CA118 National Asset Loan Management Ltd -v- Kelleher [2016] IECA 118 (15 April 2016)


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Irish Court of Appeal


You are here: BAILII >> Databases >> Irish Court of Appeal >> National Asset Loan Management Ltd -v- Kelleher [2016] IECA 118 (15 April 2016)
URL: http://www.bailii.org/ie/cases/IECA/2016/CA118.html
Cite as: [2016] IECA 118

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Judgment
Title:
National Asset Loan Management Limited -v- Kelleher
Neutral Citation:
[2016] IECA 118
Court of Appeal Record Number:
2015 172
Date of Delivery:
15/04/2016
Court:
Court of Appeal
Composition of Court:
Finlay Geoghegan J., Peart J., Irvine J.
Judgment by:
Finlay Geoghegan J.
Status:
Approved
Result:
Dismiss
Judgments by
Link to Judgment
Concurring
Finlay Geoghegan J.
Peart J., Irvine J.
Peart J.
Finlay Geoghegan J., Irvine J.



THE COURT OF APPEAL

CIVIL


Finlay Geoghegan J.
Peart J.
Irvine J.

Appeal No. 2015/172
NATIONAL ASSET LOAN MANAGEMENT LIMITED
PLAINTIFF/RESPONDENT
AND

GARRETT KELLEHER

DEFENDANT/APPELLANT

JUDGMENT delivered on the 15th day of April 2016 by Ms. Justice Finlay Geoghegan

1. This appeal raises an important point of procedure which does not appear previously to have been the subject of a written judgment. Further it is agreed between the parties that the point was not expressly adverted to in submission to the trial judge before judgment.

2. The point is as follows. Where, on an application by a plaintiff for summary judgment the defendant seeks leave to defend upon two grounds: (i) a pure defence and (ii) a defence by way of set off of a counterclaim for damages and the judge determines that the pure defence meets the arguable threshold, but the defence in reliance on the counterclaim does not, has the court in remitting the matter to plenary hearing with leave to defend upon the pure defence jurisdiction to preclude the defendant raising the counterclaim and if so, what are the criteria according to which such a decision should be made.

3. The issue arises in this appeal, upon the following facts. The plaintiff issued a summary summons seeking judgment for €46,834,472.35 pursuant to guarantees given by the defendant originally to Irish Bank Resolution Corporation Limited of facilities advanced to companies of which the defendant was the ultimate beneficiary.

4. The plaintiff brought a motion seeking entry to the Commercial List and summary judgment against the defendant in the usual way. The proceedings were entered in the Commercial List and a significant number of affidavits were exchanged on the application for summary judgment.

5. The defendant does not dispute the guarantees entered into nor the amounts owing on the guaranteed facilities. He asserted two defences to the claim against him:

      (i) the plaintiff is estopped from enforcing the guarantees by reason of representations made that if the defendant cooperated with the plaintiff, which he maintains he did, that it would not enforce the guarantees. This defence was referred to as the estoppel defence.

      (ii) the defendant as the ultimate beneficiary of companies collectively referred to by the plaintiff as the “Shelbourne Connection” has a counterclaim against the plaintiff for damages by reason of certain actions of the plaintiff which diminished the value of assets held by companies within the Shelbourne Connection such that the companies were unable to discharge the amounts due on the facilities and also the defendant as ultimate beneficiary is unable to discharge the amounts due under the guarantees. Alternatively it was contended that the amount of the damages recoverable on the counterclaim exceeded the value of the claim against which it might be set off.


High Court hearing and judgment
6. The summary judgment application was heard over two days in the High Court by Fullam J. upon significant affidavit evidence and exhibits. It was not in dispute that the defences sought to be raised had to meet the threshold of arguability or a bona fide defence in accordance with cases such as Aer Rianta v. Ryanair
[2001] 4 IR 607.

7. Fullam J. delivered a written judgment on the 24th February, 2015, in which he identified the two defences raised and having analysed the estoppel defence, concluded that the defendant had an arguable defence on that ground. That finding was not in dispute before this Court.

8. The position in relation to the second ground of defence in reliance upon the counterclaim relating to the Chicago Spire is more complex.

9. The trial judge at paras. 42 and 43 of his judgment set out the defence being advanced and his initial analysis of same in the following terms.

      “42. The defendant’s case is that the plaintiff recklessly sold the Spire loan at a gross undervalue for a price of $35 million when the face value of the loan was in excess of $90 million. He says that had the matter been handled properly the site would have realised the sum of $350 million which would have enabled him to clear his indebtedness in respect of the Spire loan and also his liabilities under the Cratloe and Modillion guarantees. Instead, as a result of the sale of the Spire loan in June, 2013, he has been deprived of the opportunity to clear his indebtedness under the Spire loan and the Cratloe and Modillion guarantees.

      43. The effect of the plaintiff’s contention is that he has a counterclaim for damages which is more than sufficient to offset against any liability under the guarantees in these proceedings. To succeed with such a counterclaim, the defendant acknowledges that he has to establish that ss.10, 11 and 12 of the Act of 2009 impose obligations on NAMA which are more onerous than the normal duties of a mortgagee as set out in Silven Properties Limited v. RBS plc [2004] 1 WLR 997 and approved by the Supreme Court (sic) in Dellway.”

It was common case on appeal that the trial judge intended to refer to the High Court judgment of the Divisional Court in Dellway Investments Limited v. NAMA [2011] 4 I.R. 1 and in particular pp. 76 to 77 rather than the Supreme Court. Nothing turns on this.

10. The trial judge appears to have treated the second defence as one dependent on a counterclaim. He first considered the counterclaim asserted in reliance upon ss. 10, 11 and 12 of the National Assets Management Agency Act 2009 and at para. 49 of his judgment stated:-

      “In my view, these provisions do not impose additional duties on NAMA towards debtors, guarantors or mortgagors over and above the duties of an ordinary mortgagee in respect of the management and realisation of bank assets.”
11. A question has arisen as to whether in the light of the above conclusion that issue is or is not to be considered res judicata between the plaintiff and the defendant herein. This was referred to rather than argued before this Court and it is not necessary to express any view on it for the purposes of the appeal. I only wish to indicate that for the purposes of deciding the appeal I am treating the decision of the trial judge as being that the defendant did not reach the Aer Rianta threshold of arguability on the issue as to whether ss.10, 11 and 12 of the Act of 2009 impose obligations on NAMA (or the plaintiff) which are more onerous than the normal duties of a mortgagee as set out in Silven Properties Limited.

12. Notwithstanding his conclusion on the 2009 Act, the trial judge then continued to consider the affidavit evidence in relation to the alleged sale of the Spire loan at an undervalue. Having done so at para. 56 of his judgment, he concluded:-

      “. . . It is clear from the evidence that, even if the Court accepted the defendant’s submission, that the Act imposed additional obligations on the plaintiff, the sale of the Spire loan in June, 2013 could not have generated sufficient monies to enable the defendant clear his indebtedness arising from the guarantees subject of these proceedings.
In the circumstances, there is no reality in this defence.”

13. The final conclusion of the trial judge was:-

      “57. Using the test prescribed by Hardiman J. in Aer Rianta v. Ryanair Ltd. [2001] 4 IR 607:

        ‘Is it very clear the defendant has no case?”

      58. I answer that in the negative in respect of the estoppel defence and in the affirmative in respect of the counter claim for damage to assets.
I will remit the case for plenary hearing on the first issue, namely that of estoppel.”

14. The defendant on the 25th March, 2015, sought clarification, from the trial judge as to his entitlement to pursue in the plenary proceeding the counterclaim seeking damages for the alleged wrongful actions of the plaintiff. Counsel on his behalf informed this Court, as is apparent from the transcript of a hearing before the trial judge of the 25th March, 2015, that clarification was sought because they did not want to appear to be going behind his judgment on the summary judgment application in pleading a counterclaim. The submission made on behalf of the defendant was that the counterclaim was a claim which he was entitled to pursue pursuant to his constitutional right of access to the courts and that he could pursue it by a separate writ issued but wished to do so by way of counterclaim in the proceedings remitted for plenary hearing. On behalf of the plaintiff it was contended that the second defence advanced was always dependent on the counterclaim; hence even if the defendant were now permitted to pursue the counterclaim the plaintiff would be pleading that it was res judicata. The plaintiff further submitted that the only live issue permitted to remain in the proceedings was the defence of estoppel.

15. The trial judge agreed with the latter submission of counsel for the plaintiff that “on the basis of the judgment given on the 24th February, the only matter that can be pleaded either in defence or by way of counterclaim . . . is the question of estoppel”.

16. It appears that following that hearing on the 25th March, the order of the 24th February, 2015, was perfected and provides:-

      “It is ordered that this action insofar as the point of estoppel is concerned do stand adjourned for plenary hearing as if these proceedings had been commenced by plenary summons.”

Appeal
17. The defendant in the notice of appeal and in the written submissions contended that the High Court does not have jurisdiction to limit the defences which may be raised by a defendant once the court has made an order remitting the entire of the claim to plenary hearing. He did so primarily in reliance upon a judgment of Charleton J. in the High Court in Galvin v. Souter Enterprises Limited [2010] IEHC 215, in which at para. 19, he stated that he was “not entitled to confine the defendants to particular defences”. Nevertheless in doing so Counsel for the defendant recognised that a different view had been taken by Clarke J. in the High Court in G.E. Capital Woodchester Limited v. Aktiv Kapital, Asset Investment Limited and Aktiv Kapital ASA [2009] IEHC 512 and by me in the High Court in Bussoleno Limited v. Kelly [2011] IEHC 220; [2012] 1 ILRM 81 and by Cooke J. in IBRC v. Halpin [2013] IEHC 492.

18. The point, whilst not pressed was not abandoned at the oral hearing and I have therefore reconsidered the issue having regard in particular to the view expressed by Charleton J. in Galvin v. Souter Enterprises which I think may not have been drawn to my attention when I decided Busoleno Limited v. Kelly [2011] IEHC 220; [2012] 1 ILRM 81, in the High Court.

19. Having reconsidered the matter I remain of the view that where on an application for summary judgment the court decides that the defendant has raised an arguable defence to the entire claim such that the court decides to adjourn the full claim for plenary hearing the court may also limit the defences which may be pleaded to those which have met the threshold identified by the Supreme Court in Aer Rianta v. Ryanair and the judgments referred to therein. This conclusion stems from the nature of summary proceedings and the provisions of O. 37, of the Rules of the Superior Courts.

20. The summary summons procedure, in general, may be used where a plaintiff seeks to recover a debt or liquidated demand. As stated by Lavery J. in Prendergast v. Biddle (Unreported, Supreme Court, 31st July, 1957) the procedure “is provided in order to enable speedy justice to be done in particular cases where there is either no issue to be tried or the issues involved are simple and capable of being easily determined”. Peart J. more recently has explained the procedure in Motor Insurers Bureau of Ireland v. Hanley [2006] IEHC 405, [2007] 2 I.R. 591, as being one which provides “a simple, informal, expeditious and inexpensive method of obtaining a final judgment”. Whilst the procedure in Order 37 and case law relating thereto provides for such speedy justice or expeditious method of obtaining a final judgment in those cases where there is no issue to be tried, they also set out a procedure which permits a plenary hearing in relation at least to certain issues where a defendant, in the initial procedure raises a bona fide or arguable defence to part or all of the claim. The motion for liberty to enter final judgment or for summary judgment is the filter mechanism through which such balance is achieved.

21. Order 37, r. 1, requires the motion for summary judgment to be supported by “an affidavit sworn by the plaintiff or by another person who can swear positively to the facts showing that the plaintiff is entitled to the relief claimed and stating that in the belief of the deponent there is no defence to the action”. A defendant who wishes to show cause against such motion is required to do so pursuant to rule 3 by affidavit and such affidavit must state “whether the defence alleged goes to the whole or part only, and (if so) to what part, of the plaintiffs claim”.

22. Order 37, r. 7 and 10, are most relevant to the Court’s general jurisdiction on hearing the motion for summary judgment. These provide:

      “7. Upon the hearing of any such motion by the Court, the Court may give judgement for the relief to which the plaintiff may appear to be entitled or may dismiss the action or may adjourn the case for plenary hearing as if the proceedings had been originated by plenary summons, with such directions as to pleadings or discovery or settlement of issues or otherwise as may be appropriate, and generally may make such order for determination of the questions in issue in the action as may seem just.

      . . .

      10. Leave to defend may be given unconditionally or subject to such terms as to give security, or time and mode of trial or otherwise as the Court may think fit.”

23. Rule 8 makes express provision for the granting of judgment for part of a claim and permitting a defendant to defend only as to the residue of the plaintiff’s claim. Rule 9 expressly permits judgment to be given against one defendant only and to remit a claim against other defendants who set up a good defence. Notwithstanding that rules 8 and 9 make express provision for those two situations it appears to me that the general jurisdiction given to the Court to give directions under rule 7 and under rule 10 to grant leave to defend “subject to such terms as to . . . or otherwise as the court may think fit” gives the Court discretion to grant leave to defend subject to terms which provide for a fair and efficient hearing for all parties of the issues in dispute having regard to the claim in the summary summons and any bona fide defence raised by the affidavits. Such an approach is in the interests of the good and fair administration of justice. Where a defendant in the affidavit sworn pursuant to O. 37, r. 3, purports to “show cause” in the sense to indicating the availability of two or more arguable or bona fide defences and upon the hearing of the motion the Court decides that only one defence is arguable or bona fide, then it is consistent with Order 37 and the filter procedure envisaged for claims permitted to be commenced by summary summons and the fair, efficient and cost effective administration of justice that the Court may impose terms restricting the defence to that which meets the bona fide or arguable threshold. They are the issues which have been determined to be in dispute in the proceedings and which require a plenary hearing. To conclude otherwise would undermine the balance sought to be achieved by the procedure of Order 37.

24. Accordingly, in my view the trial judge herein was entitled on adjourning the plaintiff’s claim to plenary hearing to impose a term as a condition of the leave to defend, that the defendant might only plead the defence which he decided met the bona fide threshold.

25. The further question is where, as in this instance, leave to defend in relation to one defence which is a pure defence is granted but a second defence in reliance upon an alleged entitlement to set off a counterclaim is not considered to meet the bona fide threshold may the Court not only preclude the second defence being pleaded but also impose a term precluding the defendant from raising the counterclaim as a pure counterclaim?

26. Counsel for the defendant submitted that even if the Court on hearing the motion for summary judgment may in remitting a summary claim for plenary hearing restrict the defences to a single defence it had no jurisdiction to preclude the bringing of the counterclaim by the defendant. He submits that pursuant to Order 37 the plaintiff’s claim has now been remitted for plenary hearing “as if it had been commenced by plenary summons”. Accordingly, he contends that the defendant may pursuant to O. 19, r. 2, plead with his defence a counterclaim. O. 19, r. 2 provides:

      “A defendant in an action may set-off, or set up by way of counterclaim against the claims of the plaintiff, any right or claim, whether such set-off or counterclaim sound in damages or not, and such set-off or counterclaim shall have the same effect as a cross action, so as to enable the Court to pronounce a final judgement in the same action, both on the original and on the cross claim. But the Court may, on the application of the plaintiff before trial, if in the opinion of the Court such set-off or counterclaim cannot be conveniently disposed of in the pending action, or ought not to be allowed, refuse permission to the defendant to avail himself thereof.”
27. Counsel for the defendant acknowledges that the Court would have jurisdiction pursuant to O. 10, r. 2, to preclude the pursuit of the counterclaim in the present proceedings but submits that any such decision would have to be made subsequent to the delivery of the counterclaim and different considerations apply. Further he recognises that an application could be made by the plaintiff to strike out the counterclaim on the grounds that it discloses no reasonable cause of action pursuant to O. 19, r. 28 or the inherent jurisdiction of the court, but again it is submitted that different principles apply.

28. The real question appears to me to be whether the jurisdiction given to the court upon the hearing of an application for summary judgment pursuant to O. 37, r. 10 is sufficiently wide to permit it to make an order, as a condition of leave to defend, precluding a defendant setting up a counterclaim. My conclusion is that the court does have such a jurisdiction.

29. Order 19, sets out the rules which apply, in general, to pleadings. Order 37 applies specifically to summary proceedings. Further, O. 37, r. 7, whilst providing that the court may adjourn the case for plenary hearing “as if the proceedings had been originated by plenary summons” also expressly gives the court jurisdiction to make “such directions as to pleadings . . . as may be appropriate” and also more generally to make “such order for determination of the questions in issue in the action as may seem just”.

30. In my judgment O. 37, rules 7 and 10, together give the Court a wide discretion to make orders in relation to pleadings including orders which both restrict defences which may be raised and also restrict the pursuit of a counterclaim where this appears appropriate for the fair determination of the plaintiff's claim having regard to the real or bona fide issues in dispute as determined by the claim in the summons and the decision made by the court at the time of the motion for summary judgment on the affidavit evidence in relation to the claim and any defence and counterclaim sought to be advanced by the defendant. In particular, where as in this instance the defendant has sought to advance a defence which is dependent upon an asserted entitlement to set off of a counterclaim and on the motion for summary judgment the High Court judge has determined that the substance of the counterclaim does not meet the Aer Rianta threshold then the Court has jurisdiction and is properly entitled to conclude that the plaintiff is entitled to have its claim against the defendant determined in proceedings where the only issues in the proceedings should be those which are required to be determined by reason of a bona fide defence which has met the requisite Aer Rianta threshold. Such an approach is consistent with the general powers given to the court pursuant to O. 37, r. 7 and 10 which appear aimed at ensuring that a claim which is of a type which may be brought by summary summons proceeds to final determination in an efficient and cost effective manner whilst having regard to the right of a defendant to pursue in a full plenary hearing either a defence which meets the bona fide threshold or in certain circumstances a counterclaim which also meets the same threshold both as to its substance and as to its entitlement to be set off against the plaintiff's claim.

31. The Court was referred to applicable principles set out by Clarke J. in the High Court in Moohan v. S. & R. Motors (Donegal) Limited [2007] IEHC 435, [2008] 3 IR 650 at p.656 where on an application for summary judgment the single defence advanced is one to set off a counterclaim or cross claim. Whilst those principles do not determine the questions at issue on this appeal nevertheless the judgment is of assistance. It indicates, I would respectfully say correctly, that when as in these proceedings a defendant contends for a bona fide defence which is to set off a counterclaim or cross claim there are two separate questions which the court must address in considering whether the defence meets the Aer Rianta threshold. A court must consider both whether the connection between the plaintiff’s claim and the counterclaim or cross claim of the defendant is such as to establish a prima facie entitlement of the defendant to set off in equity the amount recoverable on the counterclaim and also whether or not the substance of the counterclaim itself reaches the arguable or bona fide threshold. Both questions must be answered in favour of the defendant to establish a bona fide defence. Unless the counterclaim or cross claim itself meets the Aer Rianta threshold irrespective of the position in relation to set off it cannot constitute a prima facie defence.

32. In his judgment Fullam J. considered the substance of the counterclaim and concluded (at minimum) that it did not meet the Aer Rianta or bona fide threshold. In those circumstances it was unnecessary for him to consider in any detail the entitlement to set off any amount which might be recoverable pursuant to the alleged counterclaim.

33. The parties accept that they did not make submissions to the trial judge as to the consequences of his finding that the estoppel defence met the Aer Rianta threshold, but concluding that the defence reliant upon the counterclaim did not. Obviously, it would have been preferable that the parties had considered and made submissions on such an outcome at the first hearing. If that had been done the trial judge would have had the opportunity of considering explicitly what is undoubtedly a separate and distinct question as to whether in addition to restricting the defences to the single estoppel defence he should also make an order precluding the defendant from making any counterclaim in the proceedings and in particular the counterclaim which he had rejected as meeting the Aer Rianta threshold.

34. The parties indicated to this Court, that if it found that there was jurisdiction to make an order pursuant to O. 37, preventing the defendant raising a counterclaim in the proceedings, that the question of whether such a restriction should be imposed on the facts herein should not be remitted to the High Court but that this Court should now determine the issue on this appeal.

35. In summary the defendant submits that the facts upon which he proposes relying for the estoppel defence includes facts relating to the sale of the Chicago Spire loan and that there is therefore a significant potential overlap between the factual basis of the defence he is permitted to pursue and the counterclaim in respect of which he submits he has a constitutional right of access to the courts and which he could now pursue in separate proceedings. The plaintiff disputes this and refers not only to the issues raised by the 2009 Act and the position of the plaintiff but also to further objections it made in the High court to the counterclaim being sought to be advanced by the defendant. These include that the assets which it is alleged were diminished in value are not assets personally owned by the defendant but by companies which are separate legal persons and in whom any such alleged claim vests.

36. In my judgment, the counterclaim which the defendant seeks to pursue raises a significant number of issues both legal and factual which do not arise on the estoppel defence as pleaded and the Reply delivered thereto. It appears probable that if the defendant were permitted to pursue the counterclaim in the proceedings it would greatly increase the issues, both legal and factual and hence increase the costs and time required to hear and decide the proceedings. In circumstances where the trial judge concluded, at minimum, that the substance of the counterclaim did not meet the Aer Rianta threshold and having regard to the nature of the counterclaim and the nature of the plaintiff's claim and the fact neither the guarantees nor the amounts are in dispute I have concluded that it is in the interest of justice that the plaintiff's claim be determined in proceedings where the only issues which may be pursued are those pursuant to the estoppel defence which is considered to have met the Aer Rianta threshold.

37. Accordingly, I would dismiss the appeal.


JUDGMENT OF MR JUSTICE MICHAEL PEART DELIVERED ON THE 15TH DAY OF APRIL 2016

1. This is an appeal against an order made by Fullam J. in the Commercial Court on the 24th February 2015 when he adjourned these summary summons proceedings to a plenary hearing, but limited to the single issue as to whether NAMA is estopped from enforcing certain guarantees against Mr Kelleher by virtue of alleged representations made and assurances given to him after the underlying loans had been transferred into NAMA and while he was engaging with NAMA in relation to the security assets.

2. In the proceedings NAMA seeks to recover a sum in excess of €46 million plus interest from Mr Kelleher on foot of his guarantees which were executed as part of the security provided for certain loans advanced by former Anglo Irish Bank to corporate entities, together known as the ‘Shelbourne Connection’ of which Mr Kelleher is in reality the beneficial owner.

3. The guarantees were given firstly in respect of a loan facility dated 16th June 2005 granted to CWD Properties Ltd to assist with its development of lands at Cratloe, Co. Limerick (‘the Cratloe Facility’), and secondly in respect of loan facilities granted to certain entities within the Shelbourne Connection to assist with their development projects in Dublin and in Belgium (the ‘Modillion Facilities’). The total indebtedness of these corporate entities on foot of these facilities runs to almost €260 million. However, the liability of Mr Kelleher on foot of his guarantees is capped at €50 million.

4. The issue on the appeal is whether the defendant ought to have been permitted by the trial judge to raise by way of a counterclaim one of the issues which he had raised by way of defence in his replying affidavits, but which was found by the trial judge not to meet the test in Aer Rianta v. Ryanair [2001] 4 IR 607, or to put it another way, whether the trial judge was entitled to preclude the defendant from pursuing what he now submits is essentially a counterclaim rather than a defence, and therefore not an issue which requires to pass the Aer Rianta test at all.

5. That issue sought to be raised by way of counterclaim is whether NAMA breached its duty as mortgagee and in particular the duty imposed upon NAMA by sections 10 and 11 of the NAMA Act, and by doing so wrongly exposed the defendant to a liability on foot of his guarantees. In general terms Mr Kelleher argued before Fullam J. that NAMA sold what has been referred to as the Chicago Spire loan at a fire sale price, and that by failing to maximise the real potential value of the proposed Chicago Spire development which, if achieved, would have enabled all of the Shelbourne Connection loans to be repaid in full, he was left with a liability under his guarantees which he ought not and would not have otherwise had.

6. For the avoidance of any doubt I should make clear that the guarantees on foot of which Mr Kelleher is sued in these proceedings did not form part of the security for any of the loans made in respect of the Chicago Spire development, and were confined to the Cratloe facility and Modillion facilities.

7. NAMA’s motion for summary judgment was heard on affidavit over three days. The transcripts of those days’ hearings have been made available on this appeal. It is clear from a reading of those transcripts that the issue arising from the sale of the Chicago Spire loan at an undervalue was argued as being a ground of defence. It was not referred to as being a counterclaim before the trial judge until after judgment had been given, and only when counsel for the defendant sought a clarification from Mr Justice Fullam as to whether his ruling was intended to limit the plenary hearing to the estoppel issue alone, and that he was precluding the defendant from bringing a counterclaim for damages arising from the sale of the Chicago Spire loan. The trial judge made it clear that this was his intention. In his written judgment, having examined the ground put forward in respect of this issue, he had concluded that “in the circumstances there is no reality in this defence”, and by reference to the Aer Rianta test - is it very clear the defendant has no case? - he answered this question in the negative in respect of the estoppel issue but in the affirmative in relation to the Chicago Spire loan issue.

8. It is accepted on both sides that when the matter was argued in the High Court the question of how the counterclaim should be dealt with in the event that the matter was being sent forward to plenary hearing on the estoppel defence was not addressed specifically, though in written submissions reference had been made to cases such as Prendergast v. Biddle, unreported, Supreme Court, 31st July 1957, and to the judgment of Clarke J. in the High Court in Moohan v. S & R Motors (Donegal) Limited [2008] I.R. 650. Nevertheless, the trial judge was clearly alert to the fact that in reality the Chicago Spire issue is a claim for damages (i.e. a counterclaim) rather than a defence to the plaintiff’s claim on the guarantees, as he stated at the outset of his consideration of it in his judgment at para. 43:-

      “43. The effect of the plaintiff’s [sic] contention is that he has a counterclaim for damages which is more than sufficient to offset against any liability under the guarantees in these proceedings. To succeed with such a counterclaim, the defendant acknowledges that he has to establish that ss. 10, 11 and 12 of the Act of 2009 impose obligations on NAMA which are more onerous than the normal duties of a mortgagee as set out in Silven Properties and approved by the Supreme Court in Dellway.”
9. During the course of his judgment, Fullam J. referred to the valuation evidence put forward by the defendant which put the potential value of a completed Chicago Spire development at $350 million, and to the evidence put forward by NAMA’s valuer, which included an averment that even if the defendant’s valuations were accepted in full and on a gross basis i.e. $350 million for the Chicago Spire development and $50 million for the secured assets of the Shelbourne Connection, there would still remain a nett liability of €98 million, which would still leave the defendant exposed to the maximum liability under his guarantees. It was in such circumstances that the trial judge expressed his conclusion that “there was no reality in this defence”, and following the delivery of judgment made it clear that he was refusing to allow the issue to be raised even as a counterclaim.

10. The defendant submits that the trial judge erred in concluding that there was no reality to the counterclaim, and in excluding it as an issue in the plenary hearing. He emphasises on this appeal that the Chicago Spire issue is not a defence as such to the plaintiff’s claim, but is rather an independent claim or cross-claim for damages which, if successful, would entitle him to an equitable set-off against any sum found to be due to the plaintiff. As such, it is submitted, it is a separate claim which could, if necessary, be brought against the plaintiff in separate proceedings without any leave of the court. However it is submitted that since it is closely linked to the plaintiff’s claim, and the evidence supporting the estoppel defence will be relevant to the Chicago Spire loan issue, at least in part, it would be convenient, including by way of saving in court time and costs, for it to be litigated as part of the plaintiff’s proceedings which have in any event been sent forward to plenary hearing on the estoppel issue.

11. The defendant has submitted that where the Court hears a contested motion for judgment in summary proceedings, the question to be determined on that motion is confined to whether the defendant has established the probability that he has a bona fide defence, or, as it is put in Aer Rianta “whether it is very clear that the defendant has no defence”. It is submitted that this does not involve any engagement with the merits or otherwise of any counterclaim which the defendant may wish to bring, whether it is raised on the replying affidavits or not, and that where a plenary hearing has been directed with appropriate directions as to delivery of statement of claim (if required) and defence (in this case on the issue of estoppel) the defendant may include a counterclaim as of right, since in any event he could bring that claim in separate proceedings without any leave to do so from the Court.

12. The plaintiff has made it clear that in the event that new separate proceedings are issued in order to litigate the counterclaim, it will argue that the issues raised by way of counterclaim are res judicata as a result of the finding of Fullam J. that there is no reality to the claims and his refusal to permit it to be litigated in these proceedings. Indeed at para. 3 of its Reply to Defence delivered on 13th April 2015 in answer to the defendant’s Defence (limited to the estoppel, but nevertheless referencing the Chicago Spire issue) the plaintiff has pleaded that the defendant is precluded from relying in any way upon matters related to the Chicago Spire because they are res judicata. The defendant submits that these issues could not be considered res judicata given the very limited consideration of them which can take place on a motion for judgment heard only on affidavit evidence, but that in the light of that plea made by the plaintiff, it is all the more necessary that the defendant be permitted to make his case for damages by way of counterclaim in the present proceedings, rather than be met with a res judicata plea in any new proceedings. In reality, however, even if this matter is permitted to be pleaded in these proceedings by way of counterclaim, the plaintiff could still bring a motion to have the counterclaim struck out on the basis that the issue is res judicata, since if this Court was to permit the counterclaim to be pleaded it would be doing so on a jurisdictional basis only, and not by concluding as to the merits of that counterclaim, or expressing any view as to whether it is res judicata.

13. The defendant accepts that if new proceedings were issued, the plaintiff might decide to bring an application to strike out the claim on the basis of abuse of process or that the claim is one that is bound to fail. Equally, he accepts that if he is successful in this appeal to the extent that he ought not to have been prevented from pleading the counterclaim with his Defence on the estoppel issue, he might be faced with a similar motion to strike out the counterclaim. However, while that may be something to be faced, he points to the fact that on any such application the plaintiff seeking to have the claim struck out would have to satisfy the court that taking the defendant’s case at its highest it was bound to fail or disclosed no reasonable cause of action - a test which the defendant submits is a different and more onerous test to the Aer Rianta test applied by the trial judge when excluding the counterclaim from the ambit of the plenary hearing.

14. The defendant submits that any question of assessing the merits of a defendant’s counterclaim arises only in the event that the plaintiff obtains judgment on a motion for judgment and thereafter the defendant seeking a stay on that judgment until such time as the counterclaim is determined. The Court in such circumstances would be entitled to assess the merit of the counterclaim as part of the exercise normally to be undertaken when deciding whether or not to grant a stay, but that it does not arise where the plaintiff’s claim is being adjourned to a plenary hearing in any event, as in the present case.

15. In this regard, Michael Cush SC for the defendant has referred to the judgment of Clarke J. in Moohan v. S & R Motors (Donegal) Limited [supra] where he considered how a cross-claim which might give rise to an equitable set-off was to be treated in a case where there was no defence as such found to pass the Aer Rianta test, and where the plaintiff was entitled to judgment on his claim against the defendant. That consideration involved a consideration of the judgment of Kingsmill Moore J. in Prendergast v. Biddle [supra]. Commencing at para. 9 of his judgment, Clarke J. stated the following:

      "9. Where the nature of the defence put forward amounts to a form of cross-claim slightly different considerations may apply. In those circumstances the court has a wide discretion. Where the defendant does not establish a bona fide defence to the claim as such, but maintains that he has a cross-claim against the plaintiff, then the first question which needs to be determined is as to whether that cross-claim would give rise to a defence in equity to the proceedings. It is clear from Prendergast v. Biddle (unreported, Supreme Court 31st July 1957) that the test as to whether a cross-claim gives rise to a defence in equity depends upon whether the cross-claim stems from the same set of facts (such as the same contract) as gives rise to the primary claim. If it does, then an equitable set-off is available so that the debt arising on the claim will be disallowed to the extent that the cross-claim may be set out.

      10. On the other hand if the cross-claim arises from some independent set of circumstances then the claim (unless it can be defended on separate grounds) will have to be allowed, but the defendant may be able to establish a counterclaim in due course, which may in whole or in part be set against the claim. What the position is to be in the intervening period creates a difficulty as explained by Kingsmill Moore J. in Prendergast v. Biddle … in the following terms at p. 24:-


        ‘On the one hand it may be asked why a plaintiff with a proved and perhaps uncontested claim should wait for judgment or execution of judgment on his claim because the defendant asserts a plausible but unproved and contested counterclaim. On the other hand it may equally be asked why a defendant should be required to pay the plaintiff’s demand when he asserts and may be able to prove that the plaintiff owes him a larger amount.’

      11. The court’s discretion is to be exercised on the basis of the principles set out by Kingsmill Moore J. later in the course of the same judgment in the following terms at p. 25:

        ‘It seems to me that a judge in exercising his discretion may take into account the apparent strength of the counterclaim and the answer suggested to it, the conduct of the parties and the promptitude with which they have asserted their claims, the nature of their claims and also the financial position of the parties. If, for instance, the defendant could show that the plaintiff was in embarrassed circumstances it might be considered a reason why the plaintiff should not be allowed to get judgement, or execute judgement on his claim until after the counterclaim had been heard, for the plaintiff having received payment might use the money to pay his debts or otherwise dissipate it so that judgment on the counterclaim would be fruitless. I mention only some of the factors which a judge before whom the application comes may have to take into consideration in the exercise of this discretion.’

      12. It seems to me that it also follows that a court in determining whether a set-off in equity may be available, so as to provide a defence to the claim itself, also has to have regard to the fact that the set-off is equitable in nature and, it follows, a defendant seeking to assert such a set off must himself do equity.

      13. On that basis the overall approach to a case such as this (involving, as it does, a cross-claim) seems to me to be the following: -


        (a) it is firstly necessary to determine whether the defendant has established a defence as such to the plaintiff’s claim. In order for the asserted cross-claim to amount to a defence as such, it must arguably give rise to a set-off in equity and must, thus, stem from the same set of circumstances as give rise to the claim but also arise in circumstances where, on the basis of the defendant’s case, it would not be inequitable to allow the asserted set-off;

        (b) if and to the extent that a prima facie case for such a set off arises, the defendant will be taken to have established a defence to the proceedings and should be given liberty to defend the entire (or an appropriate proportion of) the claim (or have same, in a case such as that with which I am concerned, referred to arbitration);

        (c) if the cross-claim amounts to an independent claim then judgment should be entered on the claim but the question of whether execution of such judgments should be stayed must be determined in the discretion of the court by reference to the principles set out by Kingsmill Moore J. in Prendergast v. Biddle … ”.

16. Mr. Cush Submits accordingly that the merit or strength of the cross-claim comes into play only when the Court is being asked to consider the question of a stay on a judgment to which the plaintiff is otherwise entitled to, and that it is clearly envisaged that even though the defendant may not be permitted to defend the plaintiff’s claim, he may nevertheless litigate a counterclaim, the only question then remaining being whether or not the plaintiff’s judgment should be stayed in the meantime, that being a matter for the Court’s discretion. However, as Mr Cush emphasises, there is no question of a stay in the present case as it has been adjourned to plenary hearing on the estoppel issue in any event, so the Court is not concerned as to how to exercise that discretion, and is confined to considering whether the defendant can be shut out from having the cross-claim litigated as a counterclaim in the present proceedings.

17. Declan McGrath SC for NAMA submits first of all that throughout the hearing of the motion for judgment in the High Court the Chicago Spire issue was dealt with only as a point of defence and not dealt with as a counterclaim, and that the defendant ought not now be entitled to argue on a different basis now. In a strict sense that is correct. However, I noted on going through the transcripts of the hearing in the High Court that towards the end of his submissions moving the motion, Brian O’Moore SC for NAMA, having made reference to Prendergast v. Biddle and to Moohan v. S & R Motors, and to what he considered to be the weakness of the Chicago Spire issue, stated the following at page 60, Day 2:

      “So even if, I have given many reasons why he shouldn’t be, but even if Mr Kelleher is in a position to assert either directly or through SDWS some entitlement in relation to the Chicago Spire the appropriate order is summary judgement and then some directions as to a counterclaim that may be, or an independent claim that may be pursued. But in truth I don’t press that, judge, because it seems in our submission clear that nothing in relation to the Chicago Spire stacks up as a defence, still less as a counterclaim. It is simply extending the procedure to facilitate a claim being made in that regard even if summary judgement is granted against Mr Kelleher now, that option may be open to the Court but we say on the facts and on the legal status, sorry, on the legal authorities that that would not be the preferred option as far as NAMA is concerned.”
18. In the immediate aftermath of that submission, he went on at the judge’s invitation to expand further on that matter, and said:
      “Well if the Court was of the view that a claim in relation to the Chicago Spire could be maintained taking into account all of the provisions set out by Mr Justice Clarke and Mr Justice Kingsmill Moore, then the appropriate step would be to enter judgment against Mr. Kelleher and then hear the parties about the circumstances and directions required for the maintenance of the counterclaim, or sorry the claims. It is not in truth a proper counterclaim. But what Prendergast v. Biddle makes clear is that the giving of any such directions in no way prevents execution on the summary judgment. That is why the status of the plaintiff is important. Because if the plaintiff was not meant to be a mark on the independent claim there may be some restriction on the summary judgment being executed but here that simply isn’t the case, because NAMA is clearly a mark on any view.”
19. That exchange with the trial judge, however, did not consider the possibility that the estoppel defence would be found to be arguable and what, in such circumstances, should become of the Chicago Spire issue in the context of it being a counterclaim as opposed to a potential defence. It was immediately thereafter that Mr Cush commenced the defendant’s submissions. He identified two issues which would be submitted to constitute prima defences, namely the estoppel issue and the Chicago Spire issue. The latter was at no stage addressed on the basis that it was in the nature of a counterclaim. At the conclusion of his own submissions which were confined to the estoppel defence, Mr Cush informed the trial judge that Shane Murphy SC would address the Court “on the detail of that second line of defence (emphasis added) i.e. the alleged reckless sale of the Chicago Spire loan at what the defendant argues was in the order of just 10% of what he considers to have been the full potential value of that development, if its value had been maximised. The issue was then addressed by Mr Murphy solely on the basis that this issue was a potential point of defence. In fact, what is now stated to be the reality of the issue, namely that it is a counterclaim and not a defence as such to the claim on the guarantees, was not referred to at all during Mr Murphy’s submissions.

20. It is hardly surprising therefore that the trial judge examined whether that issue passed the Aer Rianta test as a bona fide defence being advanced by the defendant. In the event, he decided that while the estoppel issue met the test, the Chicago Spire issue did not. As I have mentioned already, it was only after judgment had been handed down, but before the order adjourning the case to plenary hearing on the estoppel issue was perfected that the defendant sought to raise the question of whether the order to be made excluded the possibility for the defendant to raise the Chicago Spire issue as a counterclaim. As stated already, the trial judge made it clear that on that occasion that he was not permitting the issue to be raised as a counterclaim. The order as drawn makes no reference to any counterclaim. It simply refers to the case being adjourned to plenary hearing on the single issue of estoppel.

21. In so far as the trial judge made it clear that his intention was to confine the plenary hearing to the single issue of estoppel, and that the counterclaim could not be pleaded as part of any Defence which the defendant would deliver, on the basis that there was “no reality in this defence”, the defendant appeals to this Court on the basis that the trial judge exceeded his jurisdiction under O. 37 RSC by reaching a conclusion on the merits of what was, according to the defendant’s submissions before this Court at least, not in fact a defence but rather a counterclaim, even if it was never presented to the trial judge on that basis.

22. In relation to the point made that the issue was never raised in the High Court as being a counterclaim (and therefore arguably is something which the defendant ought not now be entitled to argue on appeal) Declan McGrath SC for NAMA does not ask this Court to send the issue back to the High Court. I think that is the correct approach given the fact that it was ventilated, albeit late in the day, after the matter was raised with the trial judge between the delivery of judgment and the perfecting of the order.

Discussion
23. The availability to a plaintiff of a procedure by way of summary summons enables a plaintiff who is owed by a defendant a money debt which can be easily ascertained by means of arithmetic calculation to obtain judgment for that debt by a simplified procedure and therefore more expeditiously than if the claim was commenced by way of plenary summons. That was recognised by Lavery J. in Prendergast v. Biddle [supra] when he stated:

      “The procedure by summary summons is provided in order to enable speedy justice to be done in particular cases where there is either no issue to be tried or the issues involved are simple and capable of being easily determined”.
24. Hence a defendant who wishes to defend against such a claim must, unlike a defendant to a plenary summons, must first satisfy the Court on a motion for judgment brought by the plaintiff, that he has a bona fide and arguable defence. This requirement ensures as far as possible, and in a way that ensures that justice is done to each party, that a plaintiff in such a claim is not unjustly delayed in getting a judgment by a defendant who either admits the debt, or merely asserts a denial of the debt without putting forward an evidential basis or otherwise substantiating the basis for his denial. O’Dalaigh J. (as he then was) emphasised the importance of this summary procedure in respect of liquidated claims in his judgment in Prendergast v. Biddle [supra] when he stated:
      “That the Rules of 1926 permit a judge to enter up judgment for a liquidated sum admitted to be due is not a matter for surprise. The law attaches to a judgment debt several privileges. Moreover as payments of debts in certain circumstances are made in order of priority the prompt obtaining of judgment is also generally a matter of importance”.
25. The filter mechanism provided in O. 37 of the Rules of the Superior Courts whereby the Court may assess the merits of a defence put up by the defendant on affidavit to the plaintiff’s claim enables the Court to strike an appropriate balance between the plaintiff’s right to obtain an expeditious judgment for a debt claimed to be due, and the defendant’s right to have a reasonable opportunity to advance his defence to that claim by being given leave to defend.

26. Where the Court is satisfied that a bona fide defence is raised by the defendant on his affidavit(s) and that a plenary hearing should take place, the Court under O. 37, r. 3 of the Rules of the Superior Courts may give such directions as to pleadings, and also “may make such order for determination of the questions in issue in the action as may seem just”. It is clear that these provisions give the Court a wide discretion as to the manner in which the case proceeds to a plenary hearing in order to ensure that justice between the parties is done. The most usual order made when a bona fide defence is found to exist is one adjourning the case to plenary hearing and directing the plaintiff to deliver a statement of claim within, say, twenty one days, and permitting the defendant to deliver his defence within a similar period from the date of receipt of that statement of claim.

27. However, as was made clear by Finlay Geoghegan J. in Bussoleno Ltd v. Kelly [2012] 1 ILRM 81, where the defendant raises in his affidavits a number of different issues by way of defence to the plaintiff’s claim, the Court may decide that not all the issues raised are sufficiently substantiated by evidence or arguable in order to pass the test, and in such circumstances the Court may limit the defence of the claim to a specific issue or issues, as indeed happened in the present case where Fullam J. directed a plenary hearing but confined to the single issue of estoppel.

28. There can, of course, be cases where not only does the defendant raise defence to the claim, but indicates that he has in addition to a defence a counterclaim which he wishes to have heard at the same time as the plaintiff’s claim. ,Where such a counterclaim arises from, say, the same contract on foot of which the plaintiff sues, little difficulty arises in deciding that it is convenient for the counterclaim to be permitted to be determined as part of the proceedings sent for plenary hearing. ,For example, the plaintiff, a builder, may sue for money due on foot of a contract to build a house for the defendant. While, strictly speaking, there is no defence as such to the amount claimed by the plaintiff on foot of such a contract the defendant may seek to counterclaim for damages for bad workmanship, and set off those damages against the amount due under the contract. Such a counterclaim amounts to a defence by way of equitable set off. In such a case, there is little difficulty in concluding that it is mutually convenient for the counterclaim to be dealt with in the same plenary hearing as the plaintiff’s claim. But because the counterclaim is in reality a defence to the claim by way of equitable set off, an examination of the merits of such a counterclaim may be undertaken by the Court in deciding whether a plenary hearing should be directed in respect of that defence by way of counterclaim. Such situations have been considered in cases such as, inter alia, Prendergast v. Biddle [supra], Agra Trading Ltd v. Minister for Agriculture, High Court (Barrington J.) 19th May 1983, Soanes v. Leisure Corporation International Ltd, High Court (Geoghegan J.) 18th December 1992, McGrath v. O’Driscoll [200] IEHC, [2007] ILRM 203, and Moohan v. S & R Motors (Donegal) Ltd [2007] IEHC 435, [2008] 3 IR 650.

29. It is important to distinguish between a defence put forward by way of counterclaim, and which gives rise to an equitable set off, and a counterclaim which is in fact an independent claim, and not one which naturally arises from the same factual basis for the plaintiff’s claim. This is something which is specifically mentioned by Clarke J. in his judgment in Moohan v. S & R Motors (Donegal) Ltd in para. 13 in the passage quoted at para.15 above. He distinguishes between a cross-claim or counterclaim which amounts to a defence to the plaintiff’s claim giving rise to an equitable set off, and one which is simply an independent claim arising on different facts altogether. It is clear from what he states in his para. 13 that in respect of the former which is put up by way of a defence, the Court will assess its as a defence, and if it passes muster in that regard, the Court will not enter judgment for the plaintiff, and the defendant will be permitted to defend the claim in full. I think it would follow also that if it is clear that the maximum value of the cross-claim by way of equitable set off will be less than the amount of the plaintiff’s claim, then the plaintiff may be entitled to get judgment for part of the sum claimed, with the balance being adjourned to a plenary hearing.

30. But where the cross-claim amounts to an independent claim (i.e. arising from different facts) it is not considered to be a defence by way of equitable set off at all. That link between the plaintiff’s claim and the defendant’s counterclaim is absent. In such circumstances, as explained by Clarke J. in Moohan v. S & R Motors (Donegal) Ltd, where there is no other defence considered to exist to the plaintiff’s claim, the plaintiff will probably be found entitled to judgment on his claim, and the only further question arising will be whether that judgment should be stayed pending the determination of the defendant’s independent counterclaim, and whether that counterclaim can be more conveniently dealt with by adjourning the proceedings to a plenary hearing on that counterclaim alone, or whether, instead, the defendant should commence separate proceedings against the defendant in respect of the counterclaim. But in such a case, the Court will give judgment (with or without a stay thereon) and will adjourn the proceedings to a plenary hearing on the defendant’s counterclaim. The Court in such a case is not concerned with the merit of the asserted counterclaim, unless as part of its consideration as of to the exercise its discretion to grant a stay on the plaintiff’s judgment or not pending the determination of the counterclaim. But the important point is that the defendant is entitled to litigate that counterclaim (with or without a stay on the plaintiff’s judgment) either in those proceedings or in separate proceedings, without any leave of the court.

31. In none of the cases discussed thus far has consideration been given to the situation which exists in the present proceedings, namely where the Court has been satisfied that one ground of defence (estoppel) put forward meets the required test and a plenary hearing has been directed on that issue alone, and where the defendant wishes in addition to that estoppel defence raise a counterclaim, not by way of an equitable set off, but in respect of an independent claim. It is correct in my view to see the counterclaim sought to be argued in these proceedings arising from the manner in which the plaintiff sold the Chicago Spire loan as being an independent claim and not a counterclaim giving rise to a defence by way of an equitable set off. In my view, that claim does not arise from the guarantees on foot of which the plaintiff sues. Those guarantees are not backing any loan that was advanced in relation to the Chicago Spire development. The representations relied upon as giving rise to an estoppel in respect of claims made under the guarantees sued upon have nothing to do with the claims being made as to the reckless disposal of the Chicago Spire loan. Another factor is that it is certainly arguable that any claim made in relation to the sale of the Chicago Spire loan at an undervalue is a not a claim maintainable by the defendant personally, but rather by the companies involved in that development project.

32. The question remains as to how the counterclaim which the defendant indicated it wished to bring ought to have been dealt with in the court below after it was clarified by the defendant following the trial judge’s judgment (and prior to the perfection of any order) that he wished to bring it as a counterclaim, even though the point had been rejected as meeting the required test as a defence as such to the plaintiff’s claim. While I have set forth above an exchange between Mr O’Moore and the trial judge in relation to how the issue of a potential counterclaim should be dealt with, it was only discussed in a context where no defence was found to exist and where judgment was being entered for the plaintiff, and how the counterclaim would then be dealt with in accordance with Prendergast v. Biddle. There was no discussion at that stage as to what the position would be where the matter was in any event being adjourned to a plenary hearing on the estoppel defence. When the trial judge was asked by the defendant to clarify if he intended by his ruling that the defendant was prohibited from pleading his counterclaim when delivering his Defence on the estoppel issue, and he so confirmed that such was his intention, there was no elaboration of his reasons for so concluding. There is a lack of clarity as to the basis on which the trial judge excluded the defendant from pursuing his intended counterclaim.

33. But in the light of Mr McGrath’s assurance that he was not asking this Court to send the matter back to the trial judge on the issue of the counterclaim, I am satisfied that this Court should reach its own conclusion as to the defendant’s entitlement to continue to pursue the Chicago Spire issue and, if he is so entitled, the manner in which he should do so in the light of the authorities.

34. Firstly I wish to reiterate my view that since the Chicago Spire issue was raised specifically as a point of defence and not at all as being a counterclaim, the trial judge was entirely correct to consider it in that light, and to form a view that it did not amount to a bona fide defence to the plaintiff’s claim on the guarantees. I appreciate that he expressed this view in terms that there was not reality to the point, but given the manner in which the issue was argued by counsel, it is clear that what he was deciding was whether or not the issue met what I will loosely term the Aer Rianta test. It would not be fair in such circumstances to decide that the trial judge applied the wrong test.

35. This counterclaim is an independent claim which the defendant wishes to bring against the plaintiff. It is not a defence to the plaintiff’s claim. Indeed, if the estoppel issue did not exist in the proceedings, it is likely that the Court would have given judgment to the plaintiff on its motion, and in my view unlikely that the Court would have granted a stay on that judgment while the Chicago Spire issue was litigated, whether in a separate action or by way of a counterclaim in these proceedings. Such a conclusion might well have been arrived because of the evidence available, which does not appear to be in contest, that even if the value of a completed Chicago Spire development as given by the defendant is taken at its highest, success on the counterclaim would still leave the defendant exposed on these guarantees to the maximum claimable thereunder.

36. A claim on foot of a guarantee is a straightforward claim in most cases, and therefore ideally suited to a determination in summary manner on foot of a summary summons procedure. A party entitled to judgment on foot of such a claim ought to get the benefit of such a judgment as quickly as is consistent with justice also being done to the defendant. By obtaining judgment, the judgment creditor can achieve some priority of importance in some scenarios. Delay in obtaining judgment may seriously prejudice the creditor’s chances of recovery. It is for that reason that a Court will not permit a defendant to hold up the plaintiff’s entitlement to judgment by reason merely of a desire on his part to litigate by way of a counterclaim some issue that realistically has little or nothing to do with the plaintiff’s claim on foot of the guarantee. The position is put well by Jessel MR in Anglo-Italian Bank v. Wells [1878] 38 L.T. 197 when he stated in relation to summary proceedings for money due by defendants on foot of certain promissory notes:

      “The defendant says, as regards the deed, that there is another covenant in that deed which you, the plaintiffs, have broken, and that by reason of your breach of that covenant, I am entitled to claim damages from you; and if I establish the breach and get the damages, I may be entitled to set-off those damages against the sum claimed in the action. I must remark that, as regards that form of defence, it is not necessarily a defence under this order. It is quite true that you may, by way of counter-claim, bring forward, under the pleading rules, a defence of set-off of damages, but even that is in the discretion of the judge. He may strike out the counter-claim when it is there,’ if in the opinion of the court or judge such set-off or counter-claim cannot be conveniently disposed of in the pending action, or ought not to be allowed’. So, that it is merely a right depending on the discretion of the judge. It is not an absolute right to set off damages against a debt; and I must say, speaking for myself, that I should hesitate long before I allowed a defendant in an action on a bill of exchange to set up a case for damages by reason of the breach by the plaintiff of some of the contract or the commission of some tort.”
37. In the present case, being a claim on foot of guarantees a plenary hearing on the estoppel defence alone will be a straightforward matter, and can be disposed of in a relatively short timeframe. The amount of the plaintiff’s claim is not in dispute. Some discovery may be necessary in relation to the estoppel, and if no agreement is reached in relation to discovery any necessary motion can be brought rapidly once pleadings are closed. Notice of trial can then be served and a date for hearing obtained.

38. By contrast, if the defendant is to be permitted to add into the present proceedings his entirely separate claim that the plaintiff, by exercising of its statutory powers of enforcement by recklessly disposing of the Chicago Spire loan at a value representing perhaps as little as 10% of what the defendant says was the true value, and in breach of its obligations under the Act of 1999, caused him to have an exposure under the guarantees sued upon that he would not otherwise have had, the plenary hearing directed will assume an altogether different profile. It will become immensely more complex, lengthy and costly both in terns of costs and court time, and its chances of getting on for hearing in early course will disappear. Given the counterclaim’s lack of relationship to the claims on foot of the guarantees, it would be unjust to require that the plaintiff should be held up in the determination of the unrelated estoppel issue while embroiled in what inevitably become a long and complex litigation of the counterclaim. In my view, it was correct to confine the present proceedings to the estoppel issue, even if the Chicago Spire issue had been addressed by the defendant in the High Court as a counterclaim and not a point of defence.

39. The defendant is perfectly free to bring his counterclaim by way of separate proceedings. He requires no leave to do so. He argues that he will be met by an argument from the plaintiff that the issue he wishes to litigate is res judicata as a result of the conclusions expressed by the trial judge on the motion for judgment herein. That may well be the case. But as I have already stated, that argument would have been open to the plaintiff in any event, even if this Court determined that justice required that the defendant be permitted to proceed by way of a counterclaim in these proceedings. Whether or not the issue is already determined by Fullam J. and is res judicata, is not something upon which this Court should express any view. That issue may arise for a determination at first instance, and will have to be addressed then on the basis of the applicable principles. It does not arise on this appeal.

40. I would uphold the decision of Fullam J. confining these proceedings to the issue of estoppel identified by him as constituting a bona fide defence to the plaintiff’s claim, and dismiss the appeal.


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