with a sound explanation why the case which is sought to  
be pursued was not foreshadowed in the founding affidavit. The Court  
would consider this even before it considers other factors.
[4] In this case the applicant’s reasons for not including those grounds of  
review in the founding affidavit and for only including them later in a  
supplementary affidavit are set out in the supplementary affidavit of  
the applicant. I do not propose detailing them here as they are clearly  
set   out   in   the   supplementary   affidavit.   I   am   satisfied   that   this   is   a  
proper case where the Court should allow the matter to be dealt with  
on   the   merits   without   excluding   those   grounds   of   review.   To   do  
otherwise would cause serious prejudice to the applicant whereas, by  
including them, the respondents are not prejudiced in any way as they  
have had the opportunity to file their answering affidavits thereto and  
have   actually   done   so.   I   now   turn   to   the   factual   backround   to   this  
matter.
[5] The dismissal occurred after disciplinary inquiries in which the third,  
fourth   and   fifth   respondents   were   charged   with   assaulting   one   Mr  
Phillemon Limphoko during a strike on the 18th February 1997. The  
assault is alleged to have taken place outside a cafe which is in the

vicinity   of   the   applicant’s   premises.   Mr   Limphoko   was   one   of   the  
temporary employees employed by the applicant during the strike.
[6] Following upon the disciplinary inquiries referd to earlier, the third,  
fourth   and   fifth   respondents,   ( “the   employee   respondents” )   were  
found   guilty   and   were   dismissed.   Unhappy   with   this   result,   the  
employee   respondents   referred   a   dispute   of   unfair   dismissal   to   the  
Commission   for   Conciliation,   Mediation   and   Arbitration   ( “the 
CCMA”)   for   conciliation.   When   conciliation   failed   to   produce   a  
settlement of the dispute, the dispute was referred to arbitration. The  
first   respondent   was   appointed   as   the   arbitrator.   After   hearing  
evidence and reserving his award, the first respondent issued an award  
in terms of which he found the dismissal of the third, fourth and fifth  
respondents to have been unfair and ordered the applicant to reinstate  
them with retrospective effect to the date of their dismissal. It is this  
award that the applicant is asking this Court to review and set aside.
[7] The   first   ground   on   which   the   applicant   seeks   to   have   the   first  
respondent’s award reviewed and set aside is that the first respondent  
refused it legal representation when it applied at the commencement of  
the   arbitration   proceedings   to   be   legally   represented.   It   is   common  
cause that the first respondent refused such application. What is not  
common cause is what occurred at the arbitration at the time of that  
application.   Also   certain   statements   which   are   attributed   by   the  
applicant to the first respondent at the time are in dispute.

[8] Part C of Chapter III of the Labour Relations Act, 1995 (Act 66 of  
1995)   ( “the   Act” )deals   with   the   resolution   of   disputes   under   the  
auspices   of   the   CCMA   from   sec   133   to   sec   150   of   the   Act.   Both  
sections 138(4) as well as sec 140(1) fall within Part C and they both  
say something about representation before the CCMA. The heading to  
sec 138 is:   “General provisions for arbitration proceedings”.   The  
heading  to sec  140 is  :   “Special  provisions for arbitration about  
dismissals for reasons related to conduct or capacity”. 
[9] Sec 138(4) reads thus :  “In any arbitration proceedings, a party to  
the  dispute may appear in person or be represented only by a  legal  
practitioner,   a   co ­employee   or   by   a   member,   office­ bearer  or  
official of that party's  trade union  or  employers'  organization and,  
if the party is a juristic person, by a director or an  employee”.
[10] sec 140(1) reads :  
“(1)  If the   dispute  being arbitrated is about the fairness of a  dismissal 
and a party has alleged that the reason for the  dismissal relates to  
the  employee's conduct or capacity, the parties, despite section 138  
(4), are not entitled to be represented by a  legal practitioner  in the  
arbitration proceedings unless ­

(a) the commissioner and all the other parties consent;  
or
(b) the   commissioner   concludes   that   it   is   unreasonable   to  
expect a  party   to   deal   with   the   dispute  without  
legal representation, after considering ­
(i) the nature of the questions of law raised by the  dispute;
(ii) the complexity of the  dispute;
(iii)the public interest; and
(iv) the comparative ability of the opposing parties or their 
representatives to deal with the arbitration of the  dispute”.
[11] From   a   reading   of   sec   138(4)   and   sec   140(1),   it   seems   that   in  
arbitration   proceedings   before   the   CCMA   other   than   in   those  
arbitration proceedings which relate to disputes about dismissals for  
conduct   or   capacity,   the   norm   is   that   there   is   a   right   to   legal  
representation. However, in those arbitration proceedings relating to  
disputes about dismissal for conduct or capacity there is, as a general  
rule, no right to legal representation. In the latter case the right to legal  
representation exists only in two situations. The one situation is where  
not only all parties to the dispute consent to legal representation but

also the commissioner  consents. That is the sec 140(1)(a) situation.  
The other situation is where,   after considering the factors set out in sec  
140(1)(b)(i) to (iv), the commissioner concludes that it is unreasonable  
to expect a party to deal with the dispute without legal representation.  
That is the sec 140(1)(b) situation.
[12] In a case where the consent of all parties has not been given to one or  
more of their number to be represented by a legal practitioner in an  
arbitration   of   a   dispute   of   a   dismissal   on   grounds   of   conduct   or  
capacity, for a party to acquire the right to be represented by a legal  
practitioner,   it   is   essential   that   the   commissioner   must   have   first  
concluded that it would be unreasonable to expect the party to deal  
with the dispute without legal representation. If he/she does not come  
to   this   conclusion,   no   right   to   legal   representation   is   acquired.   If,  
however, the commissioner reaches such conclusion,  the right to legal  
representation  is  acquired. Once  the  commissioner   has  reached  that  
conclusion, he or she has no discretion ­ the party concerned becomes  
entitled   to   be   represented   by   a   legal   practitioner   in   the   arbitration  
proceedings.   It   is   not   a   matter   of   discretion   on   the   part   of   the  
commissioner at that stage.
[13] In my view the effect of sec 140(1) is therefore that, in a case to which  
sec   140(1)(b)   applies,   the   central   question   is   whether   or   not   the  
commissioner   is   able   to   conclude   that   it   would   be   unreasonable   to  
expect the party seeking to be represented by a legal practitioner to  
deal  with the  dispute  without legal representation.  Accordingly, the

party   applying   for   legal   representation   should   seek   to   persuade   the  
commissioner   to  conclude  in  its  favour   that  to  so  expect   would  be  
unreasonable   whereas   the   party,   if   any,   opposing   that   the   first  
mentioned party be legally represented should direct its arguments and  
evidence to showing that it would not be unreasonable to let the party  
concerned   deal   with   the   dispute   without   legal   representation.   In  
directing their focus to this issue, the parties must address the issues  
enumerated in sec 140(1)(b)(i)­(iv).
[14] In my view sec 140(1)(b) does not, therefore, envisage a situation where  
the   issue   whether   it   would   be   unreasonable   to   expect   the   party  
concerned   to   conduct   the   dispute   without   legal   representation   is  
simply   a   factor   to   be   taken   into   account   together   with   the   matters  
enumerated in sec 140(1)(b)(i)­(iv). Rather that is the central question  
which the consideration of the matters stipulated in sec 140(1)(b)(i) to  
(iv) is directed at answering. The answer to that question is the one  
that   determines   whether   the   party   seeking   legal   representation   then  
becomes entitled to it or not. This reasoning is based on the specific  
wording   of   sec   140(1),   especially   the   use   of   the   negative   therein  
coupled with the use of the word  “unless”. When it is said a person is  
not entitled to X unless a certain event occurs, it necessarily means  
that, when that event occurs, he will be entitled to X. It does not mean  
that at that stage he may or may not be entitled to X. It is like an  
ultimatum to strikers which says to them : unless you return to work  
by X time, you will be dismissed. Such an ultimatum means that, if

workers return to work by X (and thereby comply with the ultimatum),  
they will not be dismissed. It does not mean that even if they comply  
with   the   ultimatum,   they   may   or   may   not   be   dismissed.   (See  
Administrator, OFS & Others v Makoponele & Others 1990 (3)  
780 (A)) . With the above in mind, I turn to consider the applicant’s  
complaint   about   the   first   respondent’s   decision   refusing   it   legal  
representation.
[15] The applicant’s allegations relating to its complaint about its denial of  
legal representation are to be found in paragraphs 6.2 up to 6.7 of its  
supplementary   affidavit.   Its   complaint   is   that,   in   refusing   it   legal  
representation,   the   first   respondent   did   so   without   considering   the  
factors   set   out   in   sec   140(b)(i)­(iv),   that,   without   considering   the  
application   for   legal   representation,   the   first   respondent   said   legal  
representation was automatically precluded, that, having looked at sec  
140   after   being   given   a   copy   of   the   Act   by   the   applicant’s  
representative, the first respondent immediately said he was refusing  
legal   representation   and   that   he   refused   the   application   for   legal  
representation   without   inquiring   whether   the   representative   of   the  
employees had an objection to such application.
 [16] There   is   a   factual   dispute   on   the   papers   about   the   allegations   the  
applicant relies upon in this regard. The employee respondents deny  
that   the   first   respondent   ever   said   legal   representation   was  
automatically precluded. They also deny the allegation that a copy of

the Act was shown to the first respondent by a representative of the  
applicant.   They   also   deny   that   the   first   respondent   ever   said,   after  
looking at sec 140 from a copy of the Act provided to him by the  
applicant’s  representative,  that he was  refusing  legal representation.  
The respondents say that the first respondent called for argument on  
the   applicant’s   request   for   legal   representation   and   that   the  
representative of the second up to the fifth respondents did object to  
the application and argued that, as he, (i.e. the representative of the  
employees),   was   not   legally   qualified,   the   applicant   should   not   be  
granted legal representation. No request was made for the matter to be  
referred to oral evidence to resolve these or any other disputes of fact.
[17] The applicant has submitted that these disputes of fact on this issue  
must be resolved in its favour in the absence of an affidavit by the first  
respondent and in the light of the first respondent’s failure to furnish  
reasons for his decision refusing the applicant’s application for legal  
representation. As to what the applicant alleges the first respondent to  
have   said   in   regard   to   its   application   for   legal   representation,   one  
would   have   thought   that   the   first   respondent   would   have   filed   an  
affidavit to deal with the applicant’s allegations in this regard because  
they are of a serious nature. He has not done so. However, the fact that  
he has not filed an affidavit does not on its own entitle the applicant to  
have its version accepted. I say this because the second up to the fifth  
respondents were present at the arbitration at the time and they deny  
that the first respondent made the statements attributed to him by the

applicant.
[18] The one allegation by the applicant which I initially thought must be  
accepted   in   the   absence   of   an   affidavit   by  the   first   respondent   and  
despite a denial thereof by the second up to the fifth respondents is the  
allegation that the first respondent did not consider the application or  
that he did not consider the matters set out in sec 140(1)(b)(i)­(iv). I  
thought whether or not the first respondent considered the application  
or the matters set out in sec 140(1)(b)(i)­(iv) could only be within the  
knowledge of the first respondent.  I thought any other person, e.g. the  
second   up   to   the   fifth   respondents,   could   only   infer   that   the   first  
respondent had done so if he had given reasons therefor. As he had  
neither said so nor given reasons for his decision, I thought a denial by  
the second and further respondents of the allegation by the applicant  
that the first respondent had made the decision   without considering  
the application or without considering the matters set out in sec 140(1)
(b)(i)­(iv)   did   not   and   could   not   raise   a   genuine   dispute   of   fact.   I  
thought such a denial could only be based on speculation. I thought, if  
that   allegation   stood   uncontroverted,   then   the   first   respondent   had  
committed   a   gross   irregularity   in   refusing   such   application   without  
considering it or without considering the matters set out in sec 140(1)
(b)(i)­(iv). 
[19] However, I later changed my mind on this when, going through the  
affidavits again, I came across what the applicant says in paragraph

11.2 of its supplementary affidavit. There the applicant in effect says,  
although initially the first respondent refused legal representation on  
the   basis   that   legal   representation   was   automatically   precluded,   the  
first   respondent   had   subsequently   accepted   an   invitation   by   the  
applicant’s representative to peruse the relevant provisions of the Act.  
Then the deponent to the applicant’s supplementary affidavit says the  
first   respondent   “did   then   consider   the   factors   listed   in   section  
140(1)   ...”   The   effect   of   this   is   that   the   Court’s   decision   on   this  
complaint   must   be   taken   on   the   basis   that   the   first   respondent  
considered   the   matters   set   out   in   sec   140(1)   and   came   to   the  
conclusion that legal representation should be refused. Therefore, on  
the   applicant’s   own   version,   the   first   respondent   did   consider   the  
application and the matters set out in sec 140(1)(b) of the Act. In the  
light   of   this,   the   only   question   would   be   whether   or   not   the   first  
respondent’s decision on the merits of the application is reviewable.
[20] I   have   already   found   above   that   a   party   who   applies   for   legal  
representation   in   terms   of   sec   140(1)(b)   of   the   Act   must   seek   to  
pursuade the commissioner to conclude that it would be unreasonable  
for the commissioner to expect such a party to deal with the dispute  
without legal representation. Such a party must seek to do this with  
reference   to   the   matters   set   out   in   sec   140(1)(b)(i)­(iv).   There   is  
nothing before me which suggests that the applicant had made out a  
case to that effect before the first respondent. The second up to the  
fifth respondents have said that it was argued on their behalf that, as

their representative was not a legal practitioner, the first respondent  
should not permit legal representation for the applicant.
[21] As to the matters set out in sec 140(1)(b)(i) to (iv) of the Act, the  
following emerges from the papers :
(a)There is nothing in the papers to suggest that the applicant ever told  
the first respondent what questions of law arose in the dispute;
(b)There is nothing before me to suggest that the first respondent was  
ever told on what basis it could be said that this dispute was complex;  
in fact this was a very simple dispute ­ largely dependent on facts ­  
whether the third up to the fifth respondents were the people who had  
assaulted Mr Limphoko.
(c)It was never argued before the first respondent nor was it argued  
before me that there was any public interest in this matter; in fact there  
is no public interest in this matter at all.
(d)It  was   not  argued   before   the   first   respondent,   nor   was   it   argued  
before me, that the comparative abilities of the opposing parties or  
their   representatives   were   such   that,   comparatively   speaking,   the  
representative of the employees at the arbitration was stronger than the  
two   representatives   of   the   applicant   and   that   the   denial   of   legal  
representation   to   the   applicant   would   place   the   applicant   in   a

disadvantageous position vis­a­vis the representative of the employee  
respondents. In all fairness no such argument could be presented as the  
applicant’s representatives were an industrial relations manager and an  
industrial   relations   adviser.   The   employee   respondents   were  
represented by a union official.
[22] Bearing   the   above   in   mind,   it   seems   quite   clear   to   me   that,   even  
though   the   first   respondent   did   not   give   reasons   for   his   ruling,   the  
application   could   simply   not   succeed   in   the   light   of   the   glaring  
weaknesses in the applicant’s case for legal representation as outlined  
above. Even if I were to rule that the first respondent had committed a  
gross irregularity in refusing the application without considering the  
matters set out in sec 140(1)(b), I would have refused the application  
on considering it on the merits. I am saying this because the applicant  
requested that I should consider its request for legal representation and  
decide it myself  if I set aside the first respondent’s decision not to  
allow legal representation
[23] The question that still remains then in relation to the first respondent’s  
ruling on legal representation is what I must make of the fact that the  
first respondent has not furnished reasons for his ruling despite the fact  
that he was obliged to give reasons for such a ruling. That he was so  
obliged can simply not be in dispute in the light of the provisions of  
sec 138(7) of the Act as well as the provisions of article 33(1) and (2)  
of   the   constitution.   Sec   33(1)   says   everyone   has   the   right   to

administrative action that is lawful, reasonable and procedurally fair.  
In terms of article 33(2) says :   “Everyone whose rights have been  
adversely   affected   by   administrative   action   has   the   right   to   be  
given   written   reasons” .   See   also   paragraph   15­21   of   the   as   yet  
unreported   judgement   of   the   Labour   Appeal   Court   in   Carephone 
(Pty) Ltd v Marcus N.O. & Others case No JA 52/98. 
[24] Does the failure of the first respondent to give reasons for his ruling on  
legal representation have the effect that on that ground alone his ruling  
must be reviewed and set aside? Neither the constitution nor the Act  
says what the consequences or effects   are of a public official’s or  
body’s failure to give reasons for his or its decision where it is obliged  
to   give   reasons.   One   approach   would   be   to   say   such   a   failure  
automatically means that the ruling must not be  allowed to stand and  
must   be   reviewed   and   set   aside.   That   approach   would   have   the  
following as its advantages  :
(a)it   would   deter   public   officials   from   not   giving   reasons   for   their  
decisions or their rulings because they would know that such failure  
would render their decisions or rulings reviewable;
(b)it would encourage the giving of reasons for decisions and rulings  
which in turn may reduce the number of rulings or decisions which get  
challenged in Court;
(c) it would promote accountability , openness and responsiveness that

the   Labour   Appeal   Court   referred   to   in   par   19   of   the   Carephone 
judgement as being the purpose of the administrative justice section of  
the Bill of Rights.
[25] The disadvantages of adopting such an approach would be that :­
(a)a decision which deserves to be allowed to stand if one has regard  
to the material that was before the commissioner when he/she made  
such a decision would be set aside merely because the commissioner  
failed   to   give   reasons   ­   even   if   he   or   she   could   have   given   good  
reasons   if   he or  she   had bothered  to give  reasons.  This  could  well  
penalise the innocent party to the dispute.
(b)  it   may   unduly   delay   finality   in   litigation   and   contribute   to   the  
already high litigation costs.
(c)it   may   encourage   formalism   and   technicality   at   the   expense   of  
substance.
(d)it would unduly encourage litigation in respect of  matters which  
could well have never been brought to court.
[26] Another approach would be to say that, ordinarily, the remedy to deal  
with a failure by a public official to give reasons for his/her decision  
or ruling is to approach a court of competent jurisdiction for an order

compelling   such   official   to   give   reasons   for   his   or   her   decision   or  
ruling and to say that, therefore, there is no reason why that remedy  
cannot be said to be capable of ensuring accountability, openness and  
responsiveness.   Such   an   approach   may   also   ensure   that   a   decision  
without reasons will not last. This approach would then say that there  
is   no   justification,   when   another   route   is   available   to   ensure   that  
reasons are given, to resort to the extreme measure of setting aside a  
decision   which may well be correct simply because the official has  
failed to give reasons for the decision or ruling.
[27] Another   approach   would   be   that   the   Court   must   never   set   aside   a  
decision simply because  no reasons have been given for it and that, at  
least, the Court should take the failure of the official to give reasons as  
one of a number of factors relevant to the question whether or not an  
adverse inference should be drawn from the official’s failure to furnish  
reasons.   Another   approach   would   be   to   say   that   the   court   has   a  
discretion as to what role an official’s failure to give reasons  for a  
ruling must play when the Court considers the question whether or not  
such a ruling must be reviewed and set aside.
[28] I prefer the approach that there should be no fixed and rigid rule of  
what role should be played by an official’s failure to give reasons for  
his ruling or decision when a court considers an application to review  
and set aside such a ruling or decision. Each case must be considered  
in the light of its own circumstances. The court should not be quick to

set aside a decision simply because no reasons have been given for it.  
There may, however, be room for the court to review and set aside  
such a decision where, apart from the fact that no reasons have been  
given for it, the court thinks that, having regard to the material that  
was before the official, it was more likely that no good reasons can be  
found for  such a ruling than that there are such reasons which can  
possibly be advanced. There may be a case where, if the court has  
regard to the material that was before the official, the court is able to  
say there exists one or more reasons which justify the view that such  
decision should be allowed to stand. In that case I cannot see why such  
a decision should be set aside; in fact there is every reason why it  
should stand despite the fact that the public official concerned did not  
give reasons for it. What weight, if any, the court gives to the public  
official’s failure to give reasons must be left to the court to be dealt  
with in the light of the particurlar case before the court and bearing in  
mind the purpose of sec 33(1) read with (2) of the Constitution.
[29] In this case the matter must be decided on the basis that, before the  
first respondent decided the issue of legal representation, his attention  
was  drawn to the matters set  out in sec  140(1)  of  the Act, that he  
invited argument and he considered those matters and then decided  
that the applicant would not be permitted to be represented by a legal  
practitioner. In the result I conclude that there is no basis for setting  
aside the first respondent’s ruling on legal representation or the award  
on their basis advanced.

[30] The second ground on which the first respondent’s award was attacked  
is   that   the   applicant’s   representatives   at   the   arbitration   hearings  
“formed the impression that the arbitrator lacked impartiality”.  It 
was   submitted   that   the   test   propounded   in   BTR   Industries   South  
Africa (Pty) Ltd & Others v MAWU & Another 1992 (3) SA 673  
(A)   at   693   I­J   and   Moch   v   Nedtravel   (Pty)   Ltd   t/a   American  
Express Travel Service 1996 (3) SA 1 (A) at 8H­I  had been satisfied  
in this case 
[31] As   stated   in   the   cases   referred   to   above,   the   test   for   bias   is   the  
existence of a reasonable suspicion of bias. The question therefore is  
whether, on the facts on which the applicant relies, it can be said that  
the applicant’s representatives at the arbitration proceedings developed  
a reasonable suspicion of bias on the part of the first respondent. The  
suspicion  of  bias or partiality must be one which might reasonably  
have   been   entertained   by   a   lay   litigant   in   the   circumstances   of   the  
applicant.   If   such   a   suspicion   could   reasonably   have   been  
apprehended,   the   test   of   disqualifying   bias   is   satisfied.   It   is   not  
necessary to show that the apprehension is that of a real likelihood that  
the first respondent would be biased or was biased.
[32] At this stage it is appropriate to have regard to the facts which the  
applicant relies upon to say the test of disqualifying bias was satisfied  
in this case. In approaching such facts the court has to bear in mind

that, in case there is a dispute of fact in relation to what occurred or  
was   said   in   the   arbitration   proceedings,   the   court   must   rely   on   the  
respondents’ version unless the respondents’ version is quite clearly  
untenable or inherently improbable.
[33] The allegations of fact on which the applicant relies in relation to this  
ground of complaint are to be found in paragraphs 11.1 up to 11.7  
(inclusive) of the applicant’s supplementary affidavit. In par 11.1 the  
applicant says the manner in which the first respondent dealt with the  
applicant’s application for legal representation as well as the manner  
in   which   he   reached   his   decision   on   its   application   for   legal  
representation   gave   the   applicant   the   impression   that   he   lacked  
impartiality. When in par 11.1 the applicant refers to the manner in  
which the first respondent dealt with its application and the manner in  
which   he   reached   his   decision,   it   can   only   be   referring   to   its  
allegations   in   paragraphs   6.2,   6.3,   6.5,   6.6,   6.7   and   6.8.   of   its  
supplementary affidavit. The second to fifth respondents’ answers to  
those allegations are to be found in their answer at paragraphs 23 to 28  
(inclusive). Essentially the allegations which could possibly be relied  
upon by the applicant to show grounds for reasonable suspicion of bias  
are   placed   in   dispute.   There   would   be   no   basis   for   saying   the  
respondents’   version   on   those   allegations   is   clearly   untenable   or  
inherently improbable so as to justify not relying on the respondents’  
version.

[34] Both   the   allegation   that   the   first   respondent   said   that   legal  
representation   was   automatically   precluded   under   the   Act   and   the  
allegation that, after considering the factors set out in sec 140(1), the  
first respondent immediately refused legal representation without even  
making   enquiries   about   the   attitude   of   the   employee   respondents’  
representative   to   such   application   have   been   denied   by   the  
respondents.   The   second   up   to   the   fifth   respondents   say   the   first  
respondent   called   for   argument   on   the   issue   and   argument   was  
presented. That is the version which the court must rely upon in regard  
to this part of the case. I have considered the applicant’s version in all  
the paragraphs it relies upon in support of its contention that there was  
a reasonable  suspicion  of  bias and, in the light of  the respondents’  
denials and version on the happenings at the arbitration, I conclude  
that the  test for disqualifying bias has not been satisfied. Accordingly  
the court cannot uphold the applicant’s contention in this regard.
[35] A further ground on which the applicant attacked the first respondent’s  
award was that the first respondent excluded certain evidence which  
the applicant wanted to lead at the arbitration. It says that such conduct  
on the part of the first respondent constituted a gross irregularity in the  
proceedings  justifying  the  setting  aside  of  the  award. The  evidence  
which the applicant says was excluded relates to a video footage as  
well as the evidence of certain witnesses. I begin with the exclusion of  
the video footage evidence. The fifth respondent  denied under cross­
examination that he had been at the gate of the applicant with other

strikers on the 17th February 1997. The 17th February was the day  
before the day of the assault on Mr Limphoko. The issue before the  
first respondent was whether it was the third to the fifth respondents  
who   had   assaulted   Mr   Limphoko   on   the   18 th  February   1997.   The  
reason why the applicant sought to lead such video footage evidence  
was that such evidence was going to show that, contrary to the fifth  
respondent’s evidence, he was present at the applicant’s gate on the  
17th February. The applicant believed that such evidence was relevant  
to the issue of the fifth respondent’s credibility because the latter had  
testified that he was not there. The first respondent refused to allow  
the applicant’s representative to lead such video footage evidence to  
contradict the fifth respondent’s answer that he was not at the gate of  
the   applicant’s   premises   on   the   17th   February   1997.   The   first  
respondent   did   not   give   his   reasons   for   this   ruling   in   his   award.  
However, a reading of the transcript on this issue makes it crystal clear  
that he regarded it as irrelevant.
[36] The applicant’s complaint in this court on this issue is that the first  
respondent’s ruling was such as to prevent the applicant’s case from  
being fairly determined. The second to the fifth respondents dispute  
this and contend that the first respondent was right in regarding such  
evidence as irrelevant.
[37] In   the   course   of   consideration   of   my   judgement   in   this   matter   and  
particularly   on   this   issue,   it   occurred   that   there   might   be   room   for

argument that whether or not the fifth respondent was present at the  
gate with other strikers on the day preceding the day of the assault  
could well be said to be a collateral issue which was only relevant to  
the credibility of the fifth respondent as a witness in which case the  
rule   that   a   witness’   answer   on   such   an   issue   when   he   is   cross­
examined is final and may not be contradicted could be applicable. I  
therefore invited argument on this from both Counsel as this had not  
been argued at the hearing of the matter.
[38] Counsel   subsequently   submitted   their   argument   by   way   of  
supplementary   heads   of   argument.   Mr   Franklin   stands   by   his  
submission   that   the   evidence   in   question   was   relevant   to   the   issue  
whether the fifth respondent was present at the applicant’s gate on the  
18th February and thereafter at the scene of the assault.
[39] Mr   Franklin’s   argument   is   that,   if   it   can   be   shown   that   the   fifth  
respondent was   “dishonestly denying his presence at the premises  
on the 17th February . . the inference could properly be drawn  
that he was lying too about his absence from the premises on 18th  
February . .”   . Mr Franklin adds that this must be seen against the  
background that Mr Limphoko had given evidence to the effect that he  
had been assaulted on the 17th February as well. I have gone back to  
the transcript of Mr Limphoko’s evidence and I do not think that he  
gave such evidence. What Mr Limphoko appears to have said is that  
some   worker   had   approached   him   on   the   17th   February   and,   after

telling him to keep the truck he was using clean, stated that he did not  
think   that   Mr   Limphoko   would   “get   far”  with   that   truck   and   that  
trucks should stay in the yard and not go out.
[40] The first question is whether or not evidence tending to show that the  
fifth   respondent   was   present   at   the   applicant’s   gate   on   the   17th  
February is relevant to the issue the first respondent was called upon  
to decide. In   R v Katz 1946 AD 71   at  78   Watermeyer CJ had the  
following to say on the word  “relevant : “The word relevant means  
that   any two facts  to  which it  is  applied  are  so  related to each  
other that according to the common course of events one, either  
taken by itself, or in connection with other facts, proves or renders  
probable the past, present or future existence or non­existence of  
the other”.  
[41] Initially I did not think that that the fifth respondent was present at the  
gate on the 17th February, assuming that he was, would, either taken  
by itself or taken in conjunction with any other facts in the case, either  
prove that the fifth respondent must also have been at the gate on the  
18th February nor did I think that it would have made it more probable  
that he was. However,   after considering the issue carefully, I have  
come   to   the   conclusion   that   it   is   relevant   to   the   issue   the   first  
respondent   was   called   upon   to   decide   in   relation   to   the   fifth  
respondent. The basis for its relevance is par 8.2 of the applicant’s  
supplementary affidavit and fifth respondent’s answer thereto. In par  
8.2 the applicant says the fifth respondent’s evidence was that he was

not at the applicant’s gate on both the 17th and 18th February and the  
reson why he was not there was that he took ill   “on the 17 and 18  
February”.  The respondents admit this paragraph in their answer to  
par 8.2. This means that the reason for the fifth respondent’s absence  
for both the 17th and 18th is one and the same reason, namely, that he  
was sick on those two days. If, therefore, the applicant’s video footage  
evidence were to show that the fifth respondent was at the gate on the  
17th February, that evidence would go to the very heart of the fifth  
respondent’s   defence.   Let   us   assume   that   in   the   video   the   fifth  
respondent is shown singing at the top of his voice and engaged very  
actively in toi­toying. It seems to me that, in those circumstances, it  
would be difficult to accept his evidence that he was ill on the 17th  
and, therefore, on the 18th as well; in fact not much would be left of  
his defence. I therefore conclude that the video footage evidence the  
applicant wanted to lead was relevant in so far as the fifth respondent  
was   concerned.   Accordingly   the   first   respondent’s   decision   in   not  
allowing it constituted a gross irregularity in regard to the case against  
the fifth respondent or precluded the applicant’s case from being fully  
and fairly determined.  
[42] The other exclusion of evidence which the applicant complains about  
is that the fourth  respondent was not allowed by the first respondent  
to   call   five   witnesses   whom   he   wanted   to   call   to   corroborate   his  
version that he was at home on the day of the alleged assault. The  
applicant’s complaint  is that by  reason of the fourth respondent not

being   allowed   to   call   these   witnesses,   it   (i.e.   the   applicant)was  
prevented from cross­examining them and, therefore, it was prevented  
from having its case fully and fairly determined. This complaint has  
no merit. If anybody has a right to complain about being prevented  
from having his case fully and fairly determined, that would have been  
the fourth respondent. Not the applicant. In fact the applicant should  
be happy that such witnesses were not called because, for all we know,  
there is no basis for saying if they had been called, they would not  
have said what the fourth respondent hoped they would say. At any  
rate  the applicant  was  free at  any stage   to seek  particulars  of   such  
witnesses and call them as its witnesses if it thought their evidence  
would   assist   its   case.   It   did   not   take   any   steps   to   secure   them.  
Accordingly I am of the view that in so far as the first respondent’s  
not allowing the fourth respondent to call such witnesses may have  
been   an   irregularity,   it   is   not   an   irregularity   that     prejudiced   the  
applicant. A party which relies on an irregularity to seek a review must  
show that such irregularity was prejudicial to itself. A Court cannot  
interfere   in   proceedings   of   a   tribunal   such   as   the   CCMA   on   the  
grounds of an irregularity which is only of academic interest.
[43] The   other   complaint   by   the   applicant   is   that   the   first   respondent  
refused to admit   minutes of the disciplinary and the appeal hearing  
with   which   the   applicant   sought   to   demonstrate   that   there   was  
inconsistency between the evidence given in the disciplinary inquiry  
by   the   third   respondent   and   the   evidence   he   was   giving   at   the

arbitration.   The   first   respondent   stated   that   it   was   not   necessary   to  
listen to the tapes relating to the disciplinary inquiryand the appeal.  
The applicant wanted to demonstrate inconsistency in the version of  
the third respondent given at the disciplinary inquiry and the version  
given at the arbitration. The first respondent said the minutes or tapes  
were   not   material.   In   this   regard   I   am   of   the   opinion   that   the   first  
respondent   commited   a   gross   irregularity   or   made   a   ruling   which  
precluded the applicant’s case from being fairly determined. This was  
a case where the issue of credibility was going to play an important  
role and, if the applicant sought to introduce evidence that was going  
to   show   that   the   respondents   were   giving   versions   which   were  
different from those they had given at the disciplinary inquiry, such  
evidence  should have  been admitted ­  provided, of  course, that the  
applicant   went   about   introducing   it   in   a   manner   acceptable   in   law  
unless   the   first   respondent   relaxed   procedural   requirements   for   its  
admission in the exercise of his powers under sec 138(1) of the Act.
[44] I   think   the   case   about   whether   or   not   the   third,   fourth   and   fifth  
respondents assaulted Mr Limphoko is, in the light of their defences as  
well   as   their   evidence,   of   such   a   nature   that   fairness   dictates   that,  
bearing in mind the nature of the gross irregularities committed, the  
entire   proceedings   should   be   set   aside   rather   than   that   the   award  
should be set aside in so far as it may relate to one or other of the  
employee respondents. In those circumstances the order I make is the  
following :­

(1)The arbitration award issued by the first respondent in the dismissal  
dispute   between   the   applicant   and   the   second   upto   the   fifth  
respondents is hereby reviewed and set aside.
(2)The dismissal dispute referred to in (1) above is hereby remitted to  
the CCMA  to be arbitrated by a Commissioner  other  than the first  
respondent.
(3)The second, third, Fourth and fifth respondents are ordered to pay  
the applicant’s costs jointly and severally, the one paying the other to  
be absolved.
R. M. M. ZONDO
Judge of the Labour Court of South Africa 
Date of Argument : 30 September 1998
Date of Judgement : 09  February 1999
: Mr A. Franklin
: Webber Wentzel Bowens
For the Second to Fifth Respondents : Mrs E. Menell
: Mlambo & Modise Attorneys