BAILII [Home] [Databases] [World Law] [Multidatabase Search] [Help] [Feedback]

Scottish Court of Session Decisions


You are here: BAILII >> Databases >> Scottish Court of Session Decisions >> Cultural & Educational Development Association Of Scotland & Anor v Glasgow City Council [2008] ScotCS CSIH_23 (06 March 2008)
URL: http://www.bailii.org/scot/cases/ScotCS/2008/CSIH_23.html
Cite as: [2008] CSIH 23, [2008] ScotCS CSIH_23

[New search] [Help]


EXTRA DIVISION, INNER HOUSE, COURT OF SESSION

 

Lord Macfadyen

Lord Johnston

Lord Wheatley

[2008] CSIH 23

XA 18/07

XA19/07

 

 

OPINION OF THE COURT

 

delivered by LORD MACFADYEN

 

in the causes

 

(1) CULTURAL AND EDUCATIONAL DEVELOPMENT ASSOCIATION OF SCOTLAND,

Pursuers and Appellants;

 

against

 

GLASGOW CITY COUNCIL,

Defenders and Respondents;

 

and

 

(2) GLASGOW EID MELA,

Pursuers and Appellants;

 

against

 

GLASGOW CITY COUNCIL,

Defenders and Respondents.

 

_______

 

 

Act: Cowan, Solicitor Advocate; Simpson & Marwick.

Alt: Heaney; Edinburgh Council Legal Services.

 

6 March 2008

Introduction

[1] In these actions the pursuers are voluntary associations who claim in terms of the Race Relations Act 1976 ("the 1976 Act") to have suffered discrimination at the hands of the Glasgow City Council in connection with applications which they made for grants. In the first action the pursuers are the Cultural and Educational Development Association of Scotland ("CEDA"), on whose behalf it is averred that they are a Scottish charity whose members are British citizens of Pakistani origin. In the second action the pursuers are Glasgow Eid Mela ("GEM"), on whose behalf it is averred that they were originally represented by thirteen Pakistani/Muslim organisations and formed an independent organisation on 5 January 2002.

[2] The initial writ in the action at the instance of CEDA was not signed by a solicitor on their behalf but was signed by three lay persons, namely Faid Mallick ("Mr Mallick"), designed as "General Secretary of CEDA of Scotland", another person designed as "Chair Person of CEDA of Scotland" and a third person designed as "Member of Public".

[3] The initial writ in the action at the instance of GEM was likewise not signed by a solicitor, but was signed by three lay persons, namely Mr Mallick, designed as "Founder, Ex Chairperson and Member of GEM", another person designed as "Chairperson of GEM" and a third person designed as "Member of Public and Ex Executive Member of GEM".

[4] On 7 July 2006 at an options hearing in the CEDA action, Mr Mallick sought to appear on the pursuers' behalf. The Sheriff dismissed the action on the grounds (1) that the initial writ had not been signed by a solicitor and was therefore fundamentally deficient, and (2) that Mr Mallick was not entitled to represent the pursuers in court.

[5] In the GEM case an options hearing took place on 23 June 2006 when Mr Mallick sought to appear for the pursuers. The hearing was continued to enable him to seek legal advice. At the continued options hearing on 18 August 2006 the pursuers were represented by a solicitor. The action was dismissed on the ground that the initial writ had not been signed by a solicitor.

[6] The interlocutors of 7 July 2006 (in the CEDA action) and 18 August 2006 (in the GEM action) were appealed to the Sheriff Principal. The appeals were heard together. By interlocutors dated 19 December 2006, the Sheriff Principal refused both appeals. The Sheriff Principal subsequently issued a Note dated 30 March 2007 containing his reasons for refusing the appeals.

[7] When the appeals called together on the summar roll, leave was sought on the pursuers' behalf to withdraw certain concessions of law which had been made before the Sheriff Principal (see paragraph 2 of his Note). The defenders offered no opposition to that motion, and we therefore granted it.

 

The issues in the appeals

[8] The principal issue, which is common to both appeals, and falls into several parts, is (a) whether a voluntary association is entitled to represent itself in ordinary civil proceedings in the sheriff court; (b) whether it follows that the initial writs, signed on the pursuers' behalf by members or officers, were validly signed; (c) if they were not, whether the defect fell short of fundamental nullity and could therefore competently be excused under Ordinary Cause Rule 2.1(1); and (d), if so, whether the discretion conferred on the sheriff by that rule should have been exercised in the pursuers' favour in each case. The secondary issue, which flows from part (a) of the principal issue, is whether, in the CEDA case, the sheriff (i) erred in not allowing the pursuers to be represented by Mr Mallick, and (ii) in any event erred in not allowing a continuation of the options hearing to enable the pursuers to be legally represented.


The principal issue

[9] Mr Cowan, who appeared before us for the pursuers, took as the starting point of his submissions the following passage in Macphail, Sheriff Court Practice, third edition, paragraph 1.35:

"In ordinary causes in the sheriff court the only persons who are permitted to appear and conduct cases are members of the Faculty of Advocates, solicitors and parties who are natural persons. The latter, when conducting their own causes, are known as party litigants. Firms, companies and other artificial entities must always be represented by solicitors or counsel."

(See also paragraph 4.118.) Reference was also made to Clark Advertising Limited v Scottish Enterprise Dunbartonshire 2004 SLT (Sh Ct) 85, to the annotation to the Rules of the Court of Session in The Parliament House Book, Vol. 2, page C46, paragraph 4.2.6; and to Mushtaq v Secretary of State for the Home Department 2006 SC 524. Mr Cowan relied in particular on the use of the phrase "artificial entities" in the passage quoted from Macphail. A voluntary association, he submitted, was not an "artificial entity". Unlike a limited company or a Scottish firm, it has no separate legal personality distinct from its members. It is no more than a collection of natural persons. Yet it can sue in its own name in the sheriff court (OCR 5.7). In Strathclyde Regional Council v Sheriff Clerk, Glasgow 1992 SLT (Sh Ct) 79 Sheriff Principal Macleod erred in treating a voluntary association, a youth club, as a type of artificial entity and in holding that it could not be represented by its treasurer. The correct view was that a voluntary association did not fall into the category of artificial entities which had to be represented by a lawyer, but instead, as a body of natural persons, was to be equated with a natural person who could represent himself.

[10] Mr Heaney, for the defenders, submitted that the true rule was that only an individual natural person who was a party to the action could appear himself, and did not require legal representation. He cited Equity and Law Life Assurance Society v Titonia Limited 1943 SC (HL) 88 per Viscount Simon LC at 89; Gordon v Nakeski-Cumming 1924 SC 939; Rush v Fife Regional Council 1984 SLT 391; and Clark Advertising per Sheriff Principal Bowen at paragraphs 9 to 11. The considerations discussed by Sheriff Principal Bowen in the last-mentioned passage, in the context of a partnership, applied a fortiori to a voluntary association. Strathclyde Regional Council v Sheriff Clerk, Glasgow was correctly decided. The Ordinary Cause Rules were enacted in the year following that decision. There was the opportunity then, or at any time thereafter, to reverse the effect of that decision if it were thought to be wrong. No such provision had been made.

[11] In our opinion the submissions of the defenders are to be preferred on this aspect of the principal issue. It is clear beyond doubt that an individual party who is a natural person does not require to be represented by a lawyer, but may conduct his or her own case. Conversely, it is equally clear that incorporated companies, firms and other non-natural legal persons can only be represented by a solicitor or advocate. The present cases are, however, at the instance of unincorporated voluntary associations, and the question is whether they fall to be equated with an individual natural person, or with a non-natural person. Mr Cowan seized on the use in Macphail of the expression "artificial entities", and sought to argue that an unincorporated voluntary association did not fall within that description and therefore did not fall into the category of party who required to be legally represented. There are, we think, two answers to that submission. The first is that it ignores the earlier sentence in the passage in Macphail, where it is said that the only persons who are permitted to appear and conduct cases are advocates, solicitors and "parties who are natural persons". A voluntary association may a grouping of natural persons, but it is not itself a natural person; indeed it is not a legal person at all. The second answer to the submission is that the expression "artificial entities" is not a term of art. It is used as no more than a convenient description of the general category of parties who are not natural persons. The voluntary association is an anomaly, in that it is permitted to sue in the sheriff court in its own name despite being without legal personality. But there is no justification for reasoning from the fact that it is an unincorporated group of natural persons to the conclusion that it should be treated in the same way as an individual natural person. In Macphail at paragraph 1.35, the rationale for the requirement that parties other than individual natural persons must be represented by a lawyer is put in terms of securing that the court will have before it persons bound by professional rules and a disciplinary code on which the court may rely, and who are familiar with the methods and scope of permissible advocacy (see also at greater length per Sheriff Principal Bowen in Clark Advertising at paragraphs 9 to 11). The difficulties which courts commonly encounter where individual party litigants conduct their own cases are eloquent of the reasons for not extending the right of personal appearance beyond the case of the individual natural party. The rules serve to protect not only the opposing party and the court, but also, in the case of voluntary organisations, the members of the association, whose interests might otherwise be prejudiced by the actings of an individual or group of individuals pursuing litigation not truly in the association's interests. We are not to be taken as saying that that is so in the present case, but the risk of such an occurrence in general is part of the justification for the rule.

[12] Against that general background we turn to the more particular question of whether an initial writ at the instance of a voluntary association must be signed by a solicitor on the association's behalf, or may be signed on its behalf by one or more members or office-bearers. OCR 3.1(7) provides that: "The initial writ shall be signed by the pursuer or his solicitor (if any) ...". An association is a "person" (Sheriff Courts (Scotland) Act 1907, section 3(e)), and "pursuer" includes any person making a claim or demand (1907 Act, section 3(n)), so an association making a claim falls within the scope of the expression "pursuer" in OCR 3.1(7). But that is of no assistance to the present pursuers. A voluntary association cannot "sign" an initial writ. Signature by one or more member or office-bearers is not signature by the association. The conclusion is, in our view, inescapable that, since the initial writs were not signed by a solicitor on behalf of the pursuers, they were not signed in accordance with the requirements of OCR 3.1(7).

[13] The next aspect of the principal issue is whether the non-compliance with OCR 3.1(7) is curable by resort to the discretionary dispensing power conferred on the sheriff by OCR 2.1(1). That power is expressed in the following terms:

"The sheriff may relieve a party from the consequences of failure to comply with a provision in these Rules which is shown to be due to mistake, oversight or other excusable cause, on such conditions as he thinks fit."

[14] In submitting that failure to comply with the requirement imposed by OCR 3.1(7) that an initial writ be signed by a solicitor on behalf of a pursuer who was not an individual natural person did not render the initial writ fundamentally null, and therefore did not preclude the exercise of the discretionary dispensing power conferred on the sheriff by OCR 2.1(1), Mr Cowan referred to a number of authorities. He began with Macphail, Sheriff Court Practice, paragraph 9.41 which suggests that fundamental nullity flows from breach of a mandatory requirement of the rules. He cited Wilson v Lothian Regional Council, 1995 SLT 991, in which Lord Osborne, in holding that the absence of a conclusion did not render a Court of Session summons fundamentally null, expressed doubt as to the utility of identifying fundamental nullity by relying on the distinction between mandatory and directory provisions. Reference was made to Colley v Celtic Pacific Ship Management (Overseas) Limited 2001 SLT 320 for the proposition that failure to comply with a statutory requirement leads to fundamental nullity, while failure to comply with a rule of court does not. That is not quite what was decided in that case. The point there was that the Court of Session dispensing power equivalent to OCR 2.1(1) can only be used to excuse a failure to comply with the rules of court and is therefore not available if the defect is a breach of a statutory requirement. The case does not deal with the question of whether some breaches of the rules of court may result in fundamental nullity while others may not. Mr Cowan also referred to the sheriff court cases of Secretary of State for Social Security v Love 1996 SCLR 535, and McKie v Jack Robinson (Trawlers) Limited, Portree Sheriff Court, 13 July 2004, unreported, but neither of these is directly in point.

[15] In support of the proposition that some rules are mandatory, so that breach of them results in nullity which cannot be excused under the dispensing power, Mr Heaney cited Brogan v O'Rourke 2005 SLT 29. For the test by which to determine whether a failure to comply with a rule resulted in fundamental (i.e. incurable) nullity, he referred to R v Soneji [2006] 1 AC 340 and R v Clarke [2008] UKHL 8. In Soneji, Lord Steyn said (at paragraph 23):

"Having reviewed the issue in some detail I am in respectful agreement with the Australian High Court that the rigid mandatory and directory distinction, and its many artificial refinements, have outlived their usefulness. Instead, as held in Attorney General's Reference (No. 3 of 1999) [2001] 2 AC 91, the emphasis ought to be on the consequences of non-compliance, and posing the question whether Parliament can fairly be taken to have intended total invalidity. That is how I would approach what is ultimately a question of statutory construction."

In Clarke, Lord Rodger of Earlsferry said (at paragraph 28):

"The true significance of the decision in Soneji lies, however, in the approval of the view that any classification into mandatory or directory is the end of the relevant inquiry, not the beginning, and that the better test is to ask 'whether it was a purpose of the legislation that an act done in breach of the provision should be invalid'."

[16] We accept the approach to the construction of procedural requirements of legislation, primary or secondary, laid down in Soneji and Clarke. The issue is whether the rule-making authority, when enacting OCR 3.1(7), intended that the result of non-compliance should be that an initial writ not properly signed is a nullity. That test is easier, in the light of the recent authorities, to formulate than to apply. If attention is directed to OCR 3.1 as a whole, it seems clear that it contains provisions breach of which the rule-makers are unlikely to have intended to be fatal to the validity of the writ. For example, we doubt whether a failure to produce the writ on paper of durable quality (OCR 3.1(2)) was intended to have fatal consequences. We likewise doubt whether failure to comply with the latter part of OCR 3.1(7) (failure to state the name and address of the solicitor on the back of every service copy) was intended to result in incurable nullity. But the intention underlying the part of OCR 3.1(7) with which we are concerned is less easy to discern. According to Mr Cowan's submissions, the purpose of a principal initial writ is to obtain warrant for service. Here, notwithstanding what we have held to be the defect, warrant had been granted, service had been effected and defences had been lodged. It was unreasonable to suppose that the rule-makers intended that such a defect, coming to light only at the options hearing, should result in incurable nullity. We have some sympathy with that submission, but ultimately we do not consider that it can be accepted. The underlying purpose of the requirement that a pursuer, other than a party litigant, should have his initial writ signed by a solicitor on his behalf, is the one discussed above in connection with representation. We think that the intention of the rule-makers was that an initial writ which did not comply with OCR 3.1(7) should be vulnerable to rejection out of hand by the sheriff clerk, without the need for the sheriff to consider the exercise of his discretion under OCR 2.1(1). If that is the intention, the initial writ which is not properly signed is a nullity, and cannot be given life by the fact that it happened to be warranted when it should not have been.

[17] It is, however, unnecessary for us to peril our decision on the view that failure to comply with OCR 3.1(7) leads to fundamental nullity. While the discretion under OCR 2.1(1) is for the sheriff, not us, to exercise (Grier v Wimpey Plant & Transport Limited 1994 SLT 714), it does not follow that we would be bound to remit to the sheriff if we considered that it would be competent for him to exercise that discretion. It seems to us, on a consideration of the Sheriff Principal's reasoning, that he would have dismissed the actions even if he had considered it competent to exercise the power conferred by OCR 2.1(1). Mr Heaney sought to persuade us that on a fair reading of his Note the Sheriff Principal did consider the exercise of the dispensing power, but we do not consider that that is correct. The passage to which Mr Heaney referred was paragraph 15. It is in our view clear that at that point in his Note the Sheriff Principal was dealing with the motion to allow amendment of the pleadings. There are, however, two grounds on which we conclude that, if we had thought resort to the dispensing power competent, no practical purpose would have been served by remitting to the sheriff to consider the exercise of that power. The first is that we consider that any reasonable exercise of that discretion would be conditional on signature of the initial writs now by a solicitor acting for the pursuers. No offer to procure such signature was made. That is scarcely surprising, given the acceptance that to put the pursuer's pleadings on a proper footing, the entire contents of the initial writs would require to be deleted and fresh pleadings drawn. That leads on to the second point, which is that there is no practical purpose to be served by saving the present initial writs if they require such radical amendment. The weight of that consideration might have been different if dismissal would have affected the issue of time bar. Before us, however, it was accepted that in new actions the court's discretion under section 68(6) of the 1976 Act would be available to be exercised in the pursuer's favour if it was just and equitable to do so.

 

The subordinate issue

[18] The answer to the first part of this issue follows from what we have already said at paragraph 11 above. A voluntary association cannot be represented by a member or office-bearer, but must be represented by a solicitor or an advocate.

[19] We consider, however, that there is merit in the proposition that the sheriff in the CEDA case went too far too fast in dismissing the action because CEDA were represented by Mr Mallick. We note that the sheriff, in paragraph (9) of his Note of 7 July 2006 refers to the "pursuers [sic]" having already been warned regarding the need for legal representation. But that is a reference to a warning given to Mr Mallick when he sought to appear in the GEM action, and the warning, so far as expressed in the interlocutor of 23 June 2006, did not focus on the potentially fatal consequences of a lack of proper representation. It was suggested to us that the proper practice for the sheriff to have followed would have been to sist the action to allow the pursuers to obtain proper representation (Clark Advertising at 88F; c.f. Coatbridge Health Studios Limited v Alexander George & Co (Investments) Limited 1991 SC 342). We prefer the view that the proper course would have been a continuation of the options hearing rather than a sist of the action. But had this been the only ground of dismissal of the CEDA action, we would have been inclined hold that the sheriff erred. In the event, however, because of our decision on the principal issue, the secondary issue is academic.

 

Result

[20] Both appeals are therefore refused.


BAILII:
Copyright Policy | Disclaimers | Privacy Policy | Feedback | Donate to BAILII
URL: http://www.bailii.org/scot/cases/ScotCS/2008/CSIH_23.html