Building Bargaining Council North and West Boland v Christie and Another (C201/2000) [2001] ZALC 142 (7 September 2001)

70 Reportability

Brief Summary

Labour Law — Employment relationship — Determination of employee status — Second Respondent, a building contractor, claimed his workers were independent contractors — Arbitrator found no breach of collective agreement — High Court reviewing the decision, applying the dominant impression test to establish the true nature of the relationship — Court concluding that the workers were employees, not independent contractors, due to lack of bargaining power and control exercised by the Second Respondent.

••••••••IN THE LABOUR COURT OF SOUTH AFRICA
HELD AT CAPE TOWN
CASE NO: C201/2000
In the matter between:
BUILDING BARGAINING COUNCIL NORTH
AND WEST BOLAND Applicant
and
SARAH H CHRISTIE First Respondent
CHRISTOFFEL STEYN DE LANGE Second Respondent
                                                                                                                              
JUDGMENT
                                                                                                                               
WAGLAY J:
[1] The Second Respondent in this matter, a sole trader, carries on business as a building  
contractor.     His   business   falls   within   the   sphere   of   Applicant’s   scope   of   operation.  
Although the Applicant was not a member of any employers’ organisation that was party to  
the collective agreement of the Applicant, the agreement would be binding upon him if it  
was extended to non­parties by the Minister of Labour in terms of Sections 31 and 32(2) of  
the Labour Relations Act (“ the Act ”).
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[2] On   15   May   1998   the   Agreement   referred   to   above   was   published   in   the   Government  
Gazette No 18897 and extended by the Minister to non­parties, thus binding the Second  
Respondent  to the  agreement.    At the time of the  extension  of the agreement  to non­
parties,   the   Second   Respondent   had   a   number   of   persons   in   his   employ,   including  
SLAMAT and FORTUIN. They were employed by him from 1992 and 1996 respectively. 
[3] In   the   course   of   1999   the   Second   Respondent   joined   the   Consolidated   Association   of  
Employers of the Southern Africa Region (CAESAR) and soon thereafter concluded new  
contracts with his employees to regulate their relationship.  These contracts, which were in  
writing and  headed  “ Onafhanklike  Kontrakteur ” (Independent  Contractor)  set out  a new  
relationship between the Second Respondent and his employees ­ the new relationship  
was that the Second Respondent was now a client of those who were his employees and  
those who were his employees were now all separate independent contractors. 
[4] Once   the   Second   Respondent   concluded   the   contracts   aforesaid   with   his   “ erstwhile” 
employees,   he   applied   to   the   Applicant   to   be   exempted   from   the   provisions   of   the  
Applicant’s   Agreement   and   also   did   not   comply   with   at   least   clause   13   of   the   said  
Agreement, which required him to buy benefit stamps for his employees. 
[5] Because   of   the   Second   Respondent’s   failure   /   refusal   to   buy   the   benefit   stamps,   the  
Applicant initiated a complaint which ripened into a dispute that went to arbitration.   The  
dispute was that the Second Respondent  was in breach  of clause 13 of the Collective  
Agreement   (referred   to   in   paragraph   2   above).     The   Second   Respondent   denied   the

breach, stating that he was not required to buy benefit stamps because he did not have  
any person in his employ, he merely contracted out his work to a number of independent  
contractors. 
[6] The First Respondent, the Arbitrator, found that the Second Respondent was not in breach  
of clause 13 of the Agreement on the grounds that the persons for whom Applicant sought  
Second Respondent to purchase the benefit stamps (SLAMAT and FORTUIN) were not  
employees but independent contractors. 
[7] The Applicant now seeks to review and set aside the decision of the First Respondent on  
the grounds that:
(i)  the decision of the First Respondent is not justifiable in relation to the reasons given for it; 
(ii)  the First Respondent’s application and interpretation of the relevant law to determine the  
dispute   was   clearly   wrong   in   that,   instead   of   applying   the   dominant   impression   test   to  
establish what was the real relationship between the Second Respondent and SLAMAT  
and FORTUIN, she focussed on the fact that since the parties knew at the time of signing  
the contract that it was to create a relationship of an independent contractor and a client,  
the relationship was not one of employer and employee.
[8] The approach of the First Respondent was that if a person elects to enter into a contract  
that places him outside the labour legislation he/she is bound by that election.  Relying on  
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the matter of  Briggs ( infra) the First Respondent  looked  at the circumstances surrounding  
the   entering   into   the   contract   between   the   Second   Respondent   and   SLAMAT   and  
FORTUIN and stated the following:
“24.  Parties must be kept to their bargain; see CMS Support Services (Pty) Ltd v Briggs (1998)  
19 ILJ 271 (LAC). If a person elects to enter in to a contact which takes them out of the  
world of employment they are bound by that election. There are public policy consideration  
which may place limits on that election but the  [Applicant] did not place these before me. ”
[9] Other than public policy consideration, there is also the issue that before a contract is held  
to be binding between the parties it must be evident that the contract was entered into  
freely and voluntarily with both parties being aware of the duties and obligations to which  
they have agreed.     The evidence presented in this respect pointed not only to a lack of  
any genuine  desire,  at least on the part  of the employees  of the  Second Respondent,  
FORTUIN and SLAMAT, to enter into the agreement but also that  the threat of dismissal  
hung over them if they did not agree thereto.  This is so because:
• the Second Respondent and his advisor, an official from an organisation known as  
KOFESA, approached the employees with the proposal to convert their relationship  
to one of independent contractors, SLAMAT, one of the employees, states that he  
was   reluctant   to   accept   the   proposal   but   felt   he   had   no   option   than   to   accept   it  
because he “ feared that if he did not  [sign]  he would be dismissed. ”  The employees  
were also told that if they did not agree to “ become” independent contractors, that a  
retrenchment exercise would commence.

• while it is clear, as the First Respondent found, that “ there was some explanation of  
the terms of the new arrangements ”.   What is unclear is what was explained and  
what was understood by the employees.   The First Respondent in fact goes on to  
concede that “ the workers may not have understood the complexity of the contract  
and that they may not have understood all its terms ... ” (page 10, paragraph 19).
[10] Reliance on the   Briggs  matter I am satisfied was not helpful in this case. In that matter  
CMS Support Services (CMS) offered to employ Briggs as an employee but she chose not  
to   opt   for   that   relationship   and   instead   proposed   that   CMS   contract   with   the   close  
corporation  which she had formed  to provide  the services she was required  to render.  
Briggs   specifically   did   not   enter   into   any   contract   with   CMS,   her   company   ­   the   close  
corporation ­ did and therefore quite correctly the Court did not have to look at the terms  
and conditions that regulated her relationship with CMS because there was in fact, as the  
Court   found,   no   contract   between   her   and   CMS   but   a   contact   between   her   close  
corporation­ a separate legal entity to Briggs ­and the  CMS  .
[11] The case before the first respondent was different.  The social and economic status of the  
employee   was   such   that   they   did   not   have   any   bargaining   power   at   all.     The   above  
notwithstanding   there   was   a   contract   between   the   employees   and     the   Second  
Respondent.     In   the   circumstances,   disregarding   the   question   of   the   validity   of   the  
contract, the contract that existed between the parties was an employment contract.  Once  
there is an employment contract it is not sufficient for the Court, the CCMA or any other  
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body that is empowered to determine whether or not the employment contract created an  
employer ­ employee relationship, to simply look at the label attached to the contract or  
what may have been discussed at the time the contract was concluded.   To make the  
determination as to the type of employment contact the body required to do so must look  
at   the   nature   of   the   relationship   that   exists   between   the   parties.   This   can   only   be  
established by looking at and interpreting the terms of the contract or, more particularly,  
what is the dominant impression that is left, having regard to rights, duties and obligations  
that bind the parties to each other. 
[12] Although   the   First   Respondent   referred   to   the   dominant   impression   test,   her   fleeting  
application of that test without any contextual order rendered its application irrelevant.  In  
applying the dominant impression test, what must be looked at is the relationship between  
the   parties   in   its   totality   as   no   single   factor   can   be   determinative   of   the   nature   of   the  
relationship (see  Dempsey v Home & Property , (1995) 16 ILJ (LAC) ). 
[13] Had the First Respondent accepted that there was a contract of employment between the  
Second   Respondent   and   the   employees   and   then   went   on   to   apply   the   dominant  
impression test to ascertain whether the contract of employment was one of employer /  
employee   or   that   of   an   independent   contractor,   then   I   have   little   doubt,   based   on   the  
evidence before her, that she would have found that the relationship between the First  
Respondent and SLAMAT and FORTUIN was that of an employer and employee.   This  
conclusion is based upon the following:

• SLAMAT and FORTUIN’s income was not negotiated, nor were they paid by result,  
by percentage  or commission. They were paid weekly, in the amount and in the  
same manner that they were paid before they signed the “ independent contractor ” 
contract;
• Nothing at all had changed in their (SLAMAT and FORTUIN) working relationship  
with   the   Second   Respondent   after   they   “ became”   independent   contractors   ­   the  
Second Respondent still exercised the same degree of control as before.
• SLAMAT and FORTUIN were primarily dependant upon the Second Respondent for  
their income and it was Second Respondent who generated the pro forma invoices  
every   week.   (Although   the   agreement   was   that   after   some   unspecified   period  
SLAMAT and FORTUIN would be required to draw their own invoice, this had not  
happened and no evidence was presented to show when this was to happen).
• Although both SLAMAT and FORTUIN stated that they were told that they were not  
obligated to report for work every day and that they would not be disciplined if they  
did   not   report   for   work,   neither   had   in   fact   stayed   away   from   work   during   their  
regular working hours.  Evidence was that they presented themselves for work in the  
same manner as they had done in the past.   The contract however provided that  
SLAMAT and FORTUIN  had to be available to render service and that if they failed  
to do so, Second Respondent  was entitled to inflict the equivalent of disciplinary  
measures against them.
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[14] With   regard   to   the   exercise   of   control,   the   undisputed   evidence   was   that   nothing   had  
changed in the working relationship between the parties after they signed the contract.  
The First Respondent, however, found that the exercise of control was not a determining  
factor.  SLAMAT had stated that whenever he did work for the Second Respondent or if he  
did work for any other persons who were not his employers, the work was always subject  
to   the   control   of   the   person   to   whom   he   rendered   a   service.     The   First   Respondent  
concluded on the basis of this statement by SLAMAT that he (SLAMAT) was conceding  
that “ it was in the nature of the work and, presumably the inequality of power between the  
service provider and the customer ”.   This conclusion is not entirely inappropriate in the  
context of the arbitration but in terms of establishing the nature of their relationship, the  
relevant and appropriate evidence was how the specific control exercised by the Second  
Respondent had, or had not, changed.
[15] With regard to dependence, the First Respondent noted that the fact that the “ contractors” 
could take on additional work also pointed to an independent contractor relationship.  This  
cannot be supported by the evidence presented to her. The facts were that:
• the “ contractors” were dependent upon the Second Respondent;
• the “ contractor” was required to obtain permission from the Second Respondent to  
perform   work   outside   the   work   the   contractors   performed   for   the   Second  
Respondent;

• the   additional   work   performed   by   SLAMAT   was   in   fact   performed   outside   the  
working hours, ie. after hours or over weekends when   he did not do any work for  
the Second Respondent.   The situation is no different from any ordinary employee  
doing extra work outside his working hours for persons other than his employer for a  
fee. 
The fact of doing additional work for persons other than your employer does not mean that  
the relationship between the employer and the person performing the additional work for  
others is that of an independent contractor and not an employer / employee relationship. 
[16] Once   it   is   established   that   there   is   an   employment   contract   between   the     parties,   the  
approach   adopted   by   the   Courts   is   to   determine   the   true   nature   of   that   contract   to  
establish whether a person is an employee working for an employer or an independent  
contractor and this it does by applying the dominant impression test.  The fact, therefore,  
that the parties themselves may have at the time of concluding the contract intended it to  
be either an independent contract or employer / employee would be quite irrelevant.  Also  
it   is   of   no   consequence   what   the   parties   may   choose   to   call   the   contract   concluded  
between them if the nature of the relationship does not change.(See also  Callahan V Tee­
Kee Barehold Caseing (Pty) Ltd , (1992) 13 ILJ 1533 (IC)) .
[17] A   matter   similar   to   the   present   was  that   of   Building   Bargaining   Council  (Southern   and  
Eastern Cape) v Melmons Cabinets CC & Another , [2001] 3 BLLR 329 (LC).  In that matter  
the Court, applying the dominant impression test to establish the relationship that existed  
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between   the   parties   where   the   parties   had   also   concluded,   like   in   this   matter,   what  
appeared   to   be   an   “ independent   contractor ”   contract.     The   Court   found   that   the  
“contractors”   activities   formed   an   integral   part   of   the   “ employer’s”   organisation,   the  
“contractor”   carried   out   the   same   functions   as   he   did   previously,   he   was   financially  
dependent on the “ employer” and subject to limitation in taking on additional work (exactly  
the   same   position   as   obtains   in   the   present   matter)   and   thus   concluded   that   the  
relationship between the parties was one of an employer and employee.
[18] While I accept that parties are free to conclude agreements to regulate their commercial  
relationship, this freedom implies that both parties are in a position to exercise a choice.  
When   it   comes   to   employment   contracts,   society   recognises   that   persons   seeking  
employment are vulnerable and it is for this reason that legislation exists to protect the  
marginalised   and   vulnerable   members   of   our   society.   Collective   agreements   are   an  
important protection for employees ­ a deliberate intrusion by legislature in the common  
law freedom to contract.  In 1999 in the discussions surrounding amendment to the Labour  
Relations   Act   and   the   Basic   Conditions   of   Employment   Act   it   was   noted   that   the  
amendments were arrived at,  inter alia , to address the “ unintended consequences of the  
legislation” ­ one of these being the loophole in the Act which allowed for re­arrangement  
of   employment   agreements   to   bypass   legislation,   like   the   conversion   of   employer   /  
employee contracts to that of independent contracts.  In the matter before me, the Second  
Respondent was trying to do just that: convert workers into independent contractors as a

Respondent was trying to do just that: convert workers into independent contractors as a  
way   of   evading   the   terms   and   obligations   placed   upon   him   as   an   employer   by   the  
Bargaining Council Agreement, and did  this by simply getting workers to sign a piece of

paper   introducing   invoicing   and   independence   which   neither   of   his   employees   fully  
understood or appreciated, or chose on their own.
[19] For   all   of   the   above   reasons   I   am   satisfied   that   the   award   handed   down   by   the   First  
Respondent was neither justifiable nor reasonable in relation to the evidence presented to  
her.   The dispute focused upon the conversion of workers into independent contractors  
and   it   was   therefore   inappropriate   to   look   at   whether   the   parties   knew   that   they   were  
agreeing to the conversion and to conclude because they were at agreement that there  
was   a   valid   “ independent   contractor ”   agreement.     As   stated   earlier,   she   should   have  
properly   applied   the   dominant   impression   test   to   establish   the   true   nature   of   the  
relationship.  By failing to do this she failed in fact to properly determine the principle issue  
before her.
[20] As the award only dealt with the issue of jurisdiction, I am not in a position to deal with the  
breach   which   the   Second   Respondent   was   said   to   have   committed   ­   this   matter   may  
therefore be re­set down for the hearing of the merits of the dispute.
[21] In the result the review succeeds and the award of the First Respondent dated 9 February  
2000 ­ case no. BNW.AA 0055/1999 is hereby set aside.
                                    
WAGLAY J
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Appearance:
DC Le Roux of Maritz Murray & Fourie Inc ­ Worcester
25 October 2000
Date of Judgment: 7 September 2001