FEDERAL COURT OF AUSTRALIA
Spiteri v Nine Network Australia Pty Ltd [2008] FCA 905
Federal Court of Australia Act 1976 (Cth) s 31A
Federal Court Rules O 11 r 16(b)
Bartlett v Swan Television and Radio Broadcasters Pty Ltd (1995) ATPR 41-434 cited
Boston Commercial Services Pty Ltd v GE Capital Finance Australasia Pty Ltd (2006) 236 ALR 720applied
Commonwealth Bank of Australia v ACN 000 247 601 Pty Ltd (in liq.) (formerly Stanley Thompson Valuers Pty Ltd) [2006] FCA 1416 considered
Dare v Pulham (1982) 148 CLR 658 cited
Davids Holdings Pty Ltd v Coles Myer Ltd (1993) ATPR 41-227cited
Hicks v Ruddock (2007) 156 FCR 574 considered
Jefferson Ford Pty Ltd v Ford Motor Co of Australia Ltd [2008] FCAFC 60 considered
Trade Practices Commission v David Jones (Australia) Pty Ltd (1985) 7 FCR 109 cited
Vasyli v AOL International Pty Ltd (NG 219/96) (Lehane J, 19 August 1996, unreported) cited
White Industries Australia Ltd v Commissioner of Taxation (2007) 160 FCR 298 cited
CHRISTINE LORRAINE SPITERI v NINE NETWORK AUSTRALIA PTY LTD
NSD 232 OF 2008
EDMONDS J
13 JUNE 2008
SYDNEY
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IN THE FEDERAL COURT OF AUSTRALIA |
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NEW SOUTH WALES DISTRICT REGISTRY |
NSD 232 OF 2008 |
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BETWEEN: |
CHRISTINE LORRAINE SPITERI Applicant
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AND: |
NINE NETWORK AUSTRALIA PTY LTD Respondent
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JUDGE: |
EDMONDS J |
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DATE OF ORDER: |
13 JUNE 2008 |
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WHERE MADE: |
SYDNEY |
THE COURT ORDERS THAT:
1. The respondent’s motion dated 11 April 2008 insofar as it relies on s 31A(2) of the Federal Court of Australia Act 1976 (Cth) be dismissed.
2. The pleadings in paragraphs [8], [9], [10], [32], [33], [34], [38], [41], [42], [45], [46], [55], [63], [72] and [74] – [82] of the statement of claim be struck out pursuant to O 11 r 16(b) of the Federal Court Rules.
3. The applicant amend paragraphs [6], [17], [34], [47] – [51], [54], [62], [74] and [81] of the statement of claim in accordance with these reasons.
4. Leave be granted to the applicant to re-plead those pleadings and claims that have been struck out by Order 2.
5. The applicant file and serve an amended statement of claim on or before 27 June 2008.
6. The respondent file and serve its defence on or before 11 July 2008.
7. Insofar as the respondent regards it as necessary to request further and better particulars of the amended statement of claim, any such request is to be made on or before 11 July 2008.
8. The matter be listed for further directions on 18 July 2008.
Note: Settlement and entry of orders is dealt with in Order 36 of the Federal Court Rules.
The text of entered orders can be located using eSearch on the Court’s website.
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IN THE FEDERAL COURT OF AUSTRALIA |
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NEW SOUTH WALES DISTRICT REGISTRY |
NSD 232 OF 2008 |
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BETWEEN: |
CHRISTINE LORRAINE SPITERI Applicant
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AND: |
NINE NETWORK AUSTRALIA PTY LTD Respondent
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JUDGE: |
EDMONDS J |
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DATE: |
13 JUNE 2008 |
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PLACE: |
SYDNEY |
REASONS FOR JUDGMENT
Introduction
1 By notice dated and filed on 11 April 2008, the respondent moves the Court for orders that:
(1) The proceeding be dismissed pursuant to s 31A(2) of the Federal Court of Australia Act 1976 (Cth) (‘the FCA’) on the basis that the applicant has no reasonable prospects of successfully prosecuting the proceedings.
(2) in the alternative, the Statement of Claim (‘the SOC’) filed on 22 February 2008 be struck out pursuant to O 11 r 16(a) of the Federal Court Rules (‘the Rules’) on the basis that the pleadings disclose no reasonable cause of action; and
(3) in the alternative, the SOC be struck out pursuant to O 11 r 16(b) of the Rules on the basis that the pleadings are embarrassing.
2 By letter dated 20 March 2008, the respondent’s solicitors wrote to the applicant’s solicitors requesting further and better particulars of the SOC and by letter dated 4 April 2007, the applicant’s solicitors responded to that request. The respondent submitted that the response to the request was inadequate, but illustrated the inherent inconsistencies in the SOC.
3 At the time this motion came on for hearing on 23 May 2008, the respondent had not filed its defence.
4 At the outset, it needs to be said that it does not take an over-zealous scrutiny of the SOC to come to an early conclusion that, as pleadings go, it leaves a good deal to be desired in both its form and content. There are, as the respondent submitted, a number of inherent inconsistencies. Poorly drafted pleadings can never be cured by the provision of particulars, no matter how comprehensive they might be.
Section 31A of the FCA
5 Section 31A of the FCA relevantly provides:
‘(1) …
(2) The Court may give judgment for one party against another in relation to the whole or any part of a proceeding if:
(a) the first party is defending the proceeding or that part of the proceeding; and
(b) the Court is satisfied that the other party has no reasonable prospect of successfully prosecuting the proceeding or that part of the proceeding.
(3) For the purposes of this section, a defence or a proceeding or part of a proceeding need not be:
(a) hopeless; or
(b) bound to fail;
for it to have no reasonable prospect of success.
(4) …’
Principles of Construction
6 Section 31A of the FCA was introduced effective 1 December 2005. The legislative context by which it was introduced and its historical antecedents are touched on by Lindgren J in White Industries Australia Ltd v Commissioner of Taxation (2007) 160 FCR 298 at [55] – [60]. I think it is fair to say that the standard which s 31A sets, relevantly in the case of subs (2), ‘… no reasonable prospect of successfully prosecuting the proceeding …’, apart from the fact that it does not require the proceeding to be hopeless or bound to fail (see subs (3)), has not been settled by an appellate court; and the recent decision of a Full Court in Jefferson Ford Pty Ltd v Ford Motor Co of Australia Ltd [2008] FCAFC 60 did nothing to advance this cause. I shall return to this case later in these reasons.
7 In Boston Commercial Services Pty Ltd v GE Capital Finance Australasia Pty Ltd (2006) 236 ALR 720, Rares J said at [42] – [45]:
‘[42] I am of opinion that, properly construed, s 31A(2)(b) requires a person moving a motion for summary disposal (the moving party) to satisfy the court that there is no reasonable prospect of the party claiming relief (the plaintiff) successfully prosecuting the proceeding or the part of the proceeding in question. Experience shows that there are cases which appear to be almost bound to fail yet they succeed. As Dixon CJ once said (Pontifical Society for the Propagation of the Faith v Scales (1962) 107 CLR 9 at 20; [1962] ALR 775 at 781):
“Experience of forensic contests should confirm the truth of the common saying that one story is good until another is told.”
[43] Brennan CJ and McHugh J applied that observation in Jackamarra [v Krakover (1998) 195 CLR 516] at [9] to a situation which an appellate court was exercising a discretion to permit a further step to be taken in an appeal that had already been instituted. Obviously, where there is a contested application under s 31A, both parties will be present to explain their case, but not in the context of a trial. The procedure envisaged by s 31A is summary. The concept of a party having “no reasonable prospect of successfully prosecuting a proceeding” has some similarity to the test at common law for determining whether a jury properly instructed could reach a verdict for the plaintiff. That test was authoritatively stated by the Judicial Committee in Hocking v Bell (1947) 75 CLR 125 at 130–1; [1948] 1 ALR 85 at 87-8 (Hocking (1947)), approving the following statement from the dissenting judgment of Latham CJ (Hocking v Bell (1945) 71 CLR 430 at 441–2 (Hocking (1945))):
If there is evidence upon which a jury could reasonably find for the plaintiff, unless that evidence is so negligible in character as to amount only to a scintilla, the judge should not direct the jury to find a verdict for the defendant, nor should the Full Court direct the entry of such a verdict. The principle upon which the section is based is that it is for the jury to decide all questions of fact, and therefore to determine which witnesses should be believed in case of a conflict of testimony. But there must be a real issue of fact to be decided, and if the evidence is all one way, so that only one conclusion can be said to be reasonable, there is no function left for the jury to perform, so that the court may properly take the matter into its own hands as being a matter of law, and direct a verdict to be entered in accordance with the only evidence which is really presented in the case. [Emphasis added]
See also Swain v Waverley Municipal Council (2005) 220 CLR 517; 213 ALR 249; [2005] HCA 4 at [9] per Gleeson CJ, [128]–[131] per Gummow J and [203], [208]–[209] per Kirby J; see also at [33]–[34] per McHugh J.
[44] In a case to which s 31A applies, where there is a real issue of fact to be decided in the sense identified in the above principle, and, possibly, where there is a real issue of law of a similar kind, it is obviously appropriate that the matter goes to trial. And, one must be mindful that in Hocking (1945) at 487, Dixon J said that, in effect, every judge who had heard the matter (through four trials, two Full Court appeals and, to that point, the appeal to the High Court) would have formed the view that the plaintiff should have failed had they been able to decide the facts, yet the Privy Council restored the second jury verdict in her favour and so concluded the litigation. This raises a very real question, as to what reasonable prospects are for present purposes.
[45] I am of opinion that in assessing what reasonable prospects of success are for the purposes of s 31A, the court must be very cautious not to do a party an injustice by summarily dismissing the proceedings where, in accordance with the principles in Hocking (1947), contested evidence might reasonably be believed one way or the other so as to enable one side or the other to succeed. As soon as the evidence may have such an ambivalent character prior to a final determination, I am of opinion that then, as a matter of law, at that point there are reasonable prospects of success within the meaning of s 31A. Unless only one conclusion can be said to be reasonable, the moving party will not have discharged its onus to enliven the discretion to authorise a summary termination of the proceedings which s 31A envisages. In moving the second reading of the bill introducing s 31A (the Migration Litigation Reform Bill 2005) the Attorney-General said that it strengthened … “the power of the courts to deal with unmeritorious matters by broadening the grounds on which federal courts can summarily dispose of unsustainable cases”.’
8 The approach of Rares J in Boston Commercial was adopted by Jacobson J in Commonwealth Bank of Australia v ACN 000 247 601 Pty Ltd (in liq.) (formerly Stanley Thompson Valuers Pty Ltd) [2006] FCA 1416 where his Honour said at [30] – [33]:
‘[30] … The authorities relating to the proper construction and effect of s 31A of the Federal Court of Australia Act were exhaustively reviewed by Rares J in Boston Commercial Services Pty Ltd v GE Capital Finance Australasia Pty Ltd [2006] FCA 1352 at [31] – [48]. His Honour stated the relevant principles at [45] and they may be summarised as follows:
• In assessing whether there are reasonable prospects of success, the Court must be cautious not to do an injustice by summary dismissal.
• There will be reasonable prospects of success if there is evidence which may be reasonably believed so as to enable the party against whom summary judgment is sought to succeed at the final hearing.
• Evidence of an ambivalent character will usually be sufficient to amount to reasonable prospects.
• Unless only one conclusion can be said to be reasonable, the discretion under s 31A cannot be enlivened.
[31] I do not think that this approach conflicts with the provisions of s 31A(3).
[32] It is true that summary dismissal applications are to be determined on the pleadings and any evidence before the Court; but at the heart of the exercise is the assessment on incomplete materials, of the prospects of success if the matter proceeds to a final hearing: Boston Commercial at [38], [48].
[33] It would be wrong to determine the application on a narrow approach to the pleadings where, as here, there is evidence, albeit incomplete, and perhaps at this early stage, ambivalent, which may at a final hearing, and with amended pleadings, produce a verdict for the applicant.’
9 In Hicks v Ruddock (2007) 156 FCR 574, Tamberlin J also gave clear approval to the approach taken by Rares J in Boston Commercial. His Honour said at [12] – [13]:
‘[12] Section 31A of the Federal Court Act 1976 (Cth) was introduced to impose a lower requirement to dismiss an action by way of summary judgment than that which was imposed in General Steel Industries Inc v Commissioner of Railways (NSW) (1964) 112 CLR 125. In that case, the requirement was expressed in terms of “manifestly groundless” or “obviously untenable”.
[13] In a case where evidence can give colour and content to allegations and where questions of fact and degree are important, the Court should be more reluctant to dismiss a proceeding on the face of a pleading: see Boston Commercial Services Pty Ltd v G E Capital Finance Australia Pty Ltd [2006] FCA 1352 at [45]. The underlying principle is that the need for a summary judgment must be clear before the court will intervene to prevent a plaintiff submitting a case for determination in the usual way. Once it appears that there is a real issue to be determined, whether it be of fact or law, and that the rights of the parties depend on it, the court should not terminate the action by way of summary judgment. As Barwick CJ said in General Steel at 129-130, great care must be exercised to be sure that under the guise of achieving expeditious finality a plaintiff is not improperly deprived of the opportunity to have his or her case tried by the appointed tribunal. The general principle that a person should not lightly be shut out from a hearing is cogent – the onus on the party applying for summary judgment is heavy.’
10 In other words, while the hurdle that is the standard of s 31A is lower than in General Steel, the onus on the party seeking summary judgment is heavy.
11 In Jefferson Ford, the Full Court was comprised of Finkelstein, Rares and Gordon JJ. Finkelstein J summarily dismissed the standard adopted by Rares J in Boston Commercial in the following words at [21]:
‘[21] In Boston Commercial Services Pty Ltd v GE Capital Finance Australasia Pty Ltd (2006) 70 IPR 146 Rares J attempted to describe the requisite standard under s 31A. After reviewing many cases, most from different and not necessarily analogous areas, he came down to the view (expressed at 157) that if there was “a real issue of fact to be decided” or “possibly, where there is a real issue of law” to be resolved the matter should go to trial. This, with respect, does not seem to be very far removed from the old O 14 test. So the standard must be found elsewhere.’
12 The difficulty with his Honour’s summary dismissal of Rares J’s standard is that he did not find the standard elsewhere or, if he did, he did not identify it for us lesser mortals. In his reasons which immediately follow, his Honour suggests perhaps that, at the end of the day, it is an exercise of judgment or clairvoyance (my word, not his Honour’s) when he said at [23]:
‘[23] … the section requires the judge to conduct what might loosely be described as a preliminary trial and look more closely than he would under an O 14 application to a party’s assertion that there is a real question of law or fact to be decided. Such an assertion is to be examined with a critical eye. The judge is to decide whether the opposing party has evidence of sufficient quality and weight to be able to succeed at trial. There will be cases where the asserted facts appear to be so improbable that there is no point in allowing them to go to trial. There will be others where the opposing party has not been able to show that the asserted facts are likely to be established at a trial. On questions of law, the judge should conduct an inquiry into their merit, not for the purpose of resolving them (though this can be done – see Rosser v Austral Wine and Spirit Co Pty Ltd [1980] VR 313, 320) and also not simply to determine whether the argument is hopeless, but in order to decide whether it is sufficiently strong to warrant a trial. If the judge is satisfied that he (or she) is able to resolve any contested legal issue at a summary hearing and without undue delay, it may be better all around if that be done. If not, then at least the merits must be tested. That will then give s 31A a substantial operation, which is what, it seems to me, was intended.’
13 With respect, that is not a standard, but rather a description of the tasks which must be undertaken in every case where s 31A is in issue. Perhaps it represents an unstated admission by his Honour that it is not possible to articulate a standard in precise terms which can be applied across the board. If that is right, I have to say that I have considerable affinity for such a view.
14 In Jefferson Ford at [73], Rares J merely observed that the parties accepted both before the primary judge and the Full Court, that the test to be applied under s 31A of the FCA was that which his Honour stated in Boston Commercial and that in those circumstances, it was not open to the Court to undertake a frolic of its own (again, my words, not his Honour’s).
15 Gordon J, relevantly for present purposes, said (at [126]):
‘[126] … assessment of whether a proceeding or a part of a proceeding has no reasonable prospects of success will necessarily require:
1. identification of the cause of action pleaded;
2. identification of the pleaded facts said to give rise to that cause of action;
3. a review of the evidence (if any) tendered in support of the claim for judgment;
4. identification of the defence pleaded;
5. identification of any facts pleaded which are said to give rise to the defence; and
6. a review of the evidence (if any) tendered in defence of the claim.
The method by which such a claim or part of a claim will be assessed will vary depending on the nature of the cause of action, the identity of the parties, the pleaded facts and the evidence, if any, tendered.’
Application of Principles
16 Whether one applies the standard adopted by Rares J in Boston Commercial, the indicia of assessment which Gordon J thought s 31A required to be addressed in Jefferson Ford or, applying the tasks which Finkelstein J thought were imposed on a judge when considering an application made in reliance on s 31A, this ground of the motion must fail.
17 The conclusion which I would draw from the only pleading that has been filed to date, namely, the SOC, is that, colloquially speaking, this is ‘a facts case’; and even if, at trial, the only facts that are found relevant to the ultimate issues in dispute are sourced in writing and are already in evidence (the instrument between the applicant and the respondent dated 7 March 2005), until evidence of all the facts pleaded in the SOC are heard and tested, it is not possible to conclude, at least at this stage, that the applicant has no reasonable prospects in prosecuting the proceeding, either by reference to the standard of Rares J or applying the judgmental tasks of Finkelstein J.
18 Of the six indicia which Gordon J says will require identification or review under any assessment process in terms of s 31A, only three are satisfied. There is no defence (4), and therefore, there are no facts pleaded that can be identified as giving rise to the defence (5). The only evidence available that, in all probability, will be relied on in defence of the claim is the written instrument of 7 March 2005; that is all that can be reviewed (6). It is patently insufficient to come to any conclusion, one way or the other, in relation to the s 31A issue and the respondent clearly carries a heavy onus.
19 As I have already indicated, the ultimate issues in this case are predicated on underlying issues of fact, not to the exclusion of issues of law, but certainly anterior to the determination of those latter issues. I cannot help but get the impression that this motion has been brought prior to the respondent filing its defence because that defence would bring to the surface the fact that there are real factual issues in dispute; and that would effectively foreclose this motion insofar as it relies on s 31A of the FCA. Whether that impression be right or wrong, for the foregoing reasons, the motion, insofar as it relies on s 31A(2) of the FCA cannot succeed.
Order 11 Rule 16 of the Rules
20 Order 11 r 16 of the Rules provides:
Where a pleading:
(a) discloses no reasonable cause of action or defence or other case appropriate to the nature of the pleading;
(b) has a tendency to cause prejudice, embarrassment or delay in the proceeding; or
(c) is otherwise an abuse of the process of the Court;
the Court may at any stage of the proceeding order that the whole or any part of the pleading be struck out.’
21 While the motion relies on paras (a) and (b) of O 11 r 16 in the alternative, to both s 31A(2) of the FCA and to each other, the respondent’s written submissions appear to be predicated on the basis that reliance on para (a) stands or falls with its reliance on s 31A(2) of the FCA. I think this must be right, bearing in mind that the motion, in its alternative limbs, seeks to strike out the whole of the SOC, not just particular pleadings. Presumably, for this reason, the respondent’s written submissions are confined effectively to para (b).
What Constitutes ‘Embarrassment’?
22 Embarrassment in the context of O 11 r16 ‘carries the connotation of a pleading which is susceptible to various meanings, or contains inconsistent allegations or in which alternatives are confusingly intermixed or in which irrelevant allegations are made tending to increase expense. The list is not intended to be exhaustive’: Bartlett v Swan Television and Radio Broadcasters Pty Ltd (1995) ATPR 41-434.
23 A pleading which is internally inconsistent is embarrassing: Vasyli v AOL International Pty Ltd (NG 219/96) Lehane J, 19 August 1996, unreported. A pleading should assert the basic and constituent facts, not the evidence upon which those facts will or may be proved at trial. A pleading is defective if it simply asserts a conclusion to be drawn from the facts not stated: Trade Practices Commission v David Jones (Australia) Pty Ltd (1985) 7 FCR 109 at 114 – 115; and is not saved by using the words ‘[i]n the premises’ to introduce the conclusion: Davids Holdings Pty Ltd v Coles Myer Ltd (1993) ATPR 41-227.
24 The pleading should enable the respondent to know, with sufficient clarity, the case which it is required to meet: Dare v Pulham (1982) 148 CLR 658 at 664.
The SOC
25 As indicated in [4] above, the SOC leaves a good deal to be desired in both its form and content. On the other hand, I hasten to add that I do not think that all the pleadings are so embarrassing as to warrant the SOC being struck out as is sought in the motion. A number are, in my view, quite clear in enabling the respondent to know the case it has to meet; others can be raised to that standard by the provision of further and better particulars to those already provided; while some cannot be cured without being amended or re-pleaded.
26 I deal with a number of the pleadings which have been put in issue and others I have identified in the numerical order of the SOC. All paragraph references are to the SOC unless otherwise stated:
(1) Paragraph [6] is grammatically wrong and needs to be amended.
(2) Paragraphs [8], [9] and [10] are confusing as to what constitutes ‘the Contract’: is it confined to the instrument of 7 March 2005 as defined in (iv) to para [8] or does it also extend to the content of the Uechritz Conversation as suggested in the particulars to para [9]? Additionally, one does not accept a contract; a contract comes into existence only upon acceptance of an offer. These paragraphs are embarrassing and should be struck out; and as presently framed, they make subsequent paragraphs embarrassing.
(3) Paragraph [17] refers to ‘paragraphs 14 and 16’ and in the next breath to ‘paragraphs 14 to 16’. It also refers to ‘the Termination Date’ which is defined in para [13] as ‘7 March 2008’ and in para [15] as ‘7 March 2007’. Paragraph [17] needs to be amended.
(4) Paragraph [32] is confusing and arguably inconsistent with the claims at paras [33] and [34]. It is not clear that the allegation at para [32] is that the Contract (however that is ultimately identified and constituted) was terminated or purported to be terminated by the respondent or only the applicant’s Position (as defined in the SOC). For that reason it is embarrassing and should be struck out.
(5) Paragraph [34] is grammatically wrong and needs to be amended.
(6) Paragraph [38] is totally confusing. How does one unilaterally withdraw an offer that was a contract? Upon acceptance of an offer and the bringing into existence of a contract, there is no longer an offer to be withdrawn. It is inconsistent with paras [35] and [36] and the claims at paras [41] and [42], and for that reason is embarrassing and should be struck out.
(7) The relevance of para [45] is neither stated nor apparent. Unless such relevance can be shown, it is embarrassing and should be struck out.
(8) The response to the request for particulars indicates that the ‘EEO Policy’ referred to in para [46] but not otherwise defined, is a reference back to the document headed ‘Fair Employment Practices’ referred to in the particulars at (ii) to para [19]. Clause 3.7 of the instrument of 7 March 2005 in its terms only binds the applicant. The pleading at para [46], if not at para [19], should plead the facts necessary to demonstrate how the policies and/or procedures were express terms or how they bound the respondent; it is embarrassing and should be struck out.
(9) The applicant says that it will amend the pleadings at paras [47] – [51] to make it clear that they are concerned with alleged breaches of the ‘Ongoing Contract’. I agree that this should be done and the amendments should identify which provisions or parts of the EEO Policy have been contravened in each case, consistent with the further particulars that have already been provided.
(10) Paragraph [54] refers to the respondent’s breach of the implied terms at paras [18] and [19], when the pleadings there refer to the terms as express terms. Paragraph [54] should be amended to remedy this. The reference to the ‘Respondent’s rights and obligations’ should also be amended to the ‘Applicant’s rights and obligations’; and the particulars in (i) should be amended because there is no anterior title ‘Breach EEO Policy’ above.
(11) The claims with respect to damages are confusing and repetitious. For example, paras [33] and [34] claim, in the alternative, that the applicant suffered loss and damage by reason of the respondent’s actions leading to the ‘July Termination’; paras [41] and [42] claim, in the alternative, that the applicant suffered loss and damage by reason of the respondent’s actions leading to the ‘October Repudiation’; para [55] claims that the applicant suffered loss and damage as a result of the breaches referred to at paras [47] – [54] inclusive; para [63] claims that the applicant suffered loss or damage by reason of the ‘First Misrepresentation’; para [72] claims that the applicant suffered loss or damage by reason of the ‘Second Misrepresentation’ and then paras [74] – [82] inclusive seem to repeat these claims. It is not clear whether the applicant is making multiple claims or whether there is one claim for alternative sums but for different breaches. Paragraphs [74] – [82] inclusive, when read in the context of the anterior paragraphs referred to above, are embarrassing and all paragraphs should be struck out.
(12) Paragraph [62] refers to paras [54] – [61]. The references to paras [54] and [55] cannot be correct and should be amended.
(13) Paragraph [74] refers in (a) to ‘the Employment Contract’. The term is not defined nor referred to elsewhere in the SOC. It will have to be amended.
(14) Paragraph [81] refers to the implied terms in para [54]; it may require amendment depending on the amendment to para [54]: see (10) above.
COnclusion
27 For the foregoing reasons, I propose to make orders striking out a number of the pleadings and claims in the SOC pursuant to O 11 r 16(b) of the Rules and for the applicant to amend others that I have identified in accordance with these reasons.
28 I propose to give the applicant leave to re-plead those pleadings and claims that are struck out. Once the amended SOC is filed and served, the respondent should file and serve its Defence. I am conscious that it may still be necessary for the respondent to be provided with further and better particulars of the applicant’s amended pleadings and if that is necessary, then I indicate now that I would grant the respondent leave to amend its Defence on account of any further and better particulars provided.
29 The proceeding should come back to me shortly after the respondent has filed and served its Defence to allow a timetable to be set for discovery and the filing of evidence.
30 Costs of the motion should be costs in the cause.
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I certify that the preceding thirty (30) numbered paragraphs are a true copy of the Reasons for Judgment herein of the Honourable Justice Edmonds. |
Associate:
Dated: 13 June 2008
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Counsel for the Applicant: |
Mr A Moses with Ms K Edwards |
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Solicitor for the Applicant: |
Hillman Laxon Tobias |
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Counsel for the Respondent: |
Mr R Goot SC with Ms K Eastman |
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Solicitor for the Respondent: |
Minter Ellison |
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Date of Hearing: |
23 May 2008 |
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Date of Judgment: |
13 June 2008 |