Minister of Transport and Others v South African Airways Pilots' Association and Another (23/94) [1995] ZASCA 108 (21 September 1995)

80 Reportability
Aviation Law

Brief Summary

Aviation Law — Pilot Licences — Validity of Licences Issued to Military Pilots — The South African Airways Pilots' Association challenged the validity of civil pilot licences issued to pilots of the South African Air Force (SAAF) during a specific period, claiming non-compliance with regulations. The court below declared certain regulations and the licences invalid, leading to an appeal by the Minister of Transport and others. The main legal issue concerned whether the licences were issued in accordance with the Aviation Act and its regulations. The Supreme Court of Appeal held that the validity of the licences is an objective question, and the regulations in question were found to be partly invalid, impacting the legitimacy of the licences issued under the contested provisions.

Comprehensive Summary

Summary of Judgment


1. Introduction


The proceedings were an appeal to the Appellate Division of the Supreme Court of South Africa (now the Supreme Court of Appeal) against a declaratory order granted by the Transvaal Provincial Division. The appeal concerned, first, the propriety of the court a quo granting declaratory relief on the validity of certain Air Navigation Regulations, and secondly (and principally), the validity of civil pilot licences issued by the Commissioner for Civil Aviation to South African Air Force (SAAF) pilots during the period November/December 1988 to 2 February 1990.


The appellants were the Minister of Transport and others, including the relevant state functionaries and the affected pilots. The respondents were the South African Airways Pilots’ Association (represented by its president) and Mr Taljaard, a pilot and member of the association acting in his personal capacity. The respondents had sought relief against the Minister of Transport, the Commissioner for Civil Aviation, and a group of approximately 39 SAAF pilots who had received the licences under challenge.


In the court a quo (Van Dijkhorst J), the respondents obtained an order declaring part of regulation 1.4(1) invalid and declaring the civil pilot licences issued to 35 of the pilots invalid, coupled with an interdict restraining use of those licences for civil purposes and a costs order against the unsuccessful respondents in that court. Leave to appeal was refused by the court a quo but later granted on petition.


The subject-matter of the dispute concerned the statutory and regulatory framework governing civil aviation licensing under the Aviation Act 74 of 1962 and the Air Navigation Regulations, 1976, including how that framework applied to an unusual licensing arrangement devised to enable SAAF pilots to conduct covert cross-border operations using civilian aircraft during the sanctions period. Although the respondents suggested broader implications for the international credibility of South African-issued licences, the issues before the appellate court were framed as questions of validity: the validity of specified regulations and of the licences issued pursuant to the scheme.


2. Material Facts


It was common cause that, in terms of the Air Navigation Regulations, civil aircraft may not be flown in the Republic unless flight crew members hold valid prescribed licences, and that licences are issued by the Commissioner for Civil Aviation. It was also part of the statutory background that the Convention on International Civil Aviation (Chicago Convention, 1944) applies to civil aircraft and not to state aircraft, and that the Aviation Act contained an exclusion (in section 2(3)) for aircraft and airports belonging to or used exclusively by the SAAF, and persons employed in connection with them, subject to a proviso permitting ministerial application of provisions after consultation (which, on the case presented, had not been utilised and could be ignored for purposes of the judgment).


The court accepted as factual background that, during the sanctions period, the SAAF had a need to conduct covert operations using civilian aircraft, and that a prior practice of issuing fake civil licences to SAAF pilots had been discontinued after risks became apparent. The last of these fake licences lapsed during May 1988. The operational need for pilots to fly across international borders nevertheless continued.


To address this, an arrangement was devised by Mr van Zyl (Director: Aviation Safety in the Chief Directorate: Civil Aviation) and resulted in an agreement concluded between the Commissioner and the SAAF during October to November 1988. In essence, the agreement provided that the SAAF would nominate suitably qualified pilots for civil licences required for official duty; those pilots would not be required to write the “ordinary” examination papers set for other candidates, but would instead write and pass a newly devised “transport rating course” examination, the content and examination papers being subject to approval by the civil aviation directorate and monitored by an external examiner appointed by the directorate; exemptions would be granted where possible; and the pilots would still pass the prescribed flight tests, conducted by either an inspector from the directorate or an SAAF instructor approved for such testing.


It was undisputed that the SAAF pilots concerned passed the transport rating course examination and the prescribed flight tests and were issued civilian licences (commercial, senior commercial, or airline transport) pursuant to the arrangement, and that these licences were renewed from time to time. It was also accepted that the continued validity of these licences was not dependent on continued employment with the SAAF and did not lapse upon termination of such employment.


The respondents’ challenge to the licences proceeded on the basis that they had allegedly been issued without compliance with the regulations, particularly because the transport rating course differed from ordinary examinations and because the papers were set and marked by the SAAF. The appellants disputed that the licences were not properly issued and contended that the transport rating examination was on par with ordinary examinations. The appellate court treated disputes about comparative quality or inferiority of examinations as not capable of resolution on the papers and, in any event, not determinative in the way the respondents framed them, because the regulatory touchstone was whether the Commissioner had been satisfied, through a written examination, of the requisite knowledge.


In relation to the regulations, it was part of the procedural and factual matrix that the respondents’ initial premise was that invalidity of the licences depended on striking down certain regulations. As the litigation developed, it became apparent that this premise was incorrect, and the attack on the regulations became a side issue, with the respondents’ counsel in the appellate court abandoning (as understood by the court) that part of the order declaring the regulations invalid. Notwithstanding that abandonment, the appellate court considered the correctness of granting declaratory relief as a matter of law.


3. Legal Issues


The central legal questions were, first, whether it was appropriate for the court a quo to grant declaratory relief on the validity of regulation 1.4(1) (and relatedly whether the respondents had the requisite interest and whether the question was hypothetical or academic), given the way the dispute had evolved and the absence of consequential relief linked to that regulatory invalidity.


The second and principal issue was whether the civil licences issued to SAAF pilots during the relevant period were invalid for non-compliance with the Air Navigation Regulations. This required determination of whether the regulatory requirements for the relevant categories of licences—particularly the requirements that applicants satisfy the Commissioner in a written examination as to knowledge of specified subjects (including Air Law) and pass prescribed flight tests—had been met, and whether the “transport rating course” and associated procedures could lawfully serve as the relevant written examination process.


A further legal issue, arising from the court a quo’s reasoning, was whether the licensing arrangement amounted to an unlawful delegation of discretion by the Commissioner to the SAAF, and if so, whether such delegation required the written consent of the National Transport Commission under section 4(3) of the Aviation Act as it then stood.


The dispute therefore concerned a mixture of questions of law (statutory and regulatory interpretation; the availability and proper exercise of declaratory jurisdiction; legality of delegation/designation) and application of law to fact (whether, on the established facts, the Commissioner’s statutory role was complied with; whether exemptions were authorised; whether alleged procedural defects rendered licences invalid). Where factual disputes existed regarding comparative standards of examinations, the appellate court treated them as not resolvable on motion papers and, more importantly, not framed as legally decisive given the structure of the regulations.


4. Court’s Reasoning


Declaratory relief and the regulations


The appellate court approached the challenge to the regulations through the lens of the discretionary nature of declaratory relief under section 19(1)(a)(iii) of the Supreme Court Act 59 of 1959, which permits a court to grant a declaratory order at the instance of an interested person even absent consequential relief. It emphasised that a court of appeal will interfere with a first-instance court’s exercise of such discretion only on limited, well-established grounds, as explained in South African Mutual Life Assurance Society v Anglo-Transvaal Collieries Ltd 1977 (3) SA 642 (A).


On the facts of the case, however, the appellate court held that the court a quo had not engaged with the discretionary enquiry at all. It had treated the matter as purely legal—asking simply whether the regulations were valid—without considering whether the respondents had an interest in the invalidity of the regulations, and without considering whether the question had become hypothetical, abstract, or academic in light of the way the licensing challenge proceeded independently of the regulatory attack. Relying on the principle that declaratory relief should not be granted where the issue is abstract or academic and where the applicant lacks the requisite interest (with reference to Milani and Another v South African Medical and Dental Council and Another 1990 (1) SA 899 (T)), the appellate court concluded that the discretion had not been properly exercised.


As a consequence, the declaratory order in respect of the regulations could not stand. The appellate court held it unnecessary to decide the substantive arguments about invalidity of regulation 1.4(1) any further for purposes of this case, because the threshold problem lay in the defective exercise of the discretion to pronounce on the issue at all.


Validity of the licences: regulatory scheme and the Commissioner’s satisfaction


Turning to the licences, the appellate court analysed the structure of the Air Navigation Regulations governing the relevant licence categories. It noted that the regulatory model (broadly consistent with the Chicago Convention and its Annex 1) did not impose a fixed, externally prescribed method of examination, but instead required that applicants satisfy the Commissioner, in a written examination, of their knowledge of specified subjects. The regulations prescribed the syllabus content of knowledge areas and required that the Commissioner be satisfied as a result of a written examination, rather than prescribing a single uniform paper, examiner, or objective cross-comparison between different examination regimes.


On the respondents’ case as pleaded, the attack rested substantially on the proposition that the “transport rating course” differed materially from ordinary examinations (including reference to an Aeronautical Information Circular issued in September 1990) and that SAAF personnel had set and marked the examinations. The appellate court considered the AIC to be of little consequence because it post-dated the issue of the last licence under the agreement and did not deal with Air Law, which was central to the regulatory requirements under consideration. It further treated the comparative “inferiority” contention as both factually disputed on the papers and, more fundamentally, misdirected in law: the decisive question was whether the Commissioner had, through a written examination process, been satisfied of the pilots’ knowledge of the prescribed syllabus, particularly Air Law.


The appellate court rejected the court a quo’s interpretation that the regulations contemplated “one examination only” and that the Commissioner could not base his satisfaction on more than one examination. It reasoned that the regulations did not prescribe any single specific examination; they contemplated a system in which different examinations with different questions and different examiners could be used, with inherent variability across examinations being a normal incident of examination systems. What mattered was the Commissioner’s satisfaction as contemplated by the regulations, not whether the SAAF candidates wrote the identical papers written by other candidates.


Exemptions and the relationship between the agreement and statutory authority


The appellate court also dealt with the exemption mechanisms. It recorded that, under regulation 3.3(3), an applicant who had qualified as a pilot in the SAAF could be exempted from any or all examinations and tests (excluding Air Law for commercial licences). In relation to senior commercial licences, exemptions had been removed in 1985 and later reintroduced (in amended form) as from 12 May 1989, with the Commissioner empowered from that date to exempt an applicant from “any or all of the prescribed written examinations”.


Against that background, the appellate court disagreed with the court a quo’s conclusion that the 1989 amendment was of no consequence because exemptions were granted “in terms of the agreement”. It held, on the record before it, that exemptions were in fact granted and that statutory authority existed for granting them. The mere existence of an agreement alongside statutory authority did not detract from legality, absent an allegation (which had not been made) that the Commissioner failed properly to exercise his discretion when granting exemptions.


The appellate court further rejected the court a quo’s interpretive doubt about whether the 1989 amendment referred only to “technical examinations” rather than the written examinations listed elsewhere in the regulation. It held the proviso’s wording to be clear: it permitted exemption from any or all “prescribed written examinations”, which were the examinations referred to in the regulation.


Delegation versus designation, and procedural fairness in motion proceedings


A significant alternative basis for invalidity adopted by the court a quo was that the Commissioner’s evaluative role had been placed exclusively in the hands of the SAAF, amounting to an unlawful delegation of discretion without the written consent of the National Transport Commission required by section 4(3) of the Aviation Act. The appellate court analysed the statutory context, including section 4 (as it then stood) and the regulatory and statutory provisions enabling the designation of persons to carry out functions.


It drew a distinction between the designation of persons to conduct tests or perform administrative functions (which the regulations expressly contemplated, including the designation of “official examiners” for flight tests) and the delegation of a discretion vested in the Commissioner. The court treated the designation of a person to conduct prescribed flight tests as an administrative act permitted by the regulatory framework and the Minister’s regulation-making powers; it did not, without more, constitute delegation of the Commissioner’s discretion.


Regarding the written examination requirement, the appellate court held that the regulations did not prescribe who must set, mark, or monitor the written examinations, nor did they require the use of official examiners for written examinations. It accepted that under the agreement the Commissioner approved the papers and the examination was monitored by external examiners appointed by the Commissioner, and it was not alleged that the licences had been issued otherwise than in accordance with the agreement’s terms. On that footing, the appellate court found no substance in the claim that standards-setting and standards-enforcement had been delegated to the SAAF in a way inconsistent with the Commissioner retaining responsibility to be satisfied of candidates’ knowledge.


Separately, the appellate court considered whether the delegation point was properly in issue on the motion papers. It held that the point (in the form relied upon by the court a quo) had not been properly raised: it emerged only in reply, focused on Mr van Zyl rather than the Commissioner, and did not include the critical allegation that written consent of the Commission had not been obtained. The appellants were therefore not called upon to meet that case, and the court a quo was not entitled to base its decision on that ground.


Publication of examination dates under regulation 1.15(1)


The respondents’ final argument in the appellate court was that the appellants had not shown compliance with regulation 1.15(1), requiring the Commissioner to publish examination dates in an Aeronautical Information Circular. The appellate court rejected this for two reasons. First, it was not based on the papers; the appellants had not been called upon to deal with it, and it was not apparent it had been raised below. Secondly, the court held that even if examination dates had not been published, that would not render licences invalid, because publication of dates was not a “requirement applicable to such licence” within the definition of “valid” in regulation 1.3. The regulatory requirements for validity concerned satisfaction of the substantive criteria for the licence, not the administrative publication of examination dates.


5. Outcome and Relief


The appeal was upheld with costs. The appellate court set aside the entire order of the court a quo and replaced it with an order dismissing the application with costs, including the costs of two counsel. The effect of the appellate decision was that the declaratory relief granted in respect of the regulations fell away, and the civil pilot licences issued to the SAAF pilots under the scheme were not declared invalid and were treated as having been properly issued under the regulations.


Cases Cited


South African Mutual Life Assurance Society v Anglo-Transvaal Collieries Ltd 1977 (3) SA 642 (A).


Milani and Another v South African Medical and Dental Council and Another 1990 (1) SA 899 (T).


Legislation Cited


Aviation Act 74 of 1962.


Air Services Licensing Act 115 of 1990.


Supreme Court Act 59 of 1959.


Aviation Amendment Act 16 of 1992.


Rules of Court Cited


No rules of court were cited in the judgment.


Held


The Supreme Court of Appeal held that the court a quo’s declaratory order on the validity of parts of the Air Navigation Regulations could not stand because the court a quo did not properly exercise its discretion to grant declaratory relief, having failed to consider whether the respondents had a sufficient interest and whether the regulatory issue had become abstract, hypothetical, or academic.


On the principal issue, the Supreme Court of Appeal held that the civil pilot licences issued to SAAF pilots during the relevant period were properly issued in terms of the Air Navigation Regulations. The regulatory requirement was that applicants satisfy the Commissioner, in a written examination, of their knowledge of prescribed subjects; the regulations did not prescribe a single uniform examination nor restrict the Commissioner to one examination model. The use of the transport rating course examination and the associated procedures, together with the authorised exemption mechanisms where applicable, did not establish invalidity. The alleged improper delegation point was not properly raised on the papers and, in any event, lacked substance on the facts as analysed.


LEGAL PRINCIPLES


Declaratory relief under section 19(1)(a)(iii) of the Supreme Court Act 59 of 1959 is discretionary. A court should consider whether an applicant has a sufficient interest in the declaration sought and whether the issue is concrete rather than hypothetical, abstract, or academic. A failure by a court of first instance to engage these considerations may justify setting aside the declaratory order on appeal.


An appellate court will interfere with the exercise of a discretion by a court of first instance only on limited grounds; where the court a quo did not properly exercise its discretion (by failing to apply the relevant considerations), the declaratory order may be set aside.


Where regulations require that an applicant “satisfy the Commissioner, in a written examination” of prescribed knowledge, the legal enquiry is directed to whether the Commissioner was satisfied as a result of a written examination process meeting the regulatory scheme, rather than whether an applicant wrote the identical examination written by other candidates or whether different examinations are objectively comparable in perceived standard.


A statutory or regulatory power to grant exemptions, where applicable, supports the legality of exemptions granted; the presence of an agreement alongside statutory authority does not, without more, negate legality, absent a properly pleaded and substantiated challenge to the exercise of discretion.


A distinction exists between the designation of persons to perform functions contemplated by statute or regulation (including conducting prescribed tests) and the delegation of a discretion vested in an office-bearer. The mere involvement of designated persons in testing or examination processes does not necessarily constitute an unlawful delegation of discretionary power.


In motion proceedings, a court should not decide a case on a basis not properly raised on the papers such that the opposing party was not called upon to meet it. Arguments not grounded in the founding papers and raised too late may be rejected, and should not form the foundation of dispositive findings.


Not every procedural step associated with examination administration constitutes a requirement for licence validity. Where regulatory definitions tie “validity” to compliance with requirements applicable to the licence itself, administrative steps such as publication of examination dates may not, without more, be treated as conditions precedent to the validity of the licence.

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[1995] ZASCA 108
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Minister of Transport and Others v South African Airways Pilots' Association and Another (23/94) [1995] ZASCA 108 (21 September 1995)

REPORTABLE: YES CASE NO. 23/94
IN THE SUPREME COURT OF SOUTH AFRICA (APPELLATE DIVISION)
In the matter between:
THE MINISTER OF TRANSPORT AND OTHERS APPELLANTS
and
THE SOUTH AFRICAN AIRWAYS PILOTS'
ASSOCIATION AND ANOTHER RESPONDENTS
CORAM
: CORBETT CJ, HEFER, F H GROSSKOPF, HARMS, JJA
et VAN COLLER, AJA
HEARD
: 29 AUGUST 1995
DELIVERED
: 21 SEPTEMBER 1995
JUDGMENT
HARMS JA/...
2
HARMS JA:
This appeal relates to two issues, namely the validity of certain regulations
promulgated in terms of the Aviation Act 74 of 1962
(the "Act") and also the
validity of some commercial, senior commercial and airline transport pilot
licences issued during the period
November (or December) 1988 and 2 February
1990 to a number of pilots in the employ of the South African Air Force
("SAAF").
The South African Airways Pilots' Association represented by its
president (Mr Fichardt) and Mr Taljaard, a pilot and member of the
Association
(in his personal capacity) applied for a declaratory order relating to the
above-mentioned issues to the Transvaal Provincial
Division. Relief was sought
against, first, the Minister of Transport, second, the Commissioner for Civil
Aviation, and last, some
39 pilots who were, during the relevant period,
employed by the SAAF in that capacity and to whom the pilot licences mentioned
had
been issued. The court below (Van Dijkhorst J) granted an order
3
declaring some regulations and the civil pilot licences issued to 35 of the
then respondents invalid, interdicting these persons from
utilising the licences
for civil purposes and ordering the unsuccessful respondents to pay the costs.
He refused leave to appeal
but leave was granted pursuant to a petition.
The
objects of the Act were to consolidate the laws that had given effect to the
Convention on International Civil Aviation and the
International Air Services
Transit Agreement (both drawn up in Chicago on 7 December 1944) and, also, to
make provision for the control,
regulation and encouragement of flying within
the country. The Act has been amended from time to time and in the light of the
fact
that the issues in this matter concern the period end 1988 to 2 February
1990, this judgment will deal with the Act as it stood prior
to its amendment by
the Air Services Licensing Act 115 of 1990. The latter Act came into operation
on 1 July 1991.
S 22(1) of the Act empowers the Minister to make regulations relating to a
number of matters there stated. The Air
4
Navigation Regulations, 1976
1
have been promulgated pursuant to
its provisions. These regulations, too, have been the subject of amendment and I
shall indicate,
where necessary, whether an amendment has been made which
affects this litigation.
In terms of the regulations no civil aircraft may be
flown in the Republic unless the flight crew members are the holders of, i a,
valid prescribed licences. In order to be valid, all the requirements applicable
to such licences have to be complied with. Licences
are issued by the
Commissioner. A flight crew member can be licensed in one of a number of
categories, from student to airline transport
pilot. Before a licence in a
particular category maybe issued, the applicant (in general terms) has to comply
with a number of criteria,
satisfy the Commissioner in a written examination of
his knowledge of set subjects and also pass a flight test.
The Convention deals with international civil aviation. It is applicable only
to civil aircraft and not to state aircraft
1GN R141 of 30 January 1976.
5
(art 3). Licences properly issued are recognised internationally. Aircraft
used in military, customs and police services are deemed
to be state
aircraft
. 2
State aircraft may not fly over the territory of another
state or land therein without authorization by special agreement. S 2(3)
of the
Act, in accordance with the Convention, states that the provisions of the Act,
the Convention or the Transit Agreement do
not apply to aircraft or airports
belonging to the SAAF (or for the time being being in use exclusively by it).
Nor do they apply
to any person employed on or in connection with such aircraft
or airports, irrespective of whether so employed in a military or civil
capacity. There is a proviso to the effect that the Minister, after consultation
with the Minister of Defence, may apply any of these
provisions (with or without
modification) to any such aircraft, airport or person. This proviso has, as far
as I am aware, not been
utilised and can, for purposes of this judgment, be
ignored.
The pilots who are appellants, are all holders of pilot
2Shawcross and Beaumont On Air Law (3rd ed) vol 1 p 203 n 11 submit that this
definition is exhaustive.
6
licences, either commercial, senior commercial or airline transport, issued
by the Commissioner. The circumstances under which these
licences have been
issued were extraordinary. During the so-called sanctions period the SAAF had a
need to conduct covert operations
by way of civilian aircraft. In order to
disguise ownership of the aeroplanes used, they were registered in the name of
the Department
of Transport as a "flag of convenience". Pilots in the employ of
the SAAF were issued, prior to 1986, with fake civil licences enabling
them to
fly across international borders for state purposes. The dangers of this
procedure became obvious during 1987 and it was
discontinued. The last of these
fake licences lapsed during May 1988. The need for these pilots to fly across
borders did not cease.
A plan was devised by Mr van Zyl, the Director,
Aviation Safety in the Chief Directorate: Civil Aviation to solve the problem.
It
involved an agreement between the Commissioner and the SAAF concluded during
October to November 1988. Its terms were, in essence,
these:
7
(a)
The SAAF would nominate
pilots in its employ who were qualified aircrew for applications for civil
licences needed for official duty.
(b)
They
would not be required to write the "ordinary" examination papers set for other
candidates but would, instead, write and pass
a newly devised "transport rating
course" examination. The Directorate would have to approve the content of this
course and the examination
papers. The Directorate would also appoint an
external examiner to monitor the examination.
(c)
They would be exempted from examinations where exemptions were
possible.
(d)
They would have to pass the
prescribed flight test, the testing to be done by an inspector from the
Directorate or by an SAAF instructor
who had been approved by the Directorate
for such testing.
These pilots all passed the
transport rating course examination and also the flight test and were,
consequently,
8
issued with civilian licences in terms of the agreement. The licences were
renewed from time to time. Their continued validity was
not dependent upon the
holder's continued employment with the SAAF and did not lapse upon the
termination thereof. In summary, the
respondents alleged that these licences had
not been issued in due compliance with the regulations, that the transport
rating course
examination was inferior to the ordinary examination and that
these "special" licences compromised the international status of all
licences
issued by the Commissioner. They also attacked the validity of certain of the
regulations. The appellants, on the other
hand, denied that the licences had not
been properly issued. They also said that the transport rating course
examination was on par
with the ordinary examination. These are matters with
which I shall deal in due course. They alleged in the final instance that the
dispute is a labour dispute and that the true concern of the respondents is not
the validity of these licences but rather competition
from more licensed pilots.
Let me state immediately that the motive
9
of the respondents is of no consequence because the validity of the licences
is an objective question.
I now turn to deal with the first issue, namely the
validity of certain of the Air Navigation Regulations. In their notice of
motion,
the respondents attacked the validity of reg 1.4(1), reg 3.3(3) and any
other regulation which relates to military aircraft, airfields
or personnel. No
further reference was made either in the papers or during argument to the
unidentified regulations. The attack on
reg 3.3(3), to which reference will be
made in due course, was abandoned in the court below and in this Court that
attitude was persisted
in.
VanDijkhorst J came to the conclusion that reg 1.4(1) was in part invalid and
made a declaratory order accordingly. This regulation
reads as follows:
"These regulations or any part thereof shall not apply to -
(a) military personnel in the execution of their
duties;
(b) military aircraft,
except where such aircraft are
in flight
through controlled airspaces or in use on
civil aerodromes;
10
(c) any aircraft or person to which or to whom the Minister, on the
recommendation of the Commissioner of Civil Aviation
3
, directs that
these regulations or, as the case may be, such part thereof, shall not
apply."
[Underlining added.]
The attack on the validity of sub-par (a) and (b) was based on art 3 of the
Convention and s 2(3) of the Act, both referred to earlier.
The court a quo held
that sub-par (a) and the part of sub-par (b) not underlined were not void, but
merely tautologous. They simply
restated what was in the Act. The respondents
have attempted to reopen the issue, but, in the absence of a cross-appeal, it is
not
before this Court.
As far as the underlined part of sub-par (b) is
concerned, it was held that it "betrek militêre personeel by burgerlike
regulasies"
and even if the purpose were laudatory, it was in conflict with s
2(3) and was thus beyond the powers of
3The regulation in its original form read, instead of "the Commissioner for
Civil Aviation", the "Commission" meaning the National
Transport Commission as
then defined in s 1 of the Act. The amendment was effected by means of a
so-called Correction Notice R2512
GG 5 December 1980.
11
the Minister to regulate. The court was not referred to, nor did it consider,
the fact that the Convention requires that regulations
be made for state
aircraft to have due regard for the safety of navigation of civil aircraft (art
3(d)) and that the Act requires
of the Minister to make regulations to give
effect to the provisions of the Convention (s 22(1)(a)).
It was also argued
by the respondents, and held by the court below, that sub-par (c) is ultra
vires, in this instance because it was
not authorised by the enabling provisions
of s 22(1) (k) of the Act. This provides that the Minister may make regulations
relating
to the exemption from any of the provisions of the Act (including the
regulations
)4 ,
the Convention or the Transit Agreement, of any
aircraft or any persons "where it appears unnecessary that such provisions
should
apply". In this context the learned Judge held that s 22(1) (k) has two
requirements, namely,
"(a) (d)ie regulasie moet vrystelling gee aan persone.
4See the definition of "this Act" in s 1. It includes
any
regulations.
12
Daaronder sou ook val ' n klas van persons, maar die persoon of persone moet in
die regulasie genoem word" and "(b) (d)it moet onnodig
blyk om die betrokke
bepaling waarvan vrystelling verleen word toe te pas."
Whether s
22(l)(k) requires that exemptions must be circumscribed by way of regulation, or
whether it envisages that the mechanism
for granting exemptions may be created
by way of regulation was also not argued before the court a quo.
The
appellants contended that the validity or otherwise of these regulations is, for
the purposes of this case, an academic issue.
As far as sub-par (c) is
concerned, it was not the case of either party that the Minister had given any
direction exempting any person
from any regulation. And as far as the other
sub-paragraphs are concerned, their validity was of no consequence to the
respondents.
The invalidity of these regulations arose under the following
circumstances: the underlying premise in the founding affidavit and
the notice
of motion was that the invalidity of the licences was dependent
13
upon the striking down of these regulations. As the case developed, it became
apparent to the respondents that their premise was wrong
and they proceeded to
attack the licences on the grounds set out later in this judgment. The attack on
the regulations became a side
issue and in this Court counsel for the
respondents abandoned (if I understood him correctly) that part of the order
declaring these
regulations invalid. That is not the end of the matter because,
in the light of the fact that their invalidity is a matter of law,
the
correctness of the grant of the declaratory order has still to be decided.
A division of the Supreme Court has the discretion, at the instance of an
interested person, to grant a declaratory order relating
to a right or
obligation, notwithstanding that the applicant cannot claim consequential relief
(s 19 (l)(a)(iii) of the Supreme Court
Act 59 of 1959). The exercise by a court
of first instance of its discretion can only be reconsidered by a court of
appeal on one
or other of the few well known grounds (South African Mutual Life
Assurance Society v Anglo-
14
Transvaal Collieries Ltd
1977 (3) SA 642
(A) at 658 E-H). In this case the
court below did not consider the question whether it should exercise a
discretion. It approached
the matter on a strictly legal basis: are the
regulations valid or not? It did not consider whether the respondents had an
interest
in the invalidity of these regulations. They had none (cf Milani and
Another v South African Medical and Dental Council and Another
1990 (1) SA 899
(T) at 902 F - 903 G). Furthermore, it was not considered whether the question
was hypothetical, abstract and academic. It was (cf
South African Mutual Life
Assurance Society case at 658 G-H) . It follows that the discretion was not
properly exercised, that the
declaratory order cannot stand and that it is
unnecessary to consider the arguments relating to the invalidity of the
regulations
any further.
I turn then to the main issue, viz the validity of the civil pilot licences
issued to the members of the SAAF who are appellants in
this appeal. Art 32(a)
of the Convention requires that the pilot of an aircraft engaged in
international navigation
15
must be in possession of a certificate of competency and a licence issued or
rendered valid by the state in which the aircraft is
registered. Art 37 empowers
the International Civil Aviation Organization to adopt international standards
and recommended procedures
dealing with, i a, the licensing of operating
personnel of aircraft. It has done so by means of the so-called Annex 1 to the
Convention
in very general terms. For instance, the applicant for a commercial
pilot licence must "demonstrate a level of knowledge appropriate
to the
privileges granted to the holder of a commercial pilot licence" in a number of
subjects. It does not state how this must be
demonstrated, e g by way of
written, oral or any examination; it does not state who must do the assessment;
and it does not lay down
any objective standard of knowledge. The Act (s 22
(l)(g)) authorises the Minister to make regulations relating to the manner and
conditions of the issue and renewal of certificates or licences required under
the Act, the Convention or the Transit Agreement,
including the examination and
tests to be undergone.
16
The Air Navigation Regulations deal according to the tenor of Annex 1 then
with these matters in the following manner.
In respect of each category of licence specific requirements are laid down.
It is not necessary to set out the full particulars and
I shall confine myself
to the salient aspect of the three types of licences in contention.
[1] Commercial aeroplane pilot licences (reg 3.3): In summary, the applicant
must
(a) be the holder of a valid general flight radiotelephony operator's
licence;
(b) be not less than 18 years of age;
(c)
satisfy the Commissioner for Civil Aviation
, in a
written
examination
, as to his knowledge of (i) what may,
for purposes of this
case, be called Air Law, (ii)
navigation, (iii) elementary meteorology and
(iv) a number
of technical
subjects;
(d)
have
completed prescribed hours of flight time; and
(e)
have passed set flight tests
with an official
examiner
.
17
In terms of reg 3.3(3) an applicant who has qualified as a pilot in the SAAF
may be exempted by the Commissioner from any or all of
the above examinations
and tests, excluding the examination referred to in (c)(i), namely Air
Law.
5
[2] Senior commercial aeroplane pilot licences (reg
3.4
)6:
The general scheme of the requirements is similar to that set
out in [1] above. For present purposes it suffices to state that the
applicant
for such licence must also (a)
satisfy the Commissioner for Civil
Aviation
, in a
written examination
, of his knowledge of a number of
set subjects including Air Law (with a syllabus similar to that referred to in
[1]), (b) undergo
a practical flight test
with an official examiner
and
(c) pass another practical flight test within a prescribed period. As far as
exemptions are concerned, the regulation in its
initial form provided that a
person who has qualified as a pilot in the SAAF, could, first, be exempted from
the written examination
save the
5This provision has been amended during 1994. The amendment does not affect
the power referred to.
6This regulation has since been repealed.
18
one in respect of Air Law, and, second, most of the practical flight tests.
These exemptions were removed as from 30 May 1985 (GG
9760) and reintroduced in
an amended form as from 12 May 1989 (GN R917). The Commissioner may exempt,
since that date, an applicant
for a licence "from any or all of the prescribed
written examinations".
[3] Airline aeroplane transport pilot licence (reg 3.5): The holder of a
licence referred to in [2] can obtain this licence without
any further
examination. All that is required is accredited flight time. The holder of a
licence referred to in [1], on the other
hand, must pass the written examination
and undergo the practical flight test prescribed for [2]. No provision is made
for exemptions.
In conclusion on the content of the regulations, reg 1.6 charges the
Commissioner, subject to the provisions of the Act, with carrying
out the
regulations; and he is entitled to exercise his powers and perform his duties in
person or by someone designated by him.
It is also his duty to issue
licences
19
and before doing so, he has to satisfy himself that the applicant meets the
requirements for any such licence (reg 1.11(1)). Lastly,
he may designate a
person to conduct the licence tests prescribed in the regulations and the person
designated is then called an
"official examiner" (reg 1.3).
Against this
setting the case the appellants were called upon to meet, must be established.
The application before the court below
was not one for review but one for a
declaratory order. Apart from the general statement that the licences had been
issued without
compliance with the Act and regulations, the specific allegations
were simply that the transport rating course differed materially
from the
courses prescribed in an Aeronautical Information Circular ("AIC") issued by the
Director General: Department of Transport
on 15 September 1990; and that the
pilots had obtained their licences without completing the prescribed written
examinations and
that the papers had been set and marked by the SAAF.
As far as the standard of the SAAF' s training and
20
examination is concerned, it, at the request of the Commissioner, submitted
to him a comprehensive comparison between its syllabus
and that prescribed by
the regulations. Mr van Zyl alleges that he and other members of his department
carefully studied the report
and concluded that, generally speaking, it was "at
least equivalent to that set out in the regulations". There were, however, in
their opinion certain areas where further training and examination were
necessary in order to satisfy the requirements laid down
in the regulations in
respect of a theoretical knowledge of flying. These areas were addressed in the
transport rating course. They
were, in essence, matters relating to Air Law. The
course led, as mentioned, to a written examination. The paper had to be approved
by the Commissioner and the examination had to be monitored by an external
examiner appointed by the Commissioner. Mr van Zyl stated
further that he had
satisfied himself and the Commissioner that the standard of training and
examination was satisfactory in every
respect. The Air Law as contained in the
transport rating course was presented
21
at the higher level of senior commercial pilot licence only.
The AIC
relied on by the respondents is hardly of any consequence because it postdates
the issue of the last licence in terms of the
agreement and does not deal with
Air Law at all. In any event, the factual dispute relating to the merit of the
respective examinations
cannot be resolved on the papers, and is irrelevant. The
regulation requires implicitly that the Commissioner must be satisfied about
the
standard of the written examination. It does not prescribe an objective
standard. It merely prescribes the syllabus. The correct
question that has to be
answered is whether the pilots concerned have, in a written examination,
satisfied the Commissioner of their
knowledge of Air Law as contained in the
prescribed syllabus.
Van Dijkhorst J came to the conclusion that the regulations envisaged one
examination only and that the Commissioner was not entitled
to base his
satisfaction as to the knowledge of a candidate for a licence on more than one
examination. I am not certain what was
meant with "one
22
examination". The regulations do not prescribe any specific examination. They
merely require that the Commissioner be satisfied, as
the result of a written
examination, that the candidate has the requisite knowledge. If the learned
Judge intended to state that
one examination at a given time was all that was
permitted, I can understand his conclusion. But it is not the case that two
inherently
different examinations were written at the same time. The regulations
contemplate, in my view, many examinations with different questions
and
different examiners. Different standards are to be expected from examination to
examination and from examiner to examiner. That
is inherent in any examination
system.
It will be recalled that, in respect of the other written
examinations for a commercial licence, exemptions could have been granted.
It
has also been pointed out that, as far as senior commercial licences are
concerned, since 12 May 1989 exemptions could have been
granted for all or any
of the prescribed written examinations. As far as the grant of
23
exemptions is concerned, it was, as mentioned, the initial case of the
respondents that reg 3.3(3) was void; and that, as a consequence,
any exemptions
granted in terms of this regulation were of no effect. The respondents have
accepted in the court a quo and in this
Court that the regulation is not
invalid. The grant of exemptions to any of the SAAF pilots concerned has not
been attacked on any
other ground (e g that the Commissioner had not exercised
his discretion properly).
In spite of this, Van Dijkhorst J, in relation to the change effected in
relation to senior commercial licences on 12 May 1989, held
that, since it
postdated the agreement, it is of no consequence because the exemptions were
given, not in terms of the new regulation
but in terms of the agreement. I fail
to understand this finding. Exemptions were given. Statutory authority existed.
The fact that
there was also an agreement in this regard does not detract from
the legality of the exemptions. It could have been otherwise had
the allegation
been (which it was not) that the exemptions were given without the proper
24
exercise by the Commissioner of his discretion. Van Dijkhorst J was,
furthermore, not convinced that the amendment of 12 May 1989
permitted exemption
from the written examinations referred to above but rather to "the required
technical examinations" mentioned
in reg 3(4)(l)(f). I respectfully disagree.
The proviso is clear. It permits of an exemption "from any or all of the
prescribed written
examinations." The only written examinations prescribed were
those referred to. In fact, they are the only examinations. The "required
technical examinations" of sub-par (f) are, clearly the same examinations. The
Commissioner was thus entitled, since 12 May 1989,
to grant, in respect of
senior commercial licences, exemption from all written examinations.
The court below utilised a further and alternative basis to come to the
conclusion that the licences were invalid. It was that the
examination and
assessment of these pilots had been placed exclusively in the hands of the SAAF.
The Commissioner was vested with
the authority to judge whether an applicant for
a licence had complied with the terms of the
25
regulation. This discretion had been delegated to the SAAF. A
discretion
could, at the relevant time, be delegated only with
the written consent of the National Transport Commission. This
consent had
not been obtained. The delegation was thus void, as
were the licences.
In terms of s 4(1) of the Act, the National Transport
Commission was, subject to the control and direction of the
Minister,
responsible for the carrying out of the provisions of
the Act (including the regulations), the Convention and the
Transit
Agreement (s 4(1)). Anyone appointed under the Act or
concerned with the carrying out of its provisions, was obliged
to perform his functions and exercise any discretion vested in
him, subject to the Commission's directions and approval (s
4(2)). Only with the written consent of the Commission could a
person in whom any discretion was vested, delegate the power to
exercise the discretion on his behalf to another specified person
(s 4(3)).
7
7S 4 was amended by the Air Services Licensing Act 115 of 1990. The duties
and functions of the Commission now vest in the Minister.
The amendment became
effective on 1 July 1991.
26
In contrast, s 22(l)(a)bis (which was introduced in 1965) entitled the
Minister to make regulations relating to "the designation of
persons to carry
out the provisions of this Act, and the powers and duties of persons so
designated."
8
Two questions have to be decided, namely, did the
Commissioner delegate his discretion and, if so, did he need and have the
consent
of the Commission.
The practical flight tests prescribed for commercial and senior commercial
licence applicants, have to be with an official examiner.
An "official examiner"
was defined as "a person designated by the Commissioner to conduct the
certificate, licence or rating tests
prescribed in these regulations for flight
crew members" (reg 1.10). The agreement with the SAAF required that the testing
for these
tests had to be conducted by an inspector from the Directorate or by
an SAAF instructor who had been approved by the Directorate
for such testing.
The designation of a person by the Commissioner is not the exercise
8It was amended by the Aviation Amendment Act 16 of 1992 as from 1 October
1992.
27
of a discretion nor is it a delegation of a function vested in the
Commissioner. It is the performance of an administrative function
vested by the
Minister by regulation in the Commissioner and the Minister's authority to have
done so was derived from s 22(l)(a)bis.
The applicant for these licences was
obliged, as has repeatedly been stressed, to "satisfy the Commissioner . .., in
a written examination,
as to his knowledge of" the prescribed subjects. These
pilots wrote the transport rating course examination. It covered the prescribed
area to the satisfaction of the Commissioner. The regulations do not prescribe
who has to set, mark and monitor the examination.
The Commissioner was entitled
to designate persons to exercise his powers and perform his duties. It was not
alleged that he had
not done so. His designation of members of the SAAF did not
amount to a delegation. He still had to satisfy himself that, as a result
of a
written examination, the candidates had the required knowledge. The regulations
do not require the use of official examiners
for
28
written examinations. The system created by the agreement required of him to
approve the examination papers and to designate external
examiners from his
department. It was not alleged that these licences had been issued otherwise
than in accordance with the terms
of the agreement.
On the assumption that what the Commissioner did had to be done with the
permission of the Commission, it is necessary to consider
whether this was an
issue on the papers before the court. It was only in reply that the point of the
improper delegation of a discretion
was raised for the first time. It was to the
effect that Mr van Zyl (not the Commissioner) , whilst holding a discretion, had
delegated
it to persons not attached to the office of the Commissioner. Mr
Fichardt said in this regard that "ek wil dit onomwonde stel dat
die deponent
[Mr van Zyl] totaal in gebreke gebly het om sy primêre funksie van die
daarstelling en handhawing van standaarde
te vervul deur hierdie funksies aan 'n
militêre owerheid te delegeer." At no stage was the lack of the
Commission's consent
mooted. The appellants were
29
thus not called upon to deal with the issue and the court a quo not entitled
to base its decision on this ground. In any event, as
I have attempted to point
out, there is no substance in the allegation that "die daarstelling en
handhawing van standaarde" had been
delegated to the SAAF.
The final argument raised by counsel for the respondents was that the
appellants have not shown that the Commissioner had complied
with reg 1.15(1) in
setting the dates for the transport rating examination. This regulation enjoins
the Commissioner to publish,
in an AIC, the dates on which examinations are to
be written and the latest date by which application for entrance to each such
examination
are to reach the office of the Director-General of Transport. This
argument was not based on anything said in the papers. The appellants
were never
called upon to deal with it. It is not even apparent that it had been raised in
the court below. In any event, I do not
accept that a licence issued pursuant to
an examination whose dates had not been published in terms of this provision
is
30
invalid. A licence is valid, according to the definition of "valid" in reg
1.3, if all the requirements applicable to such licence,
as prescribed by the
regulations, have been complied with. By no stretch of the imagination can it be
said that the publication of
the date for an examination is a requirement for a
licence. It follows that this argument also stands to be rejected.
In sum, I am of the view that the licences in contention have been issued
properly. In the result the appeal is upheld with costs,
the order of the court
below set aside and replaced with an order dismissing the application with costs
(including the costs of two
counsel).
L T C HARMS JUDGE OF APPEAL
CORBETTT,CJ )
HEFER, JA ) AGREE
F H GROSSKOPF, JA )
VAN COLLER, AJA )