2001/81A
ROYAL COURT
(Samedi Division)
4th April, 2001
Before:
|
J. G. P. Wheeler,
Esq., Master
|
Between
|
Rodney Clifford de Gruchy
and Patricia Ann de Gruchy, (née) Bower.
|
Appellants
|
|
|
|
And
|
The Planning and Environment Committee of
the States of Jersey
|
Respondent
|
Application by the
Respondent to file its case out of time.
Advocate G Le V. Fiott
for the Appellants
Advocate C. Yates for the Respondent.
judgment
the MASTER:
1.
On 9th
March, 2000, the Respondent Committee refused an application by the Appellants
to remove an agricultural occupancy condition attached to a permit granted on
2nd March, 1981 for the construction of a bungalow and garage on part of Field
1928, St. Ouen.
On 28th March, 2000, the Appellants issued a Notice of Appeal against
that decision which was duly served on the Respondent the following day. The procedure for such
administrative appeals is set out in Part XXII of the Royal Court Rules 1992
("the Rules").
2.
No action
having been taken by the Respondent to file its statement in compliance with
Rule 12/3(1) of the Rules, on 4th May, 2000, I set the appeal down for hearing
on the application of the Appellants. A date for the hearing of the
appeal by the Royal Court was fixed namely 14th July, 2000.
3.
The
Respondent took no further action until the beginning of July when it issued a
summons which I heard on 10th July, 2000.
I then set aside the Order of 4th May setting the matter down, granted
leave to the Respondent to file its statement out of time and ordered that the
hearing date of 14th July, 2000, be vacated. At the hearing before me on 10th July,
2000, an affidavit sworn by Mr. R.T. Webster, a Senior Planning Officer, blamed
the Respondent's defaults on pressure of work at the Department of
Planning and Building Services.
4.
On 9th
November, 2000, the Appellants duly filed their case pursuant to Rule 12/3(3)
of the Rules. The Appellants
subsequently applied again to set the appeal down again for hearing and I did
this on 12th December, 2000. On
20th December, 2000, dates for the hearing of the appeal before the Royal Court
were fixed as 18th and 19th April, 2001.
5.
Rule
12/3(5) of the Rules required the Respondent to file its case within 2 months
of 9th November, 2000. This it
failed to do. On 22nd March, 2001,
the Respondent issued a summons seeking leave to file its case out of time. I heard this summons on 2nd April and
gave my decision today. At
the hearing on 2nd April Crown Advocate Paul Matthews gave evidence and
candidly admitted that the delay was his responsibility and was due to pressure
of work in the Law Officers' Department.
6.
The
Appellants have throughout this matter complied at all times with the
requirements of the Rules. The
history of the appeal which I have rehearsed shows that the Respondent has
failed totally to do so and this reflects no credit whatsoever on the
Respondent or those having conduct of the appeal on its behalf. The treatment of the Appellants and
their Advocate borders on the contemptuous and, in my view, is quite
unacceptable.
7.
Having
heard the parties through their Advocates on 2nd April, I have decided to grant
the Respondent's application to file its case out of time. I now set out my reasons for doing so.
8.
Rule 1/5
of the Rules is in the following terms:-
"Power to extend and abridge
time
1/5.-(1) The Court or the Viscount may, on such
terms as it or he thinks just, by order extend or abridge the period within
which a person is required or authorized by rules of court, or by any judgment,
order or direction, to do any act in any proceedings.
(2)The Court or the Viscount may extend
any such period as is referred to in paragraph (1) of this Rule although the
application for extension is not made until after the expiration of that
period."
Having regard to the express terms of Rule
1/5 I am satisfied that I have the jurisdiction to grant the present
application.
9.
I now
turn, therefore, to consider the basis on which to exercise my discretion under
Rule 1/5 to allow the late filing of the Respondent's case.
10. Mr. Yates in the course of his submissions on
behalf of the Respondent urged me to adopt the principles applied in the United
Kingdom governing what was Order 3 Rule 5 of the former Rules of the Supreme
Court. Paragraphs (1) and (2) of
Order 3 Rule 5 are similar in terms to Rule 1/5 of our Rules. The principles applied in the
United Kingdom are set out in paragraphs 3/5/1 to 3/5/4 of the 1999 Edition of
the Supreme Court Practice ("the White Book"). Paragraphs 3/5/3 and 3/5/4 in particular
address the matters which must be considered.
11. I cite in particular the following extract from
paragraph 3/5/4:-
"The cases of Costellow, Beachley and Letpak were reviewed in The Mortgage Corporation Limited v.
Sandoes, Blinkhorn &
Co. and Gibson (1996) The Times, December 27, which stated as follows:
"The
master of the Rolls and the Vice Chancellor, as Head of Civil Justice, have
approved the following guidance as to the future approach which litigants can
expect the court to adopt to the failure to adhere to time limits contained in
the rules of directions of the court:
1. Time
requirements laid down by the rules and directions given by the Court are not
merely targets to be attempted; they are rules to be observed.
2. At
the same time the overriding principle is that justice must be done.
3. Litigants
are entitled to have their cases resolved with reasonable expedition. Non-compliance with time limits can
cause prejudice to one or more of the parties to the litigation.
4. In
addition the vacation or adjournment of the date of trial prejudices other
litigants and disrupts the administration of justice.
5. Extensions
of time which involve the vacation or adjournment of trial dates should
therefore be granted as a last resort.
6. Where
time limits have not been complied with the parties should co-operate in
reaching an agreement as to new time limits which will not involve the date of
trial being postponed.
7. If
they reach such an agreement they can ordinarily expect the court to give
effect to that agreement at the trial and it is not necessary to make a
separate application solely for this purpose.
8. The
court will not look with favour on a party who seeks to take tactical advantage
from the failure of another party to comply with time limits.
9. In
the absence of an agreement as to a new timetable, an application should be
made promptly to the court for directions.
10. In
considering whether to grant an extension of time to a party who is in default,
the court will look at all the circumstances including the considerations
identified above."
Moreover an acceptable explanation requires more than a mere
statement that the person in charge of the action forgot about it, or was too
busy to get on with it; an acceptable excuse, such as illness, will prompt a
more sympathetic response to the application than if the omission is caused by
neglect (Erskine Communications Ltd v. Worthington (1991) The Times, July 8, CA)."
12. In addition, Mr. Yates referred me to the
English Court of Appeal decision in Finnegan v. Parkside Health Authority
(1998) 1 All ER 595. This case
addressed the principles to be applied in allowing extensions of time under
Order 3 Rule 5. The headnote reads
in part as follows:-
"Held - when considering an
application for an extension of time for complying with procedural
requirements, the court had, under Ord 3, r5, the widest measure of
discretion. Accordingly, the
absence of a good reason for any delay was not in itself sufficient to justify
the court in refusing to exercise its discretion to grant an extension, but the
court was required to look at all the circumstances of the case and to
recognise the overriding principle that justice had to be done."
In the course of his judgment Hirst L.J. cited with approval the principles previously
laid down by the Court of Appeal in Costellow
v. Somerset CC (1993) 1 All ER 952, (1993) 1 WLR 256. All pages 597 and 598 of his judgment Hirst L.J. says as follows:-
"In Costellow's
case the plaintiff was seeking an extension of time for the service of his
writ, claiming damages for personal injuries, which had been issued just within
the three-year limitation period but not served until after the expiry of the
four-month period allowed for service.
In the
leading judgment with which Stuart-Smith and Simon Brown LJJ agreed Bingham MR
stated as follows ([1993]) 1 All ER 952 at 959-960, [1993] 1 WLR 256 at
263-264):
'We
are told that there is some uncertainty among practitioners and judges as to
the appropriate practice in situations such as this. It is plainly desirable that we should
give such guidance as we can. As so
often happens, this problem arises at the intersection of two principles, each
in itself salutary. The first
principle is that the rules of court and the associated rules of practice,
devised in the public interest to promote the expeditious dispatch of litigation,
must be observed. The prescribed time
limits are not targets to be aimed at or expressions of pious hope but
requirements to be met. This
principle is reflected in a series of rules giving the court a discretion to
dismiss on failure to comply with a time limit: Ord 19, r 1, Ord 24, r 16(1),
Ord 25, r 1(4) and (5), Ord 28, r 10(1) and Ord 34, r 2(2) are examples. This principle is also reflected in the
court's inherent jurisdiction to dismiss for want of prosecution. The second principle is that a plaintiff
should not in the ordinary way be denied an adjudication of his claim on its
merits because of procedural default, unless the default causes prejudice to
his opponent for which an award of costs cannot compensate. This principle is reflected in the
general discretion to extend time conferred by Ord 3, r 5, a discretion to be
exercised in accordance with the requirements of justice in the particular
case. It is a principle also
reflected in the liberal approach generally adopted in relation to the
amendment of pleadings. Neither of
these principles is absolute.
If the first principle were rigidly enforced, procedural default would
lead to dismissal of actions without any consideration of whether the
plaintiff's default had caused prejudice to the defendant. But the court's practice has been
to treat the existence of such prejudice as a crucial, and often a decisive,
matter. If the second principle
were followed without exception, a well-to-do plaintiff willing and able to
meet orders for costs made against him could flout the rules with impunity,
confident that he would suffer no penalty unless or until the defendant could
demonstrate prejudice. This would
circumscribe the very general discretion conferred by Ord 3, r 5, and would
indeed involve a substantial rewriting of the rule. The resolution of problems such as the
present cannot in my view be governed by a single universally applicable rule
of thumb. A rigid,
mechanistic approach is inappropriate.
Where, as here, the defendant seeks to dismiss and the plaintiff seeks
an extension of time, there can be no general rule that the plaintiff's
application should be heard first, with dismissal of his action as an
inevitable consequence if he fails to show a good reason for his procedural
default. In the great mass of
cases, it is appropriate for the court to hear both summonses together, since,
in considering what justice requires, the court is concerned to do justice to
both parties, the plaintiff as well as the defendant, and the case is best
viewed in the round. In the present
case, there was before the district judge no application by the plaintiff for
extension, although there was before the judge. It is in my view of little or no
significance whether the plaintiff makes such an application or not: if he does not, the court considering
the defendant's application to dismiss will inevitably consider the
plaintiff's position and, if the court refuses to dismiss, it has power
to grant the plaintiff any necessary extension whether separate application is
made or not. Cases involving
procedural abuse (such as Hytrac Conveyors
Ltd v Conveyors International Ltd [1982] 3 All ER 415, [1983] 1 WLR 44) or
questionable tactics (such as Revici v
Prentice Hall Inc [1969] 1 All ER 772, [1969] 1 WLR 157) may call for
special treatment. So, of course,
will cases of contumelious and intentional default and cases where a default is
repeated or persisted in after a peremptory order. But in the ordinary way, and in the
absence of special circumstances, a court will not exercise its inherent jurisdiction
to dismiss a plaintiff's action for want of prosecution unless the delay
complained of after the issue of proceedings has caused at least a real risk of
prejudice to the defendant. A
similar approach should govern applications made under Ords
19, 24, 25, 28 and 34. The approach
to applications under Ord 3, r 5 should not in most cases be very
different. Save in special cases or
exceptional circumstances, it can rarely be appropriate, on an overall
assessment of what justice requires,
to deny the plaintiff an extension (where the denial will stifle his
action) because of a procedural default which, even if unjustifiable, has
caused the defendant no prejudice for which he cannot be compensated by an
award of costs. In short, an
application under Ord 3, r 5 should ordinarily be granted where the overall
justice of the case requires that the action be allowed to proceed."
In his analysis and conclusion Hirst L.J. says at pages 604 and 605:-
"In my judgment the starting
point is RSC Ord 3, r 5 itself, which explicitly confers the widest measure of
discretion in applications for extension of time, and draws no distinction
whatsoever between various classes of cases. Costellow's
case seems to me fully in line with that philosophy, was expressed to be a
guideline case, and, I would add, drew no rigid distinctions, since contrary to
Miss Neale's argument I do not accept that the last paragraph in Bingham
MR's judgment did any more than point out that in special cases or
exceptional circumstances the court must, as is obvious, apply special
treatment. For present purposes it
is extremely important to note that Bingham MR expressly disapproved of a rigid
mechanistic approach, and rejected the contention that the application for an
extension should be heard first, and that dismissal of the action is an
inevitable result if the applicant fails to show good reason for his procedural
default."
13. Mr. Fiott, in the
course of his understandably forceful submissions referred me to particularly
to three Jersey Court of Appeal cases namely, Taunton v. The States of
Jersey Planning & Environment Committee (18th April, 2000) Jersey
Unreported; Hickman v. Hickman (1988) JLR 602 and Jersey Demolition
Contractors Limited v. Resources Recovery Board (1985) JLR 77. He also urged that as the only
explanation put forward for the Respondent's default was pressure of work
this was not a ground for granting the extension requested.
14. The three cases to which Mr. Fiott referred me, all deal with the question of extensions
of time under the Court of Appeal (Civil) (Jersey) Rules, 1964, and turn
largely on the express provisions of those Rules. I think, therefore, that they are not
really of assistance in the context of the present application.
15. In my opinion, the principles which I should
apply in considering the present application for an extension of time are those
which have been adopted in English cases in relation to a provision which is
worded similarly to Rule 1/5 of our Rules.
These are the principles to which I have referred as set out in the
White Book and the Finnegan case.
16. In applying those principles and guidelines I
consider that matters in the present case are very much in the balance. The Respondent has failed on a number of
occasions to comply with the Royal Court Rules or orders made by me whilst in
total contrast the Appellants have within due time done all that was required
of them. No real reason has been
given for the Respondent Committee's dilatoriness save for pressure of
work on the Planning Department or the Committee's advisers. Weighed against that is the overriding
principle that justice must be done between the parties.
17. With some hesitation I have decided on balance
to allow the Respondent to file its case out of time. My reasons for doing so are as follows:-
(a) I
consider that in order to be able to do justice between the parties the Royal
Court should have before it in a coherent form all material which it needs in
order properly to dispose of this appeal;
(b) the
overriding principle that justice must be done between the parties is best
achieved by allowing the action to proceed in the way I have described;
(c) I
am not satisfied that any prejudice suffered by the Appellants is such as could
not be compensated by an award of costs.
18. I would say finally that, in my view, the
conduct of the Respondent Committee and its advisers has been totally
unacceptable in this case. I have
no hesitation, therefore, in ordering that the Respondent pay the costs of the
Appellants in this application on the indemnity basis. I would also say that my decision in
this matter should not be taken as in any way condoning what has happened. I would view any repetition with
considerable concern.