Food & Allied Workers' Union and Others v Pets Products (Pty) Limited (C283/99) [2000] ZALC 25; 2000 (9) BCLR 1036 (LC); [2000] 7 BLLR 781 (LC); (2000) 21 ILJ 1100 (LC) (31 March 2000)

45 Reportability

Brief Summary

Labour Law — Discrimination — Payment of vouchers to non-striking employees during a protected strike — Applicants contending that payment contravenes sections 5(1) and 5(3) of the Labour Relations Act — Court finding that the payment was not discriminatory as it was a reward for hard work and not an incentive against striking — No contravention of the Act established.

IN THE LABOUR COURT OF SOUTH AFRICA
HELD AT CAPE TOWN
CASE NO: C283/99
In the matter between:
First Applicant
COLIN ABRAHAMS & OTHERS Second and Further Applicants
and
Respondent
Date of hearing: Thursday, 30 March 2000
Date of judgment: Friday 31 March 2000
Representation: For the Applicants, Mr A Steenkamp of Cheadle Thompson & Haysom
For the Respondent, Ms J Myburgh of Jan S De Villiers & Son
___________________________________________________________________ 
JUDGMENT
___________________________________________________________________
ARENDSE AJ:
1.This   dispute   was   referred   to   this   Court   in   terms   of   section   9(4)   of   the  
Labour   Relations   Act,   66   of   1995,   as   amended   (“the   Act”),   the   CCMA  
having   attempted   unsuccessfully   to   resolve   the   dispute   through  
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conciliation as required by section 9(3) of the Act.
2.The dispute concerns the payment by the respondent of a R200,00 Pick­‘n­Pay  
voucher to those of its employees in its operations division who did not  
participate   in   the   strike   which   took   place   from   3   December   to  
15  December   1998.     The   applicants   contend   that   such   a   payment  
contravenes section 5(1) and/or 5(3) of the Act.
Section 5(1) and (3) provide as follows:
“(1)  No person may discriminate against an employee for exercising any  
right conferred by this Act ...
(3)  No   person   may   advantage,   or   promise   to   advantage,   an   employee   or   a  
person   seeking   employment   for   that   person   not   exercising   any   right  
conferred by this Act for not participating in any proceedings in terms  
of this Act.  However, nothing in this section precludes the parties to  
a dispute from concluding an agreement to settle that dispute” .
3.Section   9(1)   of   the   Act   provides   that   if   there   is   a   dispute   about   the  
interpretation   or   application   of   any   provision   of   Chapter   II   (which  
deals with freedom of association and general protections), any party to  
the dispute may refer the dispute in writing to (in this case) the CCMA.  
4.Section 10 of the Act provides that in any proceedings in this Court ­ (a)  
any party who alleges that a right or protection conferred by Chapter II  
has   been   infringed   must   prove   the   facts   of   the   conduct;   and   (b)   the  
party who engaged in that conduct must then prove that the conduct did  
not infringe any provision of Chapter II.

5.The   parties   did   not   lead   any   oral   evidence   but   handed   up   a   statement   of  
agreed facts.  The salient facts are the following:
5.1 The   respondent   employs   approximately   200   employees,   142   of   whom   are  
employed in the respondent’s operations (production) department.
5.2 From   3   December   to   15   December   1998   (nine   working   days   in   all),  
approximately 60 employees in the operations division of the respondent,  
all members of the first applicant, participated in a protected strike.
5.3 The   strike   ended   when   the   first   applicant   and   respondent   agreed,   in  
proceedings   held   under   the   auspices   of   the   CCMA   on   15   December   1998,  
that   all   of   first   applicant’s   members   in   job   grades   1A   ­   2B   would   be  
granted a wage increase of 7.5% with effect from 1 October 1998.   The  
increase was applied by respondent also to non­members in the bargaining  
unit.
5.4 The   82   non­striking   employees   in   the   operations   division   maintained  
production   at   a   level   sufficient   to   enable   the   respondent   to   commence  
its   annual   shut   down   on   16   December   1998   with   the   customary   level   of  
product in stock.
5.5 Towards the middle of February 1999, those employees in the operations  
division   who   had   not   participated   in   the   strike,   received   a  
R200,00 Pick­‘n­Pay voucher.
5.6 The   respondent’s   reason   for   giving   the   vouchers   to   the   non­striking  
employees   was   to   reward   them   for   their   hard   work   ( “going   the   extra  
mile”) during the strike in December 1998.
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5.7 The   first   applicant   challenged   the   respondent’s   allocation   of   the  
vouchers stating that such allocation infringed the Labour Relations Act  
66 of 1995, as the vouchers served as a reward for not participating in  
the strike and/or as an incentive not to strike in future.
5.8 The respondent denied that the allocation of the vouchers was intended  
or   had   the   effect   of   discriminating   unfairly   against   strikers   or  
disregarding the right of first applicant’s members to strike.
5.9 At meetings  held between  the first  applicant and  respondent on  17 and  
18  February 1999, the parties could not reach agreement and the dispute  
was referred to the CCMA.
5.10 Conciliation was unsuccessful and a certificate reflecting the failure  
to resolve the dispute was issued on 7   May 1999.
In addition, and before commencing to hear argument, there was agreement  
in regard to the following aspects:
i)There   is   a   recognition   agreement   formalising   the   collective   bargaining  
relationship between the first applicant and the respondent.
ii)The   first   applicant   is   the   sole   collective   bargaining   agent   for   its  
members in the category 1A ­ 2B in the operations department.
iii)There were trade union members (at least one) who were not on strike in  
December 1998 and who received the Pick­‘n­Pay voucher.

iv)Production resumed on the 4 th January 1999.
v)82 of the respondent’s employees worked overtime and at weekends during the  
strike and they were paid.  The overtime work was in excess of overtime  
work for the corresponding period in the previous year. 
vi)The voucher payment to the 82 workers amounted to R16 400,00 whereas the  
wages   lost   due   to   the   strike   amounted   to   R69   000,00.     The   overtime  
payments to the 82 workers amounted to R46   000,00.
vii)The   collective   bargaining   relationship   between   the   first   applicant   and  
the respondent can be described as  “sound”.
viii)The strike was the first strike at the respondent’s plant.
ix)The   payment   of   the   vouchers   created   tension   between   management   and   the  
first applicant.   Trade union membership has grown from 60 to 80.   (I  
was   however   specifically   requested   not   to   read   anything   into   this  
increase in membership as the parties were unable to agree what caused  
the increase in membership).  
x)The   “exercising of any right”   referred to in section 5(1) of the Act is a  
reference to the exercise of the right to strike.
6.Mr   Steenkamp,   who   appeared   for   the   applicants,   contended   that   the  
respondent contravened section 5(1) and/or (3) of the Act by virtue of  
the fact  that the  respondent had  paid to  the non­strikers  the R200,00  
Pick­‘n­Pay voucher and that in this way the respondent  “discriminated” 
against the strikers (all of whom were members of the first applicant)  
5

for exercising their right to strike conferred by the Act.  In the same  
way,   he   argued,   the   respondent   had   advantaged   the   non­strikers   in  
exchange for them not exercising their right to strike conferred by the  
Act.  The mere fact that the respondent differentiated between strikers  
and non­strikers in this way, constitutes discrimination as contemplated  
by section 5(1) of the Act and is sufficient for this Court to find that  
the respondent contravened section 5(1) and (3) of the Act.  The effect  
of the payment of the R200,00 voucher, Mr Steenkamp submitted, was that  
those who did not strike were rewarded for doing so, and those who did  
strike, were penalised for doing so.  This, he contended, had the effect  
that   the   strikers   were   deterred   from   striking   in   future;     conversely  
those who did not strike, were encouraged not to go on strike in future.  
Indeed, he argued, the respondent’s conduct was the more reprehensible  
in that the strike was a successful one and the benefits of the salary  
increase   demanded   by   the   first   applicant,   was   conferred   also   upon   the  
non­strikers.     The   strike   was   therefore   self­evidently   functional   to  
collective bargaining and the fact that the respondent was now seeking  
to   influence   the   outcome   of   that   collective   bargaining   process   by  
rewarding   non­strikers,   is   an   act   of   discrimination   prohibited   by  
section 5(1) and (3) of the Act.
7.Ms Myburgh, who appeared for the respondent, argued that the payment of the  
R200,00 voucher was simply a payment to those who did not strike;   who  
had worked during the strike;  and who had  “gone the extra mile” .  This  
payment was for the   “extra hard work”   done by the non­strikers.   They  
had   ensured   the   continued   viability   of   the   operations   department   by  
keeping   production   going   and   had   ensured   that   the   respondent   could

keeping   production   going   and   had   ensured   that   the   respondent   could  
commence   its   annual   shut   down   on   16   December   1998   with   the   customary  
level   of   product   in   stock.     The   respondent   had   no   ulterior   motive   in

making   the   R200,00   payment   over   to   the   non­strikers.     There   was   no  
intention   on   the   respondent’s   part   to   secure   an   unfair   advantage   over  
the union or for that matter for it to undermine the first applicant or  
its role   as the collective bargaining agent on behalf of its members  
employed   in   the   operations   department.     She   submitted   that   the  
respondent proved that its conduct did not infringe either section 5(1)  
or   (3)   of   the   Act   in   that   the   respondent’s   reason   for   giving   the  
vouchers to the non­striking employees was to reward them for their hard  
work during  the strike  in December  1998 ­  nothing more,  nothing less.  
The   respondent,   she   submitted,   was   justified   in   rewarding   the   non­
strikers   for   their   hard   work   based   purely   on   business   and   commercial  
considerations.     She   submitted   that   there   was   nothing   unfair   or  
discriminatory about the respondent’s conduct.
8.Both Ms  Myburgh and  Mr Steenkamp  accepted that  the act  of discrimination  
contemplated by section 5(1) must involve some degree of   “unfairness”. 
They   differed   in   regard   to   what   this   “unfairness”  entailed.     Mr  
Steenkamp submitted that section 5(1) should be strictly construed, i.e.  
the   mere   fact   that   the   respondent’s   conduct   differentiated   between  
strikers and non­strikers is sufficient for the prohibition to come into  
play.     Ms   Myburgh   submitted   that   something   more   or   additional   was  
required to be shown by the applicants.   In other words, evidence must  
be adduced by the applicants to show that the employer’s conduct did not  
only   discriminate   (as   in   differentiate)   between   strikers   and   non­
strikers, but that it also was unfair, unjustified and was done for an  
ulterior purpose.
9.In   regard   to   section   5(3),   Mr   Steenkamp   argued   that   the   respondent,   by

giving the non­strikers a voucher of R200,00, gave them an   “advantage” 
7

(meaning a  “benefit, bonus or an added extra” ) and that this  “advantage” 
was   given   to   each   of   the   non­strikers   in   exchange   for   them   not  
exercising   their   right   to   strike   contained   in   section   64   of   the   Act.  
This,   he   contends,   is   supported   by   the   fact   that   the   respondent  
allocated vouchers to non­strikers and not to employees who participated  
in the strike, including the individual applicants.
Ms Myburgh, by contrast, argued that it is not the advantaging of other  
employees   per se   which is proscribed, but the advantaging   “in exchange  
for” those employees not striking.  What is required therefore, is legal  
causation.  She submitted that whilst the applicants may be able to show  
factual   causation,   legal   causation   is   absent   where   (as   in   this   case),  
the   agreed   proximate   cause   was   the   beneficiaries’   hard   work.     Put  
another way, the   quid pro quo   (or   “advantage”) was the payment by the  
respondent of a voucher of R200,00 in return for hard work performed by  
the  non­strikers.     She   submitted  further   that  the   words   “advantage  or  
promise   to   advantage”   clearly   imply   that   there   should   be   a   lasting  
advantage or favour.   In this instance, the only   “advantage”  was of an  
ephemeral nature.
10.In applying  the Act,  this Court  is enjoined  to interpret  its provisions  
(a) to give effect to its primary objects; (b) in compliance with the  
Constitution;   and   (c)   in   compliance   with   the   public   international   law  
obligations   of   the   Republic   (section   3(a)(b)   and   (c)   of   the   Act).  
Section   1   provides   that   the   purpose   of   the   Act   is,   inter   alia ,   to  
advance   economic   development,   social   justice,   labour   peace   and   the  
democratisation   of   the   workplace   by   fulfilling   the   primary   objects   of

democratisation   of   the   workplace   by   fulfilling   the   primary   objects   of  
the   Act   which   are,   inter   alia ,   to   provide   a   framework   within   which  
employees and their trade unions, employers and employers’ organisations

can   collectively   bargain   to   determine   wages,   terms   and   conditions   of  
employment   and   other   matters   of   mutual   interest,   and   also   to   promote  
orderly   collective   bargaining   and   the   effective   resolution   of   labour  
disputes (section 1 of the Act).
11.It is  well­established in  our labour  law (confirmed  in many  cases) that  
collective   bargaining   is   the   preferred   method   of   dispute   resolution  
involving   employees   and   employers.     Indeed,   the   right   to   engage   in  
collective   bargaining   is   now   entrenched   in   our   Constitution   (section  
23(5)   of   the   Constitution).     The   Act   regulates   collective   bargaining.  
Our Constitution also entrenches the right to strike (section 23(2)(c)  
of the Constitution).  In this regard too, it is well­established in our  
law   (and   it   is   also   internationally­accepted   and   recognised   by   ILO  
conventions and recommendations) that the right to strike is a necessary  
(and   important)   corollary   of   collective   bargaining.     In   fact,   that  
proposition or principle is no better illustrated than by the facts of  
this case.  
The first  applicant and  the respondent  were locked  in a  wage dispute.  
They   deadlocked   and   the   first   applicant   called   upon   their   members  
employed in the operations department to go out on strike (which was in  
compliance with the Act).  The first applicant’s members heeded the call  
to   strike   (except   for   at   least   one   of   its   members   employed   in   the  
operations department) and the strike lasted for nine days resulting in  
the respondent agreeing to grant a wage increase to all those employed  
in   job   grades   1A   ­   2B   who   work   in   the   operations   division   of   the  
respondent.   Albeit that the wage agreement was apparently brokered by  
the   CCMA,   it   seems   that   the   strike   served   its   purpose,   i.e.   as   a

the   CCMA,   it   seems   that   the   strike   served   its   purpose,   i.e.   as   a  
corollary   to   collective   bargaining   which   had   failed   to   produce   an  
9

agreement in  the first  place.    Indeed, the  wage increase  was extended  
also to those employees who are not members of the first applicant, the  
so­called “ free­riders”.
12.In interpreting and applying section 5(1) and (3) of the Act, it is trite  
that   one   must   have   regard   to   the   context   in   which   it   is   alleged   the  
violations   occurred.     It   is   not   in   dispute   that   the   act   of  
discrimination   took   place   in   the   context   of   a   protected   strike.  
Similarly,  the advantage allegedly given by the respondent was done in  
the   context   of   a   protected   strike.     In   other   words,   for   not   striking  
(legally), the respondent paid to the non­strikers a sum of money.  The  
sine qua non  for the payment of the R200,00 voucher was not so much the  
hard   work   performed   by   the   non­strikers,   but   the   fact   that   the   non­
strikers did not go on strike and therefore maintained production at a  
level   sufficient   to   enable   the   respondent   to   commence   its   annual   shut  
down on 16   December 1998 with the customary level of product in stock.  
This must be the case since the non­strikers were otherwise remunerated  
for overtime work and working weekends ­ in the sum of R46   000,00.  Put  
another   way,   the   non­strikers   did   nothing   extraordinary   to   warrant  
additional   or   extra   payment   other   than   that   provided   for   in   their  
service   contracts.     Indeed,   there   was   otherwise   no   other   rational   or  
objective   basis   on   which   the   additional   R200,00   was   paid   to   the   non­
strikers other than what was described by the respondent as thanking the  
non­strikers for their   “hard work, above the call of duty, during our  
industrial   unrest   in   December   last   year” .     Moreover,   in   answer   to   a  
question by  the Court,  Ms Myburgh  confirmed that  there is  no practice

question by  the Court,  Ms Myburgh  confirmed that  there is  no practice  
whereby   the   respondent   rewards   its   employees   for   hard   work   done   other  
than   by   payment   of   the   ordinary   remuneration,   including   overtime  
payments from time to time.

13.The   words   “discriminate   against”   is   described   in   the   Concise   Oxford  
Dictionary (10 th Ed) to mean  “make an unjust distinction in the treatment  
of  different   categories  of   people,  especially   on  the   grounds  of   race,  
sex or age” .  Within the constitutional context  “discrimination” denotes  
a   decision   that   “has   the   potential   to   impair   the   fundamental   human  
dignity   of   persons   as   human   beings   or   to   affect   them   adversely   in   a  
comparably serious manner” :   Harksen v Lane NO & Others   1998 (1) SA 300  
(CC) 322 (para 47) .  In that case discrimination under section 8 of the  
interim   Constitution   (the   equality   clause)   was   held   to   be   actionable  
only if it is unfair.   Brassey in his book  Employment and Labour Law Vol  
3:   Commentary   on   the   Labour   Relations   Act   (Juta)   at   page   A2:8   writes  
that   it   is   enough   that   the   discrimination   should   be   based   on   the  
exercise of rights conferred by the Act but it is must nevertheless be  
unfair.
Indeed, in argument before me, both Mr Steenkamp and Ms Myburgh agreed  
that   the   act   of   discrimination   must   be   “unfair”  to   constitute   a  
contravention of section 5(1) of the Act.   They were also   ad idem   that  
the   exercise   of   the   right   referred   to   in   section   5(1)   refers   to   the  
right to strike conferred by section 64 of the Act.
14.Brassey  writes in his book at   page A2:9   that a contravention of section  
5(1) of the Act comprises two elements: discriminatory conduct that is  
actuated by an elicit reason.  For example, he says, an employer commits  
no breach of the section by dismissing a union member; the breach exists  
only   if   the   dismissal   was   actuated   by   his   membership   of   the   union.  
Indeed, he writes, cases of mixed motive present considerable problems.  
11

He   refers   for   example   to   the   victimisation   provisions   of   the   previous  
Acts   where   the   courts   sought   the   effective   cause   of   the   act   and   thus  
gave effect to the dominant motive of the employer as was the case in  
Wilson v R  1948 (1) PH K.9 .  (This was a dismissal case where the Court  
held that the proper test is whether the belief or suspicion that the  
employee has made a complaint about wages or conditions of employment,  
in the mind of the employer was the effective cause of the dismissal.  
Brassey  then suggests that   “it seems likely that the approach to this  
provision [section 5(1)] will be the same” .  
Regrettably, I disagree with the learned author.    Firstly, the  Wilson v  
R  case   ( supra)   was   a   dismissal   case   which   concerned   the   test   to   be  
applied in deciding whether an employer has contravened section 66(1)(a)  
of the Industrial Conciliation Act No.36/1947 and whether the belief or  
suspicion   in   the   mind   of   the   employer   was   the   effective   cause   of   the  
dismissal of the employee.   Section 66 under that Act and subsequently  
(and more recently) under the Labour Relations Act of 1956 was a penal  
provision which required a restrictive interpretation.  By contrast, the  
express   purpose   of   the   (current)   Act   is   to   decriminalise   conduct   in  
contravention of the Act.    Secondly, the omnibus unfair labour practice  
remedy   of   the   previous   Act   is   no   more.     That   universal   regulator   of  
collective   relations,   from   recognition   to   the   nuances   of   good   faith  
bargaining, has been replaced under the (new) Act by a set of provisions  
both   more   explicit   and   economical.     They   begin   with   organisational  
rights,   move   through   collective   agreements,   bargaining   councils   and  
workplace   forums,   and   end   with   new   rules   on   the   exercise   of   economic

workplace   forums,   and   end   with   new   rules   on   the   exercise   of   economic  
power,   including   provision   for   protection   for   legal   strikes.  
Importantly, the  Act does  not impose  a duty  to bargain  upon employers

but   does   put   in   place   (very   firmly)   the   support   structures   for   union  
recognition by providing a set of organisational rights for qualifying  
organisations.  Moreover, the Act in section 64, provides for the right  
to strike.  In essence, the Act now codifies the fundamental philosophy  
of the old Act that collective bargaining is the means preferred by the  
legislature   for   the   maintenance   of   good   labour   relations   and   for   the  
resolution of labour disputes and moreover that the strike weapon is an  
essential   and   integral   element   of   collective   bargaining.     (See   NUM   v  
Ergo (1991) 12 ILJ 1221 (A) at 1236J­1237F ). 
Thirdly,   and   very   importantly,   it   is   now   self   evident   that   the  
provisions of the Act should be read in a constitutional context.   Its  
provisions   in   this   regard   are   clear   ( cf   sections   1(a)   and   3(b) ;   See  
Johnson & Johnson (Pty) Ltd v Chemical Workers Industrial Union   (1999)  
20 ILJ 89 (LAC) at para 22 ).  Thus, in applying the Act, this Court must  
interpret its provisions not only to give effect to its primary objects,  
in compliance  with the  Constitution, but  also it  must comply  with the  
public international law obligations of the Republic (section 3(a), (b)  
and (c) of the Act).  One of the primary objects of the Act is to give  
effect to the obligations incurred by the Republic as a member state of  
the   international   labour   organisation   (section   1(b))   of   the   Act).     In  
this   regard   also,   one   must   point   out   that   whereas   under   the   unfair  
labour practice regime, the courts had to interpret and give effect to  
the intention of the law­giver by (often) convoluted and complex routes,  
by, for example, reference to ILO conventions and recommendations, the  
situation   currently   is   that   the   Act   expressly   incorporates   such  
instruments   by   reference.     It   can   now   be   taken   for   granted   that   the

instruments   by   reference.     It   can   now   be   taken   for   granted   that   the  
conduct   of   employers   and   their   organisations   and   employees   and   their  
13

trade unions, will be judged according to the Constitution and according  
to ILO standards.  
15.I   revert   to   an   analysis   of   section   5(1)   of   the   Act.     In   determining  
whether   differentiation   amounts   to   unfair   discrimination   under   section  
8(2)   of   the   interim   Constitution,   the   Constitutional   Court   held   that  
this   requires   a   two   stage   analysis.   Section   8(2)   of   the   interim  
Constitution provided as follows:
“No   person   shall   be   unfairly   discriminated   against,   directly   or  
indirectly,   and,   without   derogating   from   the   generality   of   this  
provision, on one or more of the following grounds in particular: race,  
gender, sex, ethnic or social origin, colour, sexual orientation, age,  
disability, religion, conscience, belief, culture or language ...” .
(The equality clause in the current Constitution is now found in section  
9 thereof).  In  Harksen v Lane NO & Others  1998 (1) SA 300 (CC) at para  
46, the Constitutional Court stated that the first enquiry was whether  
the   differentiation   amounts   to   “discrimination”  and,   if   it   does,  
whether, secondly, it amounts to  “unfair discrimination” .  At  para 48  of  
that case, the Constitutional Court said that the question whether there  
has been differentiation on a specified ground (such as race or gender)  
or an unspecified ground, must be answered objectively.   If the answer  
is   in   the   affirmative,   then   it   is   necessary   to   proceed   to   the   second  
stage   of   the   analysis   to   determine   whether   the   discrimination   is  
“unfair”.     In   the   case   of   discrimination   on   a   specified   ground,   the  
unfairness of the discrimination is presumed, but the contrary may still

be established.  In the case of discrimination on an unspecified ground,  
the unfairness must still be established before it can be found that a  
breach of the equality clause has occurred.   At   para 50   of the   Harksen 
case   ( supra),   the   Constitutional   Court   said   that   what   the   specified  
grounds (such as race or gender) have in common is that they have been  
used (or misused) in the past (both in South Africa and elsewhere) to  
categorise, marginalise and often oppress persons who have had, or who  
have been associated with, these attributes or characteristics.   These  
grounds have the potential, when manipulated, to demean persons in their  
inherent   humanity   and   dignity.     There   is   often   a   complex   relationship  
between   these   grounds.     In   some   cases   they   relate   to   immutable  
biological attributes or characteristics, in some to the associational  
life   of   humans,   in   some   to   the   intellectual,   expressive   and   religious  
dimensions of humanity and in some cases to a combination of one or more  
of   these   features.     The   temptation   to   force   them   into   neatly   self­
contained categories should be resisted.  The Court went on to
say that section 8(2) of the interim Constitution (now section 9(3) and  
(4)   of   the   Constitution)   seeks   to   prevent   the   unequal   treatment   of  
people based on such criteria which may, amongst other things, result in  
the construction of patterns of disadvantage such as has occurred only  
too visibly in our history.  I mention this because it is important when  
having regard to the history of the development of labour law in this  
country.     Our   labour   law   is   relatively   young.     For   many   decades   the  
labour laws blatantly discriminated on the grounds of race.  Recognition  
of (black) trade unions was a battle only recently won.  In the process,  
this   battle   or   struggle   took   its   toll;   the   lives   of   many   workers   and

this   battle   or   struggle   took   its   toll;   the   lives   of   many   workers   and  
trade union officials were lost.  The courts resisted progress for many  
decades.   Even after the 1956 Act was amended, the courts found reason  
to deny black workers and their unions rights we now take for granted.  
15

The rights found in our Constitution and in the Act are hard­earned and  
well­deserved. The right to organise, the right to engage in collective  
bargaining, and the right to strike are priceless.
My   observations   are   well­documented   elsewhere   and   I   need   cite   no  
authority for it.
16.This   Court   has   no   hesitation   in   embracing,   and   concurring   with,   the  
remarks made by  Justice Goldstone  in the  Harksen case ( supra).  Equally,  
his remarks at  para 51  where he states that dignity is referred to as an  
underlying consideration in the determination of unfairness:
“The prohibition of unfair discrimination in the Constitution provides a  
bulwark   against   invasions   which   impair   human   dignity   or   which   affect  
people adversely in a comparably serious manner ...
...In the final analysis, it is the impact of the discrimination on the  
complainant that is the determining factor regarding the unfairness of  
the discrimination...” .
17.In   order   to   determine   whether   the   discriminatory   factor   has   impacted   on  
complainants unfairly, various factors must be considered said   Justice 
Goldstone.     These   would   include   firstly,  the   position   of   the  
complainants in society and whether they have suffered in the past from  
patterns   of   disadvantage,   and   whether   the   discrimination   in   the   case  
under consideration is on a specified ground (such as race or gender) or  
not;   secondly,  the   nature   of   the   provision   or   power   and   the   purpose  
sought to be achieved by it;  and thirdly , with due regard to (a) and (b)  
above,   any   other   relevant   factors,   the   extent   to   which   the  
discrimination has affected the rights or interests of complainants and

whether it has led to an impairment of their fundamental human dignity  
or constitutes an impairment of a comparably serious nature   ( Harksen, 
supra  at para 52 ).  If the discrimination is held to be unfair then the  
equality provision would be violated and then one will proceed upon the  
final leg of the enquiry as to whether the provision can be justified  
under the limitations clause  (section 36).
18.In my view, there is much to be said in attempting to analyse section 5(1)  
and (3) of the Act along the same lines as that followed in the  Harksen 
case,  supra, and in  Prinsloo v Van der Linde & Another  1997 (3) SA 1012  
(CC) at para 20 . 
19.One is however assisted somewhat by the provisions of section 10 of the  
Act   which   provides   in   sub­section   (a)   that   in   proceedings   before   this  
Court   a   party   who   alleges   that   a   right   or   protection   conferred   by  
Chapter II has been infringed must prove the facts of the conduct; and  
(b), the party engaged in that conduct must then prove that the conduct  
did   not   infringe   any   provision   of   this   Chapter.     In   this   matter,   the  
facts have been agreed and it is indeed common cause that following a  
lawful strike in December 1998, the respondent employer paid to the non­
strikers (including at least one union member) the sum of R200,00.  The  
applicants   allege   that   the   employees’   right   to   strike   conferred   by  
section 64 of the Act has been infringed thereby.  Section 10(b) of the  
Act   then   provides   that   the   party   engaged   in   that   conduct,   i.e.   the  
respondent   in   this   case,   must   then   prove   that   the   conduct   did   not  
infringe any provision of Chapter II.  
20.In my view, where a person (such as the respondent employer in this case)  
17

discriminates against employees (such as the individual applicants) for  
exercising their  right to  strike which  is conferred  by this  Act, then  
the unfairness of that discrimination is presumed although the contrary  
may   still   be   established.     In   this   regard   it   is   analogous   to  
discrimination on one of the grounds specified in the Constitution, the  
unfairness   of   which   is   presumed   until   the   contrary   is   established  
(Harksen  supra  at para 48 ).  In my view therefore it is not necessary at  
the section 10(a) stage of the proceedings in this Court, for the party  
alleging the infringement to prove, for example, that the discriminatory  
conduct was or is actuated by an illicit reason or by an ulterior motive  
on the part of the respondent employer.  This approach, with due respect  
to   Brassey, avoids the cases of so­called mixed motive which he refers  
to in his book  at page A2:9 .  This approach also, with due respect to Mr  
Steenkamp’s   argument,   avoids   me   having   to   get   into   a   debate   about  
whether section 5(1) (and (3) for that matter) should be restrictively  
applied   or   interpreted.     In   other   words,   in   my   view,   once   it   is  
established   that   there   was   discrimination   against   an   employee   for  
exercising   any   right   conferred   by   this   Act,   then   it   must   be   presumed  
that such discrimination was unfair, until the contrary is established.
21.The respondent avers that the R200,00 voucher was paid to the non­strikers  
purely for the hard work they performed during the strike and for  “going 
the extra mile” .   I am not persuaded that by doing so, the respondent  
did   not   infringe   either   section   5(1)   or   (3)   of   the   Act.     Brassey 
suggests that section 10(a) and (b) mean that it is for the applicant to  
prove the objective, or external facts on which the cause of action is  
based,   and   if   the   applicant   does   so,   then   the   respondent   must

based,   and   if   the   applicant   does   so,   then   the   respondent   must  
demonstrate that there was no such mental intent to bring the respondent

within   the   ambit   of   the   section.     This   entails   an   enquiry   into   the  
conduct   constituting   discrimination   and   the   motivation   behind   it.     On  
the first aspect the aggrieved employee would bear the onus of proof, on  
the second it would rest on the employer (see   Brassey at page A2:17 ). 
In this regard, I have already indicated that the objective or external  
facts on which the cause of action is based is indeed common cause and  
that   it   remains   for   the   respondent   to   prove   that   it   did   not   infringe  
section 5(1) or (3).
22.The reasons why I say that the respondent did not prove that its conduct  
did not infringe either section 5(1) or (3) of the Act are:
21.1 The strikers embarked on a legal and legitimate strike sanctioned by the  
Act which had as its purpose to compel the respondent to accept its wage  
demands. 
21.2 The strike had the effect that the pressure applied by the union and its  
striking   members   compelled   the   respondent   to   comply   with   its   wage  
demands.
21.3 There was a clear correlation between the strike and the failure by the  
parties to agree on a wage increase during normal collective bargaining  
negotiations.
21.4 The respondent attempted (apparently successfully) to counter the strike  
by   requesting   the   non­strikers   to   work   overtime   and   over   weekends   and  
for doing so, the non­strikers were paid overtime at time and a third,  
time and a half or double time, whichever was applicable.  This cost the  
19

respondent R46   000,00.  Compare this with the R69   000,00 which was lost  
by the strikers in the form of wages.
21.5 There   is   neither   a   term   or   condition   of   employment   prevailing   at   the  
respondent   company   nor   is   there   a   practice   that   employees   are  
remunerated for work done (or well done for that matter) over and above  
the normal contractual entitlements.   In the context of this case, the  
respondent   deviated   from   its   normal   practice   by   paying   the   additional  
R200,00 to  the non­strikers.   The  payment of  the R200,00  voucher will  
create some doubt (at the very least) in the minds of both strikers and  
non­strikers in  regard to  their future  participation in  a strike.   So  
much, Ms   Myburgh was constrained to concede during her argument.   Some  
strikers may say that to strike is pointless because the benefit of it  
is conferred also upon non­strikers, and moreover the non­strikers get  
something  “extra” in any event if they work during the strike.  The non­
strikers   may   say   that   their   decision   not   to   strike   was   vindicated  
because  firstly, they got what the strikers wanted in any event, i.e. a  
higher wage,  secondly, they received additional remuneration in the form  
of overtime payment, and  thirdly, they were rewarded for working during  
the strike in the form of the R200,00 voucher.   There can (at the very  
least) be little doubt that the payment of the R200,00 would affect or  
influence a union member’s decision whether or not to strike in future.  
In my view, the infringement must be regarded in a very serious right  
given the fundamental nature of the right infringed.  If employers, in a  
protected   strike   context,   are   allowed   to   pay   incentives,   rewards   or  
bonuses   to   non­strikers   albeit   that   they   are   dressed   up   as   “innocent” 
rewards for  “hard work”  then there is a very real danger that that Holy

rewards for  “hard work”  then there is a very real danger that that Holy  
Cow   called   collective   bargaining,   may   be   undermined   or   compromised   in

the   process.     Indeed,   in   my   view,   in   the   context   of   a   legal   strike,  
payment   of   any   reward,   incentive,   or   bonus   should   be   strictly  
prohibited.     Such   payment   is   unnecessarily   provocative   and   fuels   an  
adversarial approach to collective bargaining. 
17.6 The   first   applicant   and   the   respondent   have   a   ‘stable”  collective  
bargaining   relationship.     It   is   common   cause   between   the   parties   that  
the   payment   of   the   R200,00   voucher   caused   “tensions”  in   the  
relationship.  The purpose of the Act is to advance,  inter alia , labour  
peace and the democratisation of the workplace by fulfilling one of the  
primary   objects   of   the   Act   which   is   to   promote,   inter   alia ,   orderly  
collective bargaining.   The respondent’s conduct in paying the R200,00  
voucher clearly (at the very least) threatened labour peace.  In my view  
the   effect   was   to   influence   both   strikers   and   non­strikers’   in   the  
exercise of their right to decide for themselves (in future) whether to  
strike   or   not   to   strike   in   support   of   the   first   applicant’s   demands.  
Indeed, the payment of the R200,00 was a highly adversarial move on the  
part of the respondent.  It is apparent from the minutes of the meetings  
held in February 1999 (prior to the referral by the first applicant of  
the dispute to the CCMA on 23 February 1999) that tensions ran high and  
that there was a threat to the labour peace prevailing at the workplace.  
Fortunately, the dispute resolution provisions in the Act triumphed when  
the matter was defused by it being referred to the CCMA initially, and  
now to this Court.  
23.I   conclude   therefore   that   the   respondent   discriminated   against   the  
strikers (members of the first applicant) for exercising their right to  
strike   conferred   by   this   Act   and   that   by   doing   so,   the   respondent  
infringed section 5(1) of the Act.

infringed section 5(1) of the Act.
21

24.Although I  do not  have to  do so,  I nevertheless  find that  for the  same  
reasons   which   I   set   out   above,   that   section   5(3)   of   the   Act   was   also  
infringed   by   the   respondent   paying   to   the   non­strikers   the   sum   of  
R200,00 in February 1999.  The right to strike is a right that cannot be  
waived   unless   of   course   there   is   an   agreement   between   a   trade   union  
party and an employer party which regulates the issue.   In the context  
of this case however, there can be no justification for giving rewards  
to non­strikers because they refrained from exercising their statutory  
right to strike.   SACCAWU v OK Bazaars (1929) Ltd  (1995) 16 ILJ 1031 (A)  
which was decided under the 1956 Act, provides a classic example of such  
a   case,   concerned   as   it   was   with   the   non­payment   of   a   customary,   but  
discretionary, annual bonus to employees who had taken part in a legal  
strike   during   the   year   in   question.     In   this   regard,   I   agree   with  
Brassey  (at   page   A2:1 )   that   today,   it   seems,   such   a   decision   would  
contravene the present section since section 64 confers on employees the  
right to strike.   In this matter, the facts speak for themselves, and  
that is that the non­strikers were paid a benefit or a reward of R200,00  
“in   exchange”   for   them   not   having   exercised   their   right   to   strike  
conferred by the Act.
25.As   to   the   relief   sought,   the   applicants   request   compensation   for   each  
individual   applicant,   equivalent   to   the   voucher   given   to   the   non­
strikers, together with costs of suit.   In regard to the costs of this  
matter,   it   was   agreed   between   Ms   Myburgh   and   Mr   Steenkamp   that   each  
party   should   pay   its   own   costs   having   regard   to   the   nature   of   the  
dispute, the relative novelty of the point argued before this Court, and

dispute, the relative novelty of the point argued before this Court, and  
moreover, having regard to the sound collective bargaining relationship  
which exists  between the  first applicant  and the  respondent.    I agree  
that this is a sound approach to the issue of costs and accordingly, I

make no order as to costs.
26.In   regard   to   the   substantive   relief   sought   however,   there   are  
difficulties.     It   seems   to   me   that   were   I   to   grant   the   applicants’  
request, then I would, in effect, compound or condone the illegitimate  
conduct   of   the   respondent.     Quite   simply,   two   wrongs   do   not   make   a  
right.     Having   said   that,   however,   the   respondent   also   needs   to   be  
censured for infringing section 5(1) and (3) of the Act.   This Court’s  
powers are  set out  in section  158(1) of  the Act.   In  this regard,  Ms  
Myburgh   proposes   that   should   I   find   the   respondent’s   conduct   to   have  
amounted   to   an   infringement   of   section   5(1)   and   (3)   of   the   Act,   then  
this   is   not   a   case   where   substantive   relief   would   be   appropriate   and  
that   rather   a   declaratory   order   coupled   with   an   order   prohibiting  
repetition,   would   be   sufficient.     I   am   inclined   to   agree   with   this  
proposal and accordingly, I make the following order:
(i)  It   is   declared   that   the   respondent   engaged   in   conduct   that   infringed  
section 5(1) and (3) of Chapter II of the Act;
(ii)  The   respondent   is   prohibited   from   engaging   in   such   conduct   with  
effect from the date of this order;
(iii)  There is no order as to costs.
________________________
ARENDSE AJ
23

31 MARCH 2000