Administrative Law - Smart Notes
Administrative Law - Smart Notes
Administrative Law - Smart Notes
Please note that I have not written down notes for 3.4 (Administrative Appeal), 4.4.2
(Constitutional imperatives and use of discretionary authority), 4.4.4 (Non-exercise of
discretionary power), 5.3 (Exclusion of judicial review), 5.4 (Suits against administration),
6.2.6 (Doctrine of legitimate expectation). For 3.4, you just need to know the meaning of
administrative appeal, for 4.4.2 you just have to show how administrative discretion must be
used to carry out constitutional directions, for 4.4.4 just write how discretion may be
questioned on the ground of non-exercise of such power. With respect to 5.3, you need write
down that HC’s power of judicial review cannot be excluded and mention L. Chandra
Kumar’s case, for 5.4 you need to write down how the government and other authorities can
be brought under the writ jurisdiction of the courts. Please remember that the writs to be used
here are Habeas Corpus, Mandamus and Quo Warranto. Certiorari and Prohibition deal with
judicial authorities primarily. As far as 6.2.6, the doctrine of judicial expectation means that
when the executive declares that it shall do a particular thing, there is a legitimate expectation
on the part of the public that the government shall do the same with reasonable care and
caution. Also, my notes under the RTI Act are incomplete. For this part you need to know
about the information which may be disseminated as such, authorities and basic procedure
under the act. Also, as regards the functions of ombudsman, just mention general functions
and nothing more. Further, the important chapters for the examination are Chapter 1 (2
questions), 2( 2 questions), 4 (1 question), 1 or 2 short notes with respect to the writs and 1
question with respect to the RTI Act.
The source of my notes is MP Jain and class notes. The reading material consists of a total of
59 pages. Kindly let me know incase any doubt arises.
Regards
Ankita
ADMINISTRATIVE LAW
Unit I- Evolution, Nature and Scope of Administrative Law
1.1 Change in the concept of state-from laissez faire to Social Welfare state
1. Administrative law is recognised as the most outstanding legal development of the
20th century.
2. The 19th century was characterised by the welfare state wherein there was minimum
government control, free enterprise, contractual freedom, etc. Individualistic theories
flourished in this period.
3. The state played a negative role. It was primarily a police state which helped in
maintenance of law and order, protecting the nation from external aggression,
dispensing justice to its citizens and collecting taxes for financing such activities.
4. However, in the 20th century, the evils of this system were realised. Due to contractual
freedom and freedom of enterprise, there was unequal distribution of wealth. This led
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to several socialist movements specially ones in which the grievances of labourers
was voiced.
5. Thus, a need was felt that the state shall be more than a police state. It shall help in
alleviating the poor, regulating individual enterprise and most importantly bringing
about social justice. This led to the establishment of the social welfare state.
6. This may be seen even in case of India. Before independence, India was essentially a
police state as the British were more interested in furthering their own interests rather
than working for the welfare of the people.
7. However, the concept of social welfare was taken up immediately after independence
especially after the adoption of the constitution.
8. The preamble to the constitution states that India shall be a socialist, secular,
democratic, republic and must provide justice, equality, rights, freedom, etc. to all.
9. Other examples are that given in Part IV wherein it has been provided that there shall
be no concentration of wealth towards the common detriment. There shall be
equitable distribution of wealth.
10. Also, right to free and compulsory education for children upto 14 years is now a
fundamental right.
11. There is also provision of equal pay for equal work under Part IV.
12. Further, various social legislations such as the Factories Act, Minimum Wages Act,
etc. have come into the picture.
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conduct enquiries and investigations and give binding decisions as in case of
administrative adjudication. Sometimes it may even exercise its discretion.
7. However, some sort of check must be exercised on such powers and the same is done
with the help of administrative law. Administrative law helps in balancing public
power and personal rights.
8. If exercised properly, vast administrative powers could lead to a well functioning
welfare state and if not exercised properly it would lead to despotism.
9. Administrative law provides several limitations on executive power in the form of
rule of law, separation of powers, principles of natural justice, judicial and
parliamentary controls, administrative appeals, ombudsman, etc.
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does not provide for remedies available to an aggrieved person when his rights are
affected by administrative action.
8. According to Wade, ‘administrative law is the law relating to the control of
governmental power. The primary object of administrative law is to keep powers of
the government within their legal bounds so as to protect the citizens against their
abuse.’
9. According to Jain and Jain, ‘Administrative law is deals with the structure, powers
and functions of the organs of the administration, the limits of their powers, the
methods and procedure followed by them in exercising their powers and functions,
the methods by which their powers are controlled including the legal remedies
available to a person against them when his rights are infringed by their operation.’
10. Administrative powers have been called a necessary evil as even though they are
required, they may lead to arbitrariness on the part of the executive. They might even
adversely affect the rights of individuals.
11. Lord Denning has stated that ‘properly exercised, the new powers of the executive
could lead to a welfare state but if abused could lead to a totalitarian state.’
12. Thus, administrative law is required to exercise a system of checks and balances
against such power.
13. The similarity between administrative law and constitutional law is to the extent that
both deal with functions of the government and both form a part of modern public
law.
14. Differences may be discussed as follows-
It deals with the organs and functions of the It deals with the organs and such functions in
state at rest. motion.
It deals with the structure of the various It deals with the functions of various organs
organs of the state and regulates their relation of the state and controls the exercise of
with each other and with individuals. powers by the executive.
15. However there are similarities between the two such as availability of constitutional
remedies, concern with affected rights of individuals or fundamental rights, etc.
16. As per several American and English authors the difference between the two is more
of degree, convenience and custom rather than that of logic and principle.
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1.4 Separation of Powers
1. The doctrine of separation of powers was given by French jurist and philosopher
Montesquieu.
2. This doctrine has 3 meanings, namely-
(a) The same person cannot be a member of more than one organ of the government.
(b) One organ of the government cannot control or interfere with the functions of the
other.
(c) One organ of the government cannot perform the functions of another.
3. This doctrine was theoretically very sound but posed certain practical problems such
as-
(a) Its historical basis which describes separation of powers as thriving in England is
faulty.
(b) It is based on the assumption that all 3organs of the government have completely
distinct powers. This is wrong as any one organ of the government performs atleast
some of the functions of the other two.
(c) Also, complete separation is neither practical nor desirable. If the legislature were
only to legislate, it could not punish anyone for its contempt.
(d) Modern state is a welfare state characterised by complex socio-economic
problems and the same cannot be solved with complete separation.
(e) The primary aim of this doctrine was to ensure greater freedom for the people and
strict separation may not necessarily ensure the same.
4. This doctrine is used more in the form of a system of checks and balances these days
wherein every organ of the government performs some functions of the other 2
organs, thereby exercising a check on arbitrary use of power.
5. This doctrine may be unreasonable and impractical but it has helped in building a
system of checks and balances.
6. This doctrine has been used in a strict sense in the US wherein legislative powers rest
with the Congress, executive powers with the President and judicial powers with the
Supreme Court and the subordinate courts. All three organs exercise a system of
checks and balances on each other and no one organ can encroach upon the power of
another.
7. Although Montesquieu developed his theory based on the British constitution, at no
point of time has there been strict separation in the UK inspite of there being three
different organs having three different functions which may even overlap at times. An
example may be given of the Lord Chancellor who is the head of the judiciary, is the
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chairman of the House of Lords which is the legislature, is a member of the executive
and is generally part of the cabinet.
8. In India although this doctrine has been implicitly set out in the constitution and forms
part of the basic structure of the constitution, there is no complete separation of
functions as such inspite of there being a scheme for separation of powers. The same
is not practically possible as well.
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8. One of the merits of Dicey’s theory was that it helped exercise a check on executive
powers and kept administrative authorities within their limits. It became a touchstone
to judge administrative acts.
9. However, even during Dicey’s time in 1885 there were several acts which conferred
wide discretionary powers on the executive without allowing any sort of judicial
review, thereby contravening this doctrine.
10. One of the major drawbacks of this theory lies in the fact that discretionary powers
are regarded as being arbitrary and in a modern welfare state, administrative
discretion is indispensible.
11. Another drawback is a presumption made by Dicey about the judiciary being the
solution to all suits. His mistrust over the system of Droit Administratiff in France
was wrong as this system exercised checks in a much better manner than the
judiciary. The Counseil d’ Etat which exercised judicial control over the
administration was infact a part of the administration itself while being a court in
reality.
12. Dicey’s rule of law however has been identified in democracies across the world with
rights of the people. The International Commission of Jurists in their Delhi
Declaration, 1959 accepted the idea of rule of law as the modern form of law of
nature.
13. Though Dicey’s original rule of law cannot be accepted in totality, the modern rule of
law as given by Davis has the following 7 connotations-
(a) Law and order
(b) Fixed rules
(c) Due process or fairness
(d) Elimination of discretion
(e) Principles of natural justice
(f) Preference to ordinary courts over administrative tribunals
(g) Judicial review of administrative actions
14. Rule of law is a part of the basic structure of the Indian constitution. A few examples
of where it may be seen in the constitution are as follows-
(a) The preamble talks about justice, liberty and equality.
(b) There is provision for judicial review by the SC and the HC s for the enforcement
of fundamental rights.
(c) If there is any abuse of power by the executive, the same may be challenged on
the grounds of malafide, etc. before a court of law.
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(d) Art. 21 provides that no person shall be deprived of his life or personal liberty
except in accordance with procedure established by law. This brings in the principles
of natural justice especially after the Maneka Gandhi case.
(e) Art. 13 provides that all rules, ordinances, by-laws, orders, etc. would be regarded
as ‘law’ and could thus be subjected to judicial review.
(f) The Constitution is supreme and all three organs of the government are below the
constitution.
(g) In India there is no rule of the King can do no wrong.
(h) Art. 14 talks about equality before law and equal protection of the law. Even the
state and its officials are liable in torts and contracts and if any wrong is committed
by an employee of the state, the state may be made liable for such act.
15. However, in several areas, there exists a great deal of executive interference. This is
primarily due to excessive delegation of powers by the legislature and the judiciary to
the executive. Also, the executive has been given wide discretionary powers. Further,
it is not just the executive but even the legislature which by passing demonic acts
such as the Prevent Detention Act or the Maintenance of Internal Security Act
encroaches upon the rights of the people.
16. In Chief Commissioner, Punjab v. Om Prakash, it was held that the rule of law is a
characteristic feature of the constitution by which the judiciary may question any
administrative action on the ground of legality especially when there is a violation of
fundamental rights.
17. In ADM Jabalpur v. Shivkant Shukla (Habeas Corpus case), the freedoms under Art.
19 were suspended and enforceability of Art.s 14, 21 and 22 was suspended during
emergency. Several persons were detained and they approached the courts by filing
writ petitions asking the courts to issue writs of habeas corpus. The majority held in
this case that Art. 21 of the Constitution is the rule of law as far as the Indian
constitution is considered and as the enforceability of the same is suspended, it
cannot be enforced. This was an erroneous judgment and J. Khanna in his dissenting
judgment stated that the rule of law is the antithesis of arbitrariness. The right to life
and personal liberty as enshrined in Art. 21 is inherent in all human beings and thus
no person may be deprived of his life and personal liberty even by state action of
suspending such right
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3. In the first sense, it refers to subordinate legislation wherein the executive makes laws
within the limits prescribed by the parent act as it is subordinate to such legislation.
4. In the second sense, it refers to all rules, regulations (which are essentially made by
corporations), by-laws, etc. framed by the executive. An example may be given of
the Essential Commodities Act wherein the list of essential commodities given in the
statute are not exhaustive and the executive may add to it as and when it feels
necessary.
5. Delegated legislation may be distinguished from administrative action on the
following grounds-
(a) Publication- Usually legislative acts or orders must be published in the official
gazette for the purpose of notification. However, administrative orders generally need
not be published as they are applied with respect to only a particular individual or a
particular group of individuals.
(b) Procedure- In case of legislation, only such rules of procedure need to be followed
which are specified in the statute, while in the case of administrative action, principles
of natural justice must be followed even when the parent statute is silent on such
issue.
(c) Grounds of judicial review- Malafide may be pleaded as a ground with respect to
administrative action but the same can several be used as a ground to challenge
delegated legislation.
(d) Differences between legislative and non-legislative functions also come to the
forefront when questions about sub-delegation arise.
6. However, it has been stated by the Committee on Ministers’ Powers that the test to
differentiate between the two is that the power to formulate general laws, rules, etc. is
legislative while the power to apply such rules and make orders with respect to
specific cases is administrative.
7. This has been stated in the Generality and Prospectivity test as given in Union of
India v. Cynamide India Ltd. wherein an order of the Central Government fixing the
maximum prices for sale of certain bulk drugs was challenged on the grounds of
violating the principles of natural justice as it was an administrative action. The HC
on the other hand held that fixing prices here affects the rights of the general public
and not just particular drug manufacturers and hence it was a piece of delegated
legislation and the principles of natural justice would not apply.
8. In K.I. Shepherd v. Union of India, the application of this rule was rejected. Herein
the rights of particular bank employees were affected due to termination of services
caused by the merger of certain banks.
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after conferring such power as most present day executives exercise almost complete
power over the legislature as they themselves enjoy a majority in the legislature.
2. In Bagla v. Madhya Pradesh, it Ss. 3, 4 and 6 of the Essential Supplies Act, 1946 were
challenged. S.3 laid down that the Central Government may lay down rules for
regulation of production, distribution and prices of essential commodities. This was
challenged on the ground of excessive delegation stating that the legislature had not laid
down any policy or standards. But, the SC held otherwise and stated that the basic policy
has been provided in the form of maintenance or increase in supply and maintenance of
prices in public interest. S.4 stated that the Central Government may further delegate its
powers to its subordinate officers or such officers working under the State Government.
This was challenged on the basis of the fact that a delegate may not sub-delegate.
However, the SC held that as the officers to whom power may be sub-delegated have
been mentioned in a list under S.4, there is infact delegation by the legislature and not the
executive as the latter cannot merely appoint anyone to perform the duty. S.6 provides
that orders made by Centre under S.3 would have effect even if they were inconsistent
with any other act in force. This amounted to repeal of such other act or its provisions. It
was thus challenged on the ground of repeal of a legislative act by way of delegated
legislation (as discussed in the Delhi Laws Act case). However, the SC upheld the
validity of this section and stated that it was provided only to by-pass any other law in
force and not to repeal it. Also, even if any act gets repealed in the process, it is due to an
act of the legislature and not of the delegate as S.6 was declared by the legislature itself.
3. In Bhatnagar and Company v. Union of India, it was held that the power of the Central
Government under the Imports and Exports Act to restrict or prohibit the import or
export of products of a specific category is valid even if no guidelines for deciding as to
how such commodities are to be chosen is provided in the parent legislation. This is
because the policy has been laid down in a preceding legislation- the Defence of India
Act. Also, owing to the dynamic nature of imports or exports, it becomes impossible for
the legislature to predict as to which goods need to be put into such category.
4. In DS Garewal v. Punjab, the provisions of the All India Services Act which
empowered the Centre to make rules to regulate conditions of service was challenged as
amounting to excessive delegation. However, it was also stated that the rules which
would have already been in existence at the time of enactment of the statute would be
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deemed to be part of the act itself. Thus, the rules were held to be valid as they were
adopted by the act itself and thus the underlying policy was established.
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1. Public participation leads to democratization of the process of delegated legislation. It
helps in getting the views of affected parties so as to make a better piece of
legislation. It also helps the persons affected as their grievances are heard and
suggestions are taken into consideration.
2. It has been on the rise these days due to the involvement of several organisations
which help in eliciting public opinion and bringing them before the government.
3. However, in order that such participation is allowed, a provision with respect to the
same must be made in the parent act.
4. In Tulsipur Sugar Company v. Notified Area Committee, Tulsipur, the plaintiff
challenged an order made by the government which extended the limits of the
municipal boundaries without making an prior publication thereby not giving anyone
affected a reasonable opportunity to be heard. The court held that the statute did not
provide for any prior publication of such rules and hence the government is under no
obligation to do the same. Also, reasonable opportunity of being heard cannot be
claimed as it is a legislative function whereby principles of natural justice need not be
followed.
5. As per the General Clauses Act, for the purpose of the term ‘previous publication’ the
draft of proposed rules must be published by the concerned authority in a manner it
deems fit. It must specify the time and date of such consideration and must keep in
mind the objections/suggestions while finalising the rules.
6. One of the major issues concerned with such pre-publication of draft rules is that there
is no time lag specified which is to be maintained between the publication of draft
rules and final publication. This may allow the authorities to keep a very small time
gap thereby making the entire process a sham.
7. Also publication is to be made by the rule making authority in the manner it deems fit
and thus too much is dependent on executive discretion.
8. Further, publication of the rules in the gazette is conclusive proof of the fact that the
rules have been duly made.
9. In Lachmi Narain, atleast a 3 months’ notice to give effect to a modification to a
schedule in the sales tax act was considered a matter of legislative policy and
necessary for taking into consideration of affected interests.
10. In Raza Buland Sugar Company v. Rampur Municipality, the act stipulated that
publication be made in a newspaper published in Hindi but the municipality
published it in an Urdu daily. The court held the same to be valid on the ground that
there has been substantial compliance with the provisions of the statute as the Urdu
daily had a much wider circulation in the area.
11. In England, there is no statutory mention of consultation of interests but never the
less the same is followed as a general departmental practice.
12. In the US, pre-publication is made mandatory under S.553 of the Administrative
Procedure Act unless the authority feels that the use of such procedure would be
impracticable, unnecessary or contrary to public interest.
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2.4 Publication of Delegated Legislation
1. In England, the Statutory Instruments Act requires the publication of delegated
legislation.
2. In the US, only after the Panama case in 1935 was such need felt. Thus, the Federal
Register Act and the Administrative Procedure Act came into force.
3. In India, publication must be done if provided in the parent act. But, as a matter of
practice rules are published in the Gazette of India.
4. In 1960, the Central Government commenced the publication of various orders under
the title of ‘statutory rules and orders’.
5. In Harla v. Rajasthan, it was held that promulgation or publication of some sort is
required so that people understand what they are required to do or not do.
6. In Maharasthra v. George, it was held that where there is no statutory provision for
publication of rules, it must be published in such media as is generally adopted to
notify all such persons concerned with such rules.
7. Publication in the gazette is advantageous as-
(a) It gives authenticity to the rules.
(b) It creates certainty in the mind of the people that the rule exists.
(c) The individual may have easy access to the rules.
8. Rules should be generally published in one customary channel and not in several
channels depending on the will of the executive.
9. In Bangalore WCS Mills Company v. Bangalore Corporation, it was held that a
resolution not published under the act was still valid due to a provision in the act
which stated that no action existed merely on the ground of any defect or irregularity
in an act or proceeding which does not affect the merits of the case.
10. If there is due publication in the mode specified in the statute or in the usual mode, it
amounts to sufficient notice being given.
11. Delegated legislation comes into force on the day it is published and not on the day it
is made.
12. However, if the publication specifies that it shall come into effect on a date after such
publication, the same shall be considered.
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of the Commissioner must be sought before convening any meeting or assembly. It
was held that this rule was unconstitutional as it was violative of the right to peaceful
assembly.
(d) Air India v. Nargesh Mirza- Air India Service Regulation which provided for
termination of service of airhostesses on marriage or on pregnancy or on attainment
of 35 years of age were held to be discriminatory under Art. 14.
(e) Muthamma v. Union of India- Service rules made by the central government
stating that any employee of the government was to seek permission from the
government before getting married and that service of women employees shall be
terminated on marriage was held to be discriminatory under Art.s 14 and 15(2).
(f) Deepak Sibbal v. Punjab University- The Bar Council of India passed a rule
stating that a student of law could not pursue another professional course. The same
was struck down as being violative of Art. 14.
(g) Parag Ice and Oil Mills v. Union of India- It was held that even if the parent act
shall be exempted from judicial review if it is placed in the IXth schedule, the rules
made under such act cannot be regarded as being immune from judicial review.
5. Rules violating parent act- This is called substantive ultra vires. It is when the
delegated legislation either goes beyond the purview of delegated legislation or when
it is in conflict with the delegating statute.
6. In Lachmi Narain v. UP, under the Part C laws act, certain laws prevalent in other
states could be extended to union territories with such modifications as do not change
the underlying policy of such law. In one such case, a schedule was amended and as
per the requirements of the parent act, a 30 days’ notice was not provided before such
amendment and thus it was held to be void.
7. In Bar Council of India v. Surjit Singh, it was seen that for the purpose of voting at an
election or being a member of the state bar council, qualifications are to be provided
by rule made by the Bar Council of India. If such rule is made by the state bar
council, it shall be invalid even if it is approved later by the Bar Council of India as
an approval cannot validate it and making a rule is different from approving it.
8. In V.Sunder v. Bar Council of India, it was seen that before getting registered, a law
graduate is to practice under a senior advocate. It was held that the Bar Council can
only specify standards and not impart training.
9. Retrospective effect of subordinate legislation- Delegated legislation cannot be made
applicable retrospectively unless expressly provided under the parent statute. In
Union of India v. Krishnamurthy, it was held that amendment of a previous
regulation so as to make it applicable retrospectively was invalid.
10. Unreasonableness- This may be seen in the case of Kruse v. Johnson, wherein the
local authority made rules prohibiting playing of music or singing in a public area 50
yards away from a dwelling house. The same was held as being unreasonable.
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2.8 Sub-delegation of legislative powers
1. As a general rule, a delegate cannot further delegate. (Delegatus non potest delegare)
2. Sub-delegation is not allowed generally because it would then dilute the level of
accountability and it can never be ascertained whether an official making a rule
actually has the power to do so.
3. Sub-delegation may be allowed only when the parent statute expressly or impliedly
authorises the delegate to sub-delegate.
4. Sub-delegation must not be made in a very wide language. Also, a sub-delegate
cannot act beyond the power granted to him.
5. Sub-delegated legislation must also be published. This has been held in Narendra
Kumar v. Union of India and Maharashtra v. George.
6. The mode of publication is to be prescribed by the concerned authority and no other
mode is to be followed.
7. Statutory Instruments Act in England does not require sub-delegated legislation to be
published.
8. If the statute provides that only rules shall be laid before the legislature, the sub-
delegated rules might escape legislative scrutiny. However, this is also useful as it
reduces the burden of the legislature.
Unit III- Administrative Adjudication
3.1 Reasons for the growth of administrative adjudication
1. The functions of the state have increased due to the coming in of the concept of a
welfare state. This has led to several situations where there are disputes between
citizens or between citizens and the state and thus a proper mechanism is required to
settle such disputes.
2. The courts of today are already overburdened with cases.
3. Court procedure is very time consuming and dilatory, requiring several formalities to
be completed. Administrative adjudication does not follow such procedural
requirements and is thus faster.
4. Following court procedure not only leads to overburdening of the judiciary but due to
the slow and cumbersome process, administrative decisions and policies also remain
blocked.
5. Further, due to the changes in society certain new socio-economic problems have
come up which need to be decided not just based on law and facts but also on the
basis of policy considerations.
6. Judges generally take a very rigid and technical approach applying only the law in its
literal sense to every problem. This is not a practical approach when it comes to
solving new problems which the law may not always have a solution to.
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7. Further, judges are generalists applying general principles of the law. Problems of the
society require expertise and specialised knowledge which is possessed by the
administrative authorities.
8. However, there are certain drawbacks of administrative adjudication as well. The
judiciary is independent from the other governmental organs while the administrative
tribunals cannot possibly remain independent. Also, the procedure followed by the
judiciary such as cross examination of witnesses, giving reasoned decisions, etc. may
not always be present in case of administrative adjudication.
It does not affect the rights of private It affects the rights of private individuals
parties. and binds such individuals.
It does not follow any particular It must necessarily follow the principles
procedure unless provided by the parent of natural justice as part of its procedure.
statute.
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7. Personal bias may come up due to various reasons such as friendship, animosity, etc.
8. In Mineral Development Ltd. v. Bihar, it was seen that the revenue minister cancelled
the petitioner’s license for a lease on account of personal animosity. Thus, there
existed a bias in this case.
9. In England, the rule which was previously followed was that of ‘likelihood of bias’.
This means that it is not bias what the judiciary feels it is but it is what the reasonable
man considers it to be bias.
10. This test was followed by the broader ‘reasonable suspicion’ test which states that
even when a reasonable man would not construe something as being bias, if there is
reasonable suspicion in the mind of the judiciary that there infact exists such bias, the
person cannot be allowed to judge. This test is mainly the outcome of the fact that
justice must not just be done but it must be seen to be done.
11. This maxim has been followed in India as well. Proof of bias is not required as the
same is very difficult to prove. It is sufficient if there is a reasonable suspicion of
bias. This was also held in AK Kraipak v. Union of India.
12. There may also exist a subject matter or a policy bias which has often been termed as
an official bias. This may be seen especially in case of administrative adjudication
wherein the adjudicator being part of the administration might have a bias towards
the policy.
13. However, it may be very difficult to exactly lay down as to what shall come under
such bias.
14. One of the factors is that there must be a direct and close connection between the
adjudicating authority and the issue at hand.
15. In Parthasarathi v.Andhra Pradesh, it was held that an officer who has framed
charges cannot act as the inquiry officer in disciplinary proceedings against an
officer.
16. In Hari v. Deputy Commissioner of Police, an externment order was passed by the
Deputy Commissioner of Police. This was challenged on the grounds of bias as it
was the police department which had initiated the proceedings and also sat as judge
in the case. However, the SC held that as the proceedings were initiated by an officer
above the rank of inspector, the Commissioner could only pass such order and thus
there was no bias. Hence, it may be seen that there will be no presumption of bias if
the case involved 2 officers of the same department provided the posts are held by 2
different persons.
17. In Gullapalli Nageshwar Rao v. Andhra Pradesh State Road Transport Corporation,
an authority had the power to regulate transport activities in the state. The General
Manager of this body made rules for nationalisation of transport in the Krishna
district of Andhra Pradesh whereby private transport companies would require a
license from the government. 88 objections were raised and were all heard by the
Secretary of the Transport Department and later a report was given to the Chief
Minister. It was held that the secretary here had departmental bias and thus could not
have given a fair decision.
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18. In Kameshwar Prasad v. State of Bihar, as well the court maintained the distinction
between the Chief Minister and the Secretary. It was stated that when the decision is
taken by the Secretary, it amounts to bias as the secretary is part of the department.
Also, it was stated that the principles of natural justice cannot be dragged to any
sphere and there must be a limitation on the same.
19. In Maharashtra State Secondary and Higher Secondary Board v. Paritosh Kumar,
students got less marks in their HSC and thereby asked to take a look at their papers
to ascertain the marking scheme. However, the parent statute provided only for a
revaluation of marks and nothing else. The petitioner claimed that the Board’s
decision to refuse to show papers was invalid as they would have a bias in favour of
their teachers who corrected the papers. The SC held that there was no bias and that
this rule must not be dragged unnecessarily without any limitations. It stated that as
the Board merely followed express provisions of the statute, there was no bias as
such.
20. Thus, a need was felt to put some limitations on such rule and hence the following
exceptions have been provided for-
(a) Statutory provisions- If the parent statute provides expressly for a fair procedure,
the same must be followed and it need not be substituted by the principles of natural
justice. If however such procedure is ambiguous, the principles of natural justice
might come into play.
(b) Statutory limitations- This is when specific limitations are laid down by the
statute itself to minimise bias in any form.
(c) Contempt of Court- Incase of contempt of court , the rule cannot be used. A judge
or judges of the court might initiate proceedings against the party even if they are the
interested parties in such case.
(d) Waiver- Where the party knows about the existence of bias but does not object to
the same, he waives his right.
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6. It must not simply embody the language of the statute but must lay down required
details.
7. It must not be ambiguous as a vague notice is regarded as being no notice.
8. If the statute provides that notice is to be served on a person in a particular manner or
mode, it must be served in such manner unless otherwise necessary.
9. If the statute specifies a particular form in which notice is to be served, it must be
served in such form only. However, a minor irregularity will not be considered.
10. Whether a notice is adequate or not is to be decided by the court. The test is whether
the irregularity in the notice is such that it adversely affects the rights of the person on
whom it is served or not.
11. After the notice, there must be provision for a fair hearing.
12. This means that the person against whom charges are levelled must be allowed to
present his case before the adjudicatory authority.
13. A personal or oral hearing is however not required. It is sufficient if the person gets to
present a written memoranda alongwith an explanation to the court.
14. A fair hearing involves the following three essentials-
(a) The adjudicatory authority should receive all relevant material which the
individual wishes to produce.
(b) The authority must disclose to the individual as to what it wishes to use as
evidence against him.
(c) The individual must be given an opportunity to rebut such charges.
15. In Dhakeshwari Cotton Mills Ltd. v. CIT, the authorities refused to accept account
books by the appellant as part of evidence. This was held to be violative of the
principles of natural justice.
16. However, the party cannot produce any amount of evidence unless such evidence is
relevant.
17. Also, the adjudicating authority might issue summons for attendance of witnesses.
But, they cannot compel such attendance unless the statute expressly provides for the
same.
18. In Brajlal Manilal and Co. v. India, it was held that when the Central Government
considers a report of the state government as being evidence against the party
concerned, the same must be disclosed to such party.
19. In Gurbachan Singh v.Bombay, the appellant was not allowed to cross examine
witnesses or have the witnesses examined before him. But, he was given an
opportunity to be heard. This was held by the SC as being valid as at times witnesses
might not like to depose in the presence of the party.
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20. In Jammu and Kashmir v. Bakshi Ghulam Mohd., it was held that the defendant
would be only allowed to cross examine such witnesses as had deposed orally and not
others who had merely given affidavits.
21. Another question comes up with respect to the right of counsel. In AK Roy v. Union
of India, it was held that incase of preventive detention proceedings, if the
government or the detaining authority is represented through a legal practitioner or a
legal adviser, the person detained shall also have a right to such practitioner or
adviser. Herein, the court broadly interpreted the term ‘adviser’.
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7. In Bhagat Raja v. Union of India, it was held that both the authority which hears the
case at the first instance as well as the appellate authority must furnish reasons for
their decision.
8. In Anumati Sadukhan v. AK Chatterjee, it was held that an order empowering an
authority to cancel a licence without giving reasons is invalid.
9. Further, it is not sufficient for the authority to furnish such information which has
already been written down in the statute as reasons. Adequacy of reasons however
differs from case to case.
10. Also, the adjudicatory authority must necessarily maintain a record of the hearing
along with the reasons for future reference.
3. Never the less, there are certain disadvantages of this system. The same may be listed
as follows-
(a) The case to case approach may take an individual by surprise who will not know
what to expect considering nothing is laid down as to what should or should not be
done.
(b) It may lead to discrimination against many individuals.
(c) It is a time consuming process and involves multiplicity of cases.
(d) It might lead to arbitrariness on the part of the executive.
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power of the executive and the judiciary cannot substitute such decision with its own
decision.
4. Another important case is that of Arora v. State of UP, wherein the State Government
acquired a piece of land under the Land Acquisition Act for manufacturing a factory
for public purpose. Arora contended that even he required the land to manufacture a
factory for public purpose. It was thus a case of public purpose v. public purpose.
However, the court held that if the government has satisfied the requirements of
public purpose under the act, they have the discretion to acquire the land.
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2. It may distinguished from malafide exercise of power in the sense that it does not
involve any ill will or corrupt motive but an honest mistake on the part of the
administration.
3. In Ram Manohar Lohia v. State of Bihar, a person was detained under the Defence of
India rules in order to prevent him from acting in a manner prejudicial to
maintenance of law and order. However, the rules provided for detention only in case
of subversion of public order. This was distinguished from the maintenance of law
and order and the detention order was held invalid due to irrelevant considerations.
4. In Hukum Chand v. Union of India, the divisional engineer was given the power to
disconnect telephone lines on the occurrence of any public emergency. In one such
case, he disconnected the telephone lines as they were being used for illegal
purposes. This action was held to be invalid due to irrelevant considerations.
5. In Madhya Pradesh v. Ram Shankar Raghuvansh, a teacher was to be employed in
government service after checking his antecedents and medical fitness. One such
teacher was refused employment due to his political views (he was involved in
activities of the RSS and Jan Sangh). This was held to be invalid on the grounds of
irrelevant considerations.
6. In Barium Chemicals Ltd. v. Company Law Board, the Company Law Board ordered
an investigation into the activities of a company due to delay in carrying out a
particular project and financial losses. This was held to be invalid as the Board could
investigate only in case of managerial fraud.
Other factors based on which administrative discretion may be challenged and judicial
review be conducted-
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2. In Narayana v. Kerala, it was held that wherein revocation of a license to supply
electricity is to be revoked provided there has been consultation with the state
electricity board, the same is valid only after such consultation.
3. In Naraindas v. Madhya Pradesh, it was held that wherein text books where to be
prescribed for schools only after consultation with the Board of Higher Education,
such requirement must be satisfied.
4. In Vimal Chand v. Pradhan, it was held that no person can be detained under the
Preventive Detention Act without being given a chance to represent himself. This is a
procedural requirement and must necessarily be complied with.
1. Art. 32(1) of the Constitution guarantees the right to move the Supreme Court for
violation of fundamental rights while Art. 32(2) empowers the SC to issue writs in
the nature of habeas corpus, certiorari, prohibition, mandamus and quo warranto for
the same.
2. Art. 226 on the other hand empowers the HC s notwithstanding anything contained in
Art. 32 to issue writs or orders within such territories wherein it exercises jurisdiction
to individuals or authorities including the government for the enforcement of
fundamental rights or any other purpose.
3. The concept of writ jurisdiction has been borrowed from England however the SC has
declared that it shall only follow the British system in its broad sense and avoid any
technicalities as may be there. Nevertheless the system of judicial review in both
India and England is more or less the same.
4. The power of the courts under such jurisdiction is very broad. They may not only
issue writs but may also give directions or orders or any other appropriate remedy in
order to provide relief. However, the court will not reject a case merely on the ground
that the appropriate writ has not been prayed for.
5. Art. 32 being a fundamental right in itself cannot be whittled down by legislation and
does not get restricted by administrative order even when such order is final.
6. It may be filed directly with the SC and the person need not go through the entire
procedure of approaching the lower courts, etc.
7. In AK Gopalan v. Madras, the SC struck down S.14 of the preventive detention act
which prohibited the person detained from disclosing grounds for detention as
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provided to him by the detaining authorities before the court. This did not really
deprive the detenu the right to move the court under Art. 32 for issuing a writ of
habeas corpus but it rendered the role of the court somewhat illusory as the court
could not examine the grounds of detention and thus could not determine as to there
was any actual violation of fundamental rights or not.
8. In Prem Chand v. Excise Commissioner, it was held that a security was not required
to be given before filing a writ petition as it posed a hindrance to the court’s function
of determining whether there is a violation of fundamental rights or not.
9. However, Art. 32 empowers the court to only go into questions concerning violation
of fundamental rights. Where there is no violation of fundamental rights, Art. 32
cannot be invoked. Similarly in Ramjilal v. ITO, it was held that illegal levying of tax
does not violate any fundamental right but is merely contradictory to the provisions
of Art. 265.
10. In Ujjam Bai v. Uttar Pradesh, it was held that a mere error of law committed by a
quasi judicial body cannot be challenged under Art. 32. The court can strike down an
order passed by such body only when such power is exercised without jurisdiction or
without conforming to statutory provisions or without following the principles of
natural justice, etc.
11. Executive orders are also open to be challenged under Art. 32 and it is immaterial
whether there is an error of law or error of jurisdiction involved.
12. The error of law here refers to a ‘patent error of law’.
13. Art. 226 is broader in its scope than Art. 32. It allows for moving the HC not just for
the protection of fundamental rights but also for the protection of legal rights
provided that the error of law complained of is a patent error of law.
14. However, the writ jurisdiction of both the SC as well as the HC is independent of the
other. A person may go straight to the SC to enforce his fundamental rights rather
than going to the HC. However, he may also go to the HC first and if his petition is
dismissed, go to the SC on appeal. However, in such case he cannot invoke Art. 32
again due to res judicata.
15. Art. 226 being a constitutional provision, its ambit cannot be curtailed by way of
legislation or administrative order even when such order is regarded as being final.
This is different from the situation in England wherein the Parliament may curtail the
writ jurisdiction of the courts.
16. Never the less these constitutional remedies may be restricted by way of other
constitutional provisions. However, the courts have a general tendency to strictly
construe such exclusionary provisions and uphold its power of judicial review inspite
of such exclusion. In India v. JP Mitter, it was seen that Art. 217(3) states that the
decision of the President with respect to age of the judge shall be final. In this case,
the SC held that such orders made could be struck down if decisions are taken on the
basis of collateral considerations or without following the principles of natural justice
or are coloured by executive advice or representation or are based on no evidence.
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17. In Sangram Singh v. Election Commission, it was held that although Art. 329 bars
the jurisdiction of courts with respect to election disputes, it does not bar the courts
from dealing with such a dispute once the petition was disposed off by an election
tribunal.
18. In Madhav Rao Scindia v. India, it was held that although Art. 363 bars interference
of the courts in matters concerning treaties or agreements between the government of
India and rulers of Indian states before commencement of the constitution, it does not
bar the court to review an order of the President derecognising such rulers under Art.
32.
19. Art. 226 empowers the HC to exercise jurisdiction within its territorial limits.
However, if a part of such dispute is outside its territorial jurisdiction, it may still
exercise power under this provision.
20. The five writs may be discussed as follows-
(a) Habeas Corpus-
i) It literally means to have the body and is issued primarily to secure the release
of a person who has been unlawfully detained or without any jurisdiction.
ii) However, issuance of such a writ largely depends on the statute or other
circumstances under which detention has taken place. For example, habeas
corpus cannot be granted when a person has been detained by a competent
court even when such detention may appear to be wholly illegal.
iii) The scope of this writ has been extended by the court to include inhuman and
cruel treatment to prisoners as well. (Sunil Batra v. Delhi Administration)
iv) The aggrieved person or anyone on his behalf might approach the court.
When a prima facie case has been established for the issuance of the writ, the
court shall ask the detaining authority by issuing a rule nisi, to show cause
why the writ should not be issued. If the court is then convinced that such
cause shown is not sufficient, it shall issue the writ.
v) The detaining authority has to meet the grounds on which detention has been
challenged by the detenu as well as prove that detention was under the
procedure established by law as provided in Art. 21.
vi) In Kanu Sanyal v. District Magistrate(I), the court held that it is not necessary
to produce a person during writ proceedings as the objective of the writ is to
secure freedom for the detenu as soon as possible and not production before
the court. This rule may however be changed by the court in compelling
circumstances.
(b) Quo Warranto-
i) It literally means ‘what is your authority’.
ii) It is generally used by the courts asking the holder of a public office (not
private office) to show as to why he is entitled to such office. It acts as a
judicial control over administrative action with respect to making
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appointments as well as protects individual rights from being violated by a
person who has no authority to hold such office.
iii) The writ is with respect to a public office of substantive character.
iv) This writ will not be issued if there is an alternate remedy available.
v) In PL Lakhanpal v. AN Ray, it was seen that AN Ray who was appointed the
CJI by superseding 3 other judges was challenged as the seniority principle
was not applied. The Delhi HC rejected such a petition stating that the writ
jurisdiction of the court involves technicalities and is based on the discretion
of the court whether or not to accept such petition. Further, it was also stated
that if an irregularity which was challenged was cured during the pendency of
proceedings, the writ need not be issued. In this case after the appointment of
Justice Ray as CJI, he automatically became the senior most judge thereafter
and thus there was no irregularity. Thirdly, the case was challenged on the
grounds of malafide on the part of the appointing authority but the court stated
that a writ of quo warranto can be issued against the holder of the office and
not the appointing authority.
vi) In another important judgment of Gokaraju Rangaraju v. Andhra Pradesh, it
was held that after quashing the appointment of a public officer, such acts of
the officer which were for the benefit of third persons or the public and not for
personal benefit shall remain valid as if they were passed by officers entitled
to such office.
(c) Mandamus-
i) It is a command issued by the court directing an authority to do its public duty
as laid down by the law.
ii) It may be issued to any authority performing any kind of function.
iii) Mandamus is used to enforce a duty which is obligatory under the law and is
not merely optional or discretionary.
iv) A mandamus may also be issued to compel an authority to carry out the
decision of a tribunal.
v) A mandamus may also be issued in case of a non-statutory duty.
vi) However, generally the courts do not grant such a writ in cases where there is
a general duty to be performed such as improving railway services, etc.
vii) The writ cannot be used incase of civil liability arising under torts or contracts.
viii) In Jivan Mal Kochar v. India, it was held that the petitioner could not claim
damages under Art. 32 for the humiliation, indignity and loss suffered by him
due to governmental action.
ix) In order to issue a writ of mandamus, it must first be shown by the petitioner
that he has a right to compel the authority to act in a particular manner.
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x) The person asking for issuing the writ must first demand justice from the
concerned authority (and no other authority) and only on rejection of the same
can he approach the court.
(d) Certiorari and Prohibition
i) These writs are mainly used to prevent excesses on the part of public
authorities.
ii) Earlier, it could be used only against judicial or quasi-judicial bodies but now
it has been extended to all public authorities exercising any kind of public
function.
iii) Both these writs are issued for the same purpose and in similar
circumstances. The only difference is with respect to the stage at which they
are used. A writ of certiorari is used to quash an order which has already been
passed as in when a decision has already been rendered. While a writ of
prohibition is used when proceedings are going on so as to stall such
proceedings.
iv) The various grounds based on which such writs may be issued are when there
exists an error apparent on the face of the record, incase of any jurisdictional
error, an order made under an invalid law, contravention of the principles of
natural justice, an order made based on no evidence, etc.
v) However, a writ of certiorari cannot be used to disguise an appeal in order to
discuss the merits of a case already dismissed by a lower authority. Its main
aim is to exercise supervision.
5.2 Procedural Aspects-Locus Standi, Laches, Res Judicata, Exhaustion of alternate remedies
Locus Standi-
1. The provisions of Art.s 32 and 226 do not provide for any rule on standing as such.
This has largely been left on judicial discretion.
2. However, the general rule is that only an aggrieved person may move the court to
enforce his rights under the abovementioned provisions. This is primarily because
remedies are a correlative of rights and only those persons whose rights are infringed
might invoke the court’s jurisdiction to get the appropriate remedy.
3. This implies 3 things, namely-
(a) Only an aggrieved person may invoke the court’s jurisdiction.
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(b) If such person belongs to a group or class of persons aggrieved by administrative
action, in order to file a suit, he must show that he has suffered special injury and
thus needs to be remedied.
(c) If the person challenging is a total stranger to the issue, the court would not
normally allow him to continue.
4. However, if the above rule were to be followed in a country like India where people
may not come up to file a case or would due to poverty, ignorance, illiteracy, etc. not
be in a position to file a case in court, administrative action could simply go
unchallenged.
5. Therefore, the courts have tried to provide a somewhat balance by liberally
interpreting the term ‘aggrieved person’ and in certain cases allowing strangers to a
cause to file a suit. However, this largely depends on the discretion of the court.
6. However there is a distinction between standing and justiciability. A person may
have standing to move the court for enforcement of his rights but at the same time his
claim may not be justiciable or enforceable.
7. Inspite of modifications in the rule of standing, the general rule still stands. This has
been stated in Bandhua Mukti Morcha v. India. Exceptions may be made to the rule
only when the courts exercise their discretion to do so and when certain conditions
are satisfied.
8. A person has standing when his personal or individual right has been infringed. He
also has a standing when another person’s rights from whom he derives a benefit or
otherwise have been affected.
9. Also, a person may have standing even when a personal or constitutional right is not
violated but the court is satisfied that he has suffered a genuine grievance due to
action or inaction on the part of an authority.
10. In Gurunanak Society v. State, it was held that even an unauthorised owner of land
may move the court incase he has been removed from such land in an unauthorised
manner as in Indian law even an unauthorised owner has to be evicted from land by a
process authorised by law.
11. In Peermohammed v. DFO Tenmala, it was held that a person had no standing to
challenge illegal activity or construction going on in an adjoining land unless there is
nuisance or trespass or the same affects his easement rights.
12. In Mallappa Murigeppa Sajjan v. Karnataka, it was held that the members of a
tribunal had the required standing to challenge suspension of the working of such
tribunal as being legally appointed members of the tribunal, their rights were
adversely affected by the decision.
13. In MS Jain v. Haryana, it was held that a person whose name was recommended for
appointment could not challenge a decision not to appoint him as he has no legal
right to get appointed.
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14. In SP Subba Rao v. PP Veeraraghvaiah, it was seen that under statute there has to be
a minimum distance between a permanent cinema and a temporary cinema has to be
that of 1000m but the government could grant an exemption to the temporary cinema
owner. The court held that the permanent cinema owner had the right to challenge
such an exemption in order to protect his interests.
15. When a person does not at all participate in the proceedings, he has no standing to
challenge such proceedings later.
16. In Vijay Mehra v. Rajasthan, it was held that a member of a political party cannot
compel the government to constitute a commission for enquiring into certain floods
as it was a matter of executive discretion and the petitioner was not affected by such
floods.
17. In Karpoori Thakur v. Abdul Ghafoor, the court held that a member of Parliament
cannot ask for dissolution of the ministry on the ground of loss of confidence in the
house as the ministry is collectively responsible to the entire Parliament and not just
one legislator. Thus, only one of such members of Parliament does not have a
standing.
18. A different view was taken by the court in Ramana Dayaram Shetty v. International
Airport Authority wherein it stated that while conferring a benefit, the executive
cannot act arbitrarily, illegally or in a discriminatory manner. Thus, the view that the
government has sole discretion in granting a benefit is no longer tenable.
19. If a person suffers an injury by virtue of being a member of an indiscriminate class,
he may file a suit only when he has suffered some sort of special injury which is over
and above the injury suffered by the others. This is to reduce the number of cases that
might be brought before the courts in such situations.
20. In Milap Ram v. Jammu and Kashmir, it was held that any member of a state might
file a petition challenging the grant of permanent residence of the state to a particular
person as the right of every such person is affected by such grant.
21. If a person’s legal right has been substantially affected, he will have a standing.
What shall be considered as being substantial or remote will depend on the facts and
circumstances of every case.
22. A determinate class of persons organised into a group or association also have
standing. In Warrangal Chamber of Commerce v. Director of Marketing, it was held
that a registered body corporate had the standing to file a case on behalf of its
members.
23. In Fertilizer Corporation Kamgar Union v. India, it was held that members of a
trade union have standing to file a petition.
24. Decisions of a municipality may also be challenged. In Ratlam municipality v.
Vardichand, it was held that the residents of the locality had the locus standi to move
the court asking for the municipality to construct drain pipes.
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25. Even members of the municipality have the required standing to challenge a
governmental order when the rights of the municipality have been seriously affected
by such governmental action. (SL Kapoor v. Jagmohan)
26. There has however been a recent development in the form of Public Interest
Litigation which has led to a compromise in the general rule of locus standi.
27. By this rule, an individual or group of individuals might institute a case in court even
if they have no locus standi as per the general rule.
28. Such an exception is generally seen in 2 situations, namely-
(a) When an individual or group of individuals institutes a case wherein their rights
are only remotely affected or when their rights are affected equally being part of the
group due to administrative action.
(b) When any public spirited individual or body devoted to such cause brings a cause
of action before the court challenging administrative action which is prejudicial to the
interests of the general public or a section thereof.
29. This rule is generally allowed because at times the persons whose rights are affected
are not in a position to defend themselves due to illiteracy, ignorance, poverty, etc. or
simply when public interest at large is at stake.
30. However, such person or group of persons filing the case must have sufficient
interest in the case and must act bonafidely without any considerations such as
personal benefit, etc. Also, the court will not allow such petitions where the affected
party itself is disinterested.
31. Also, the courts consider only legal and justiciable issues when it comes to PIL s and
granting such PIL s is upto the court’s discretion.
32. A landmark case in this regard is that of SP Gupta v. India, wherein it was held that
lawyers have a locus standi to bring a case before the court which involved
appointment of additional judges in courts and frequent transfers of HC judges as
such lawyers are interested in the independence of the judiciary.
33. In Babubhai Jasbhai Patel v. India, it was seen that 2 opposition members of the
Gujarat legislature brought a case before the HC asking for reconsideration of
payment of royalty by ONGC to the state government in order to assert the claim of
the state government vis-a-vis the Union Government. This was rejected by the HC
on the ground that the matter involved here was that of high policy and individuals
cannot be allowed to take over governmental function. Further, the matter involved a
question under Art. 131 (Centre-state dispute) which could only be resolved by the
SC.
34. In People’s Union for Democratic Rights v. India, it was held that the union had the
standing to file a case on behalf of construction workers whose rights were being
infringed by contractors who had hired them for such worker by contravening several
laws.
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35. A similar case is that of Sanjit Roy v. Rajasthan, wherein it was held that the
petitioner who was a member of a registered social group could file a case bringing
to light the gross violations being committed by the state government in
contravention of the minimum wages act with respect to workers engaged in famine
work.
36. Again in Bandhua Mukti Morcha v. India, the morcha, an organisation dedicated to
the cause of bonded labourers was decided as having standing to challenge inaction
by the government in implementing the provisions of the Bonded Labour System
Act.
37. In DS Nakara v. India, it was held that a registered society which was a non-
political, non-profit and voluntary organisation had standing to bring a case with
respect to problems of old pensioners.
38. With respect to writs of habeas corpus and quo warranto, the rule of aggrieved
person is not applicable.
Laches-
1. This principle states that if a petitioner files his case after undue delay, his petition
shall be rejected on the ground of latches. This rule is applicable even in case of
violation of fundamental rights.
2. In RS Makashi v. IM Menon, the petition was filed 8 years after the alleged
infringement of fundamental rights under Art.s 14 and 16 by the executive and the
same was rejected on the ground of laches.
3. However, there is no hard and fast rule prescribed under Art.s 32 or 226 as to how
long would be considered enough to reject the petition on the ground of laches. This
matter is infact left to the discretion of the court as could be seen in RS Deodhar v.
Maharashtra, wherein a case filed for enforcement of rights even after a period of 10
years was held as being valid. However, in certain case even a gap of 6 months could
attract dismissal on the ground of laches.
4. In Nirmal Khosla v. India, it was held that if the government itself is responsible for
delay in disposal of the case of the petitioner and the same resulted in inordinate
delay in filing of the petition, the case will not be dismissed as it would then act to
the detriment of the petitioner who is not at fault in such a case.
5. Sometimes when the government is one of the parties, a delay may be taken into
consideration by the court owing to the involvement of public interest in such a
situation. This was also held in UP v. Bahadur Singh.
6. The doctrine of laches is generally brought into the picture when a delay in filing the
case might adversely affect the interests of the other party or third parties. Incase
there exists no such situation, generally the provisions of the Limitation Act are taken
into consideration. This has been seen in the case of Madhya Pradesh v. Bhailal Bhai.
7. In the case of Tilokchand, the court held that the question of laches is one left to the
discretion of the court. Also, it is upto the court’s discretion whether to follow the
provisions of the limitation act or not.
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Res Judicata-
1. The principle of res judicata provides that when courts of competent jurisdiction
give binding decisions, the petition cannot be moved in the same court on the same
cause of action.
2. This is a principle of private law and is applicable to writ proceedings as well.
3. Similarly, in Devilal v. ITO, it was held that when a tax assessment order has been
unsuccessfully challenged in the court, it cannot be challenged again through another
writ petition before the same court.
4. The reason for this principle is that the party will go on filing petitions thereby
causing harassment to the other party.
5. In Lallubhai Jogibhai v. India, it was held that a habeas corpus petition could be
filed again if the grounds for granting such writ are different. However, again in
Kavita v. Maharashtra, it was held otherwise. Never the less the general rule followed
is that of the former case.
6. Also, another rule emerges with respect to withdrawal of cases. However, it has been
observed that incase a case is withdrawn, there is no res judicata.
7. Also, where a writ petition is dismissed without speaking order, there is no res
judicata and there may be subsequent petitions filed. This is because on the absence
of grounds it is not possible to understand as to why such petition was dismissed.
8. Further, the HC cannot review its own decision based on its merits provided no new
evidence or matter is discovered.
9. If the HC dismisses a case on the basis of laches or availability of alternate remedies
or without passing a speaking order, there is no res judicata and the case may be filed
under Art. 32 before the SC.
10. The principle of res judicata has been made applicable between Art.s 32 and 226 due
to the reason that both the SC and HC have more or less similar writ jurisdictions.
11. This may be criticised on the ground that res judicata applies between courts of the
same jurisdiction. Never the less the SC has held that the SC and the HC are on the
same footing with respect to writ jurisdiction.
12. After dismissing a special leave petition, the SC will not accept a writ petition under
Art. 32 due to res judicata. However, exception may be made when the life of a
person is at stake.
13. When a special leave petition is dismissed by the SC, the case may not be
entertained under Art. 226 before the HC except when the former dismisses the case
without giving speaking order. However, if a special leave petition is withdrawn,
remedy under Art. 226 would still be available.
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14. Res judicata operates even when the case is dismissed under a writ petition and is
again filed under a regular petition.
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15. In Nani Amma v. Kerala, the government pleaded that the case was instituted before
the expiry of the period of 2 months after a period of 5years from the date of filing
the suit. This plea was dismissed on the ground that even though there was premature
filing of the case, 5 years was more than sufficient to give a notice to the government
about the case against it.
16. The Law Commission has at several times suggested that the provision of service of
2 months notice under S.80 be done away with but no action has been taken by the
government with respect to the same.
17. However, certain relaxations have been made due to the amendment of the CPC.
Earlier, incase there was a matter requiring urgent or immediate relief to be given, the
plaintiff could approach the court by way of a writ. Now, due to the amendment in
such cases where immediate relief needs to be provided, the plaintiff need not follow
the 2 month notice rule and made with the leave of the court seek a remedy. If it is
proved that there was infact no urgency, the plaintiff shall be asked to file the suit
again after following the 2 month notice requirement and he need not pay court fees
again.
18. Another relaxation made is that there shall be no dismissal if there is any minor
irregularity in the notice provided that the name and description of the place of
residence of the plaintiff has been specified in such notice so as to help identify the
plaintiff and also if the cause of action and relief has been clearly mentioned in such
notice.
19. The Law Commission in its 100th report however stated that amendments to the
section do not resolve the situation and S.80 must be repealed.
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5. Again in Gurucharan Kaur v. Madras Province, it was held that incase of illegal
detention of a person by the police, the government could not be held liable as it falls
within the ambit of sovereign functions.
6. However, railways were regarded as an activity which could be carried on even by
private individuals and thus was not a sovereign function. In Maharaja Bose v.
Governor-General in Council, it was held that when earth from the plaintiff’s land
was removed by a government official to put the same on a railway track, the
government was liable in damages for conversion to the plaintiff.
7. If the state is engaged in some sort of commercial activity or business it does not
amount to a sovereign function. In District Board, Bhagalpur v. Bihar, it was held
that by running the state treasury, the government could not be said to be running a
commercial activity or business and thus would not be liable for torts committed by
the officials of the treasury.
8. In Nodin Chunder Dey v. Secretary of State for India, it was held that giving of
licence and taking excise duty fell within the sovereign functions of the state and thus
the state could not be held liable for any wrongs committed thereunder.
6.1.2 Vidyawati to Kasturilal and the later developments
1. In the landmark judgement of Vidyawati v. Rajasthan, the sovereign immunity of the
state after commencement of the constitution was examined for the first time. The
driver of a jeep kept exclusively for use by the collector fatally injured a pedestrian
while driving the jeep back from the warehouse to the collector’s residence. A suit
for damages was filed against the state as it was vicariously liable for the negligence
of its servant. The state pleaded sovereign immunity under the P&O decision but the
court held that herein the driver was not performing any sovereign function and thus
the state would be held liable. However, the court also stated that the state would be
liable as any employer would be liable for acts done by the employee within the
course of employment. Though this did not expressly overrule the principle laid
down in P&O, it did by implication mean that the government could no longer be
immune incase of wrongs committed by its servants whether the same was done in
the exercise of sovereign or non-sovereign functions.
2. However, in Kasturi Lal Ralia Ram Jain v. Uttar Pradesh, the development as made
in Vidyawati was considerably whittled down. In this case a person was arrested and
some gold was seized from him on the ground that it was stolen. A police constable
stole such gold and fled to Pakistan. In the meanwhile, the person arrested was
acquitted and he proceeded against the state for damages under the principle laid
down by the Vidyawati case. However, the court referred to the P&O case and stated
that the act was committed by the constable in exercise of his sovereign functions as
delegated by the state and thus the state was not liable.
3. The court also stated that in the Vidyawati case, the driving of the jeep back from
the warehouse to the collector’s residence was not a sovereign function and thus the
state could be held liable.
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4. The court however did state that owing to the number of commercial activities
which the state enters into, limits for sovereign must be specified keeping in mind the
provisions of the Crown Proceedings Act in the UK.
5. It stated that it was necessary to differentiate between sovereign and non-sovereign
functions of the state so that it may not evade liability.
6. The Kasturilal case may be criticised for the fact that there exists no clear distinction
between a sovereign and non-sovereign function except for the fact that when the
government carries out such functions as may be performed even by private
individuals, it shall be considered to be a non-sovereign function. However, even in
this case when the gold was left with the police, it may be considered as a bailment
which can be performed even by private individuals. Also, in Vidyawati, the jeep was
kept for exclusive use of the collector who is an administrator with police functions
and thus the wrong committed could very well fall within the ambit of sovereign
functions of the state.
7. In the present day scenario, even though the distinction between sovereign and non-
sovereign functions is maintained, the courts have considerably reduced the ambit of
sovereign functions thereby increasing the number of cases wherein the government
could be held liable.
8. For example in Mysore v. Ramachandra, damage was caused to the plaintiff’s land
due to water overflowing from a reservoir constructed by the government for the
purpose of providing water to the general public. The state was held liable as
construction of the reservoir was regarded as being a welfare function of the state and
not a sovereign function.
9. Again in Uttar Pradesh v. Hindustan Lever, a sub-treasury was being run by the state
government for collecting such amounts as deposited by private individuals and
bodies for being credited into the accounts of government departments. Some such
amounts were embezzled by government officials. The government was held liable as
it was exercising functions as could be exercised by any normal bank and thus were
not performing any sovereign function.
10. In Bihar v. SK Mukherji, it was held that the state is responsible for the safety of its
employees and would be held liable if it does not provide for necessary measures for
the same.
11. In State v. Ram Pratap, it was held that most functions carried out by the Public
Works Department could be carried out by any private individual and thus could not
be regarded as a delegation of the sovereign functions of a state.
12. In Shyam Sunder v. Rajasthan, it was held that when a government official died on
famine duty due to negligence of the driver of a government truck, the state would be
liable as famine relief work does not traditionally come within the ambit of sovereign
functions of the state as it could be undertaken even by private individuals.
13. Other such cases where similar judgments have been given are that of Andhra
Pradesh v. K Padma Rani, Kerala v. K Cheru Babu, Indian Insurance Company v.
Radhabai.
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14. In Khatri v. State of Bihar (Bhagalpur blinding case), it was held that the state would
be liable to pay compensation wherein the right to life under Art. 21 was seriously
affected as it is the duty of the state to act within the authority of the law and protect
the fundamental rights of the people.
15. Similarly in Rudal Shah v. State of Bihar, a person who was detained for 14 years
after his acquittal by the court was paid compensation by the state.
16. Other cases involving payment of compensation include Nilabati Behera v. State of
Orissa (custodial death) and Chairman Railway Board v. Chandrima Das (rape of
Bangladeshi woman by railway employees).
17. However, the present day distinction between sovereign and non-sovereign functions
has been criticised by many. It has been argued that sovereign immunity must be
made applicable for a foreign state in national territory for acts committed against
nationals.
18. The Law Commission in its First Report on Liability of State in Tort stated that there
must be a relaxation in the rule of sovereign immunity of the government and the
distinction between sovereign and non-sovereign functions of the state must be done
away with. Thus, it recommended drafting of a new law in this regard.
19. A bill entitled Government (Liability in Tort) Bill was thus drafted and first
introduced in Parliament in 1965 but could not be passed. It was re-introduced in
1967 and certain modifications were suggested by the Joint Select Committee but no
law has been enacted so far.
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6.2 Contractual Liability of Government
6.2.1 Formation of Contract
1. In UK due to the coming in of the Crown Proceedings Act, the crown can now be
sued for breach of contractual obligations and no permission of the crown is required
to institute a suit against it.
2. In India, formation of government contracts has been enshrined in Art.s 298 and 299
of the Constitution.
3. Art. 298 states that the Union or state government may enter into a contract for any
purpose in exercise of their executive power.
4. Thus, the government may make any contract for any purpose irrespective of the fact
as to whether the same comes within its powers as enshrined in the 3 lists.
5. Also, the government may enter into a contract in exercise of its executive power
and no statutory authority is required.
6. Art. 299(1) lays down the following conditions based on which a contract shall be
entered into-
(a) All such contracts are to be made in the name of the President or the Governor as
the case may be.
(b) All contracts and assurances of property are to be executed on behalf of the
President or Governor.
(c) The President or Governor shall prescribe that the contracts are to be executed by
such persons and in such manner as they may direct or authorise.
7. It has been held that provisions of Art. 299(1) have not merely been laid down for
the purpose of form but are mandatory in nature. This is done to prevent the
government from being liable incase a contract is unauthorised.
8. Unless all conditions under this provision are not satisfied, the contract cannot be
enforced by the government or against the government.
9. Such a strict view of the Art. is taken by the SC though the HC has generally taken a
more liberal view.
10. However, a liberal view needs to be taken some times as even though protecting the
government from unauthorised contracts is necessary, it is also important to protect
private parties who may be unaware of such technicalities. Further, it is also important
to make sure that governmental work is not delayed. Thus, the courts have generally
taken a liberal view when the provisions of Art. 299 have been substantially complied
with.
11. A written contract is necessary however there need not necessarily be a formal
document. It may even be through correspondence or through offer and acceptance if
all the provisions of Art. 299 are complied with. The terms ‘executed’ in the article
have been interpreted as meaning a written contract.
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12. The contract may be executed on behalf of the President or the Governor only by an
authorised person. An unauthorised person cannot bind the government.
13. Art. 299(1) doesn’t lay down any specific rules with respect to conferment of
authority. Generally it is done by way of notification in the official gazette. However,
at times even though a person is not authorised by express terms of the rules but the
rules may be interpreted as conferring special or ad hoc authority on such person.
14. If the government objects to a contract duly signed by an official claiming that such
person was not authorised to do so, the burden to prove that such person was
unauthorised lies on the government due to S.114(c) of the Evidence Act which
presumes that official acts have been performed regularly.
15. The contract unless made and executed in the name of the President or Governor is
unenforceable even when it is made by an authorised person.
16. In Chaturbhuj v. Vithaldas Moreshwar, the court relaxed its view towards Art.
299(1) and stated that even when a contract does not conform to the requirements of
the article, it will not be null and void. If the government wishes, it may ratify such
contract particularly when it is for the benefit of the government. However, in
Mulamchand v. Madhya Pradesh, this view was held as being bad and it was stated
that any contract which did not comply with the provisions of Art.299(1) was null and
void.
17. Also, a contract of service between the government and its employee need not
conform with the requirements of Art.299(1). This is because when a person gets
appointed to such service, his rights and duties become subject to the statutory rules
framed by the government.
18. A statutory contract does not come within the ambit of Art. 299(1). Such a contract
is one made under statute and not an ordinary executive order. This has been upheld
in A Damodaran v. Kerala.
19. In West Bengal v. BK Mondal, it was held that even if the contract was invalid due
to non-compliance with the provisions of Art.299 (1), the government is liable to pay
the respondents for the work already done due to the principle against unjust
enrichment enshrined in S.70 of the Contract Act.
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3. But, this defence of estoppel cannot be used when the provisions of Art. 299(1) are
not complied with.
4. However, this has been criticised as even though Art.299 may not have been
complied with, the party may have done an act in furtherance of the contract and thus
such strict interpretation of Art.299 must be relaxed. A contract must not be vitiated
merely on the ground of inadequacy in form.
5. This principle is however not applicable to statutory contracts as they do not fall
within the purview of Art. 299.
6. In Union of India v. Indo-Afghan Agencies and Century Spinning and
Manufacturing Co. v. Ulhasnagar Municipality, it was held that the HC under its
extraordinary jurisdiction as laid down by Art.226 was empowered to enforce equities
in favour of the plaintiff due to the promise made by the government to such person.
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petitioner had entered into a contract with the government for sale of tents to the
latter. The government later terminated the contract stated that the tents were not of
proper quality and went on to assess damages unilaterally without allowing the
petitioner a right to be heard. This was held by the court in a writ petition as being
unreasonable as no contractual or statutory provision allowed the government to
assess damages on its own.
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caused by negligence of its employee. It was held that the object of the act was to
work for public good. Thus, exclusion of the state from the ambit of the statute by
way of necessary implication would defeat the very purpose of the act.
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6. In England, such powers are generally exercised by a Parliamentary Commissioner
who is appointed by the Crown and holds office till he attains 65 years of age. He can
be removed only by an address of both houses of Parliament.
7. In India, there is no such provision at the central level. However, Lok Ayuktas do
exist in various states.
8. Need for ombudsman-
(a) Judicial control is not effective as the judiciary cannot go into the merits of any
decision given by the administration. It can merely quash an administrative decision
on the grounds that it is not in accordance with the law such as ultra vires, malafides,
irrelevant considerations, patent error in the law, etc.
(b) It is very difficult to prove the abovementioned grounds and the courts generally
do not prefer asking administrative authorities to produce reports and files. Thus, the
entire burden lies on the individual challenging the order to prove his case.
(c) The legislature generally does not lay down standards which are to be followed by
the administration while framing rules, orders, etc. It might so happen that something
in a statute may be permissive for the administration to do but not mandatory. The
administration cannot be questioned in this case even if it does not do such thing in
public interest as the same is not mandatory.
(d) Also, in writ petitions which is the most common way of challenging an
administrative action, courts rely primarily on affidavits filed by the parties rather
than oral testimony and cross examination. Such affidavits generally seek to conceal
more than they reveal.
(e) The administration cannot also be compelled to give reasons for decisions taken
by it beyond the principles of natural justice.
(f) Further, judicial procedure is very time consuming and expensive. It regards the
engaging of counsels as well which many people cannot afford.
(g) Also, technically the legislature being a representative of the people should
exercise a check on the administration. But, this is not possible owing to a multi-
party system and party politics because of which now it is the executive which
exercises power over the legislature.
(h) The legislature is always overburdened and focuses more on legislation and
formulation of policies rather than exercising a check on the administration.
9. The creation of a system of ombudsman in India has been a failure so far atleast at the
centre.
10. In 1966, the Administrative Reforms Commission suggested the creation of such an
office in its report.
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11. In 1968, a Bill was introduced in the Lok Sabha called the Lok Ayuktas Bill but
before it could be placed before the Rajya Sabha, the Lok Sabha was dissolved and
the Bill collapsed.
12. Another attempt was made with the Central Bill of 1971 but again the Lok Sabha was
dissolved.
13. A third and final attempt was made in 1977 with the Lokpal Bill but again it could
not be passed due to the dissolution of the Lok Sabha.
14. However, this system is being followed in several states of India like Orissa,
Maharashtra, Rajasthan, Gujarat, Karnataka, Bihar, Uttar Pradesh, Madhya Pradesh,
Himachal Pradesh and Andhra Pradesh on the model of the 1971 Central Bill.
15. It has been stated that such an institution may be created in countries with a small
population. In a nation like India which has a large population, the office of
ombudsman would be overburdened with cases of maladministration and hence the
system of judicial review is best.
16. Also, the ombudsman only has powers of investigation, reporting matters and
imposing functioning. It cannot act as a super administrator and enforce its decisions.
Q: “The rapid growth and development of administrative law in India has become the
foundation stone of modern political philosophy” Explain
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strikes and lock out in disputes between employers and employees.
As a result industrial tribunals and labor courts were established – they possessed
techniques and expertise to handle these complex problems.
Tribunals are not courts but executive authorities having judicial powers.
• 6. Inadequate legislative process
The legislative process was also inadequate. Legislature had no time and technique
to deal with all the detailed rules and procedure.
Detailed procedure made by the legislature were found to be defective and
inadequate.
All these resulted in the delegation of some legislative powers to the administrative
authorities.
When rule making is done by the executive branch it is known as delegated
legislation.
• 7. Scope for experiments
There is scope for experiments in administrative process
A rule can be made , tried for some time and if it is found defective it can be altered
or modified within a short period.
legislation is rigid and administrative rule making is flexible.
• 8. Preventive measures
Administrative authorities can take preventive measures- licensing , rate fixing etc.
They can also take effective measures for enforcement of preventive measures like,
suspension, revocation , cancellation of licenses etc.
• 9. Delegated Legislation
Separation of powers- legislature, executive and judiciary.
In the modern state legislature after formulating general policies empowers the
executive to make rules to give details for varied reasons.
When executive makes rules in exercise of the power conferred to them, it is known
as delegated legislation.
Delegated legislation is also know as subordinate legislation.
• 10. Reasons for the growth of Delegated Legislation
Pressure upon parliamentary time-
As a result of the expanding horizons of state activity the bulk of the legislation is so
great that it is not possible for the legislature to devote sufficient time to discuss all
the matters in detail.
Legislature , therefore formulates the general policies and empowers the executive
to fill in details by issuing necessary rules , regulations, by –laws etc.
• 11. Technicality
The subject matter of modern legislation is very often a technical nature. That
resulted in the conferring of powers to the experts to deal with the technical
problems. Eg. Gas, Atomic energy, drugs, electricity etc.
• 12. Flexibility
Legislative process is slow and technical . At the time of passing any legislative
enactment, it is impossible to foresee all the contingencies which may arise in
future.
• 13. Permissible Delegations
The legislature provides the gun and prescribes the target , but leaves to the
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executive the task of pressing the trigger.
The legislature formulates the policy and delegates to the executive the task of
supplying the details. This type of legislation is known as Skelton legislation ,because
the legislature makes the law in the form of Skelton and it is the executive which
provides flesh and blood to this Skelton.
• 14. Kunj Behari Lal Butail v. State of H.P
The S.C held that the essential legislative functions , consisting of determination of
or choosing of legislative policy and
formally enacting the policy into binding rules of conduct cannot be delegated by the
legislature.
Only ancillary or subordinate legislative functions can be delegated.
• 15. Power of inclusion and exclusion
Some times the legislature makes the law , but the power to bring the individuals ,
institutions, or commodities within the purview of the statute would be given to the
government .
The Act contains the criteria , standard or principles for the guidance of the
government. Other wise the delegation is liable to be struck down.
• 16. The power to modify the statute
When the legislature passes an Act, it may not foresee all the difficulties that may
arise in implementing it.
The power is there for given to the executive to modify a statute to remove
difficulties which may arise while implementing the Act.
• 17. Impermissible Delegation
Power to repeal a law is essentially a legislative function , and there fore, delegation
of such power to the executive is excessive delegation and is ultra vires .
Subject to the provisions of the constitution , the parliament and the state
legislature can enact law prospectively or retrospectively. But the power of giving an
Act retrospective effect cannot be delegated.
• 18. Impermissible Delegation…..
Article 265 states that no tax shall be levied or collected except by authority of law .
Here law means law passed by the competent legislature and not made by the
executive authority.
However power can be conferred on the government to exempt a particular
commodity from the levy of the tax.
Though the legislature is competent to delegate legislative power , it may not be
unguided or wide. The legislature is required to lay down the criteria or standard so
as to enable the delegate to act within the framework of the statute.
• 19. Conditional Legislation
In conditional legislation, the legislature makes the law . It is full and complete. No
legislative function is delegated to the executive authority.
The Act is not brought into force , it is left to the executive to bring the Act into force
,on the fulfillment of certain contingencies and conditions .
• 20. Delegatus non potest delegare
A delegate cannot further delegate.
When a statute confers some legislative powers on an executive authority and if the
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latter further delegate that power to another agency then it is sub- delegation.
Sub-delegation is invalid if it is not specifically mentioned in the parent Act.
• 21. The principle of Natural Justice
The administrative authorities entrusted with the quasi-judicial functions are
required to act with fairness and in a just and equitable manner.
They should follow the principle of Natural Justice.
There are generally three principles which are considered as the integral part of the
principle of Natural Justice.
• 22. Natural justice….
Rule against bias
A udi alterum partem
Reasoned Decision or Speaking Orders
Rule against bias
The administrative authority who exercise quasi –judicial function should be
impartial. He should not have any interest in the subject matter or in the parties to
the dispute.
• 23. Rule against bias
The principle of rule against bias is based on two principles
No man shall be a judge on his own cause .
( nemo debet esse judex in propria causa )
Justice should not only be done , but manifestly and undoubtedly be seem to be
done
The rule against bias disqualifies any authority from deciding any dispute if he has
any interest in the subject matter or in the parties to the dispute.
• 24. Bias is of three types
Pecuniary bias- the administrative authority exercising quasi judicial function may
not have any pecuniary benefit from the subject matter of the dispute. If there is any
pecuniary interest he is acting against the principle of natural justice.
In Mohapatra & Co. State of Orissa (1984) 4 SCC 103
a committee was constituted by the government for the selection of some books for
educational institutions. some of the members of the committee were authors of the
books. The committee selected the books of the author members. The court held
that there was possibility of pecuniary bias and the selection was set aside.
• 25. Rule against Bias
Personal bias
Personal bias may arise from friendship, relationship, enmity, personal grudge, or
professional rivalry.
A person who is a relative , friend, or enemy of the disputing parties is disqualified
from acting as a judge.
Eg. Being a candidate for selection as well as a member of the selection board.
• 26. Rule against bias……
Bias as to the subject matter (official bias )
If the authority who has power to decide a dispute has a general interest in the
subject matter of the dispute he is disqualified from acting as a judge.
• 27. Audi alterum partem (Here the other side )
The second essential condition of the principle of natural justice is that the person
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against whom an action is proposed to be taken should be given a reasonable
opportunity to defend himself.
no man should be condemned unheard or both sides should be heard before passing
an order.
• 28. Audi alterum partem…
Ingredients of fair hearing are:
Notice
Opportunity of Hearing.
Notice
Before an action is taken the affected party must be given a notice to show cause
against the proposed action and seek his explanation.
The notice should contain the time , place, and the nature of hearing.
the proposed action and the allegations against the person should be made clear in
the notice.
• 29. Audi alterum partem
Opportunity of Hearing
The authority should give full opportunity to the affected party to produce all the
relevant evidence in support of his case.
The authority must disclose all evidence or materials placed before it in the course of
proceedings.
Any material or evidence adduced by one party cannot be utilized against the other
party unless the opportunity to explain , criticize, or rebut the evidence is given to
the other party .
• 30. Speaking orders or Reasoned decision
Speaking order means an order which contains the reasons for the decisions.
Giving reasons in support of an order is considered to be a third principle of natural
justice.
the main advantages of reasoned decision are-
the party aggrieved will get an opportunity to raise a contention before the appellate
authority or revisional court that the reasons which persuaded the authority to
reject the case is erroneous .
It minimize chances of arbitrariness and ensures fairness in the decision making
process.
It introduces clarity in the decisions .
The history shows that man has always appealed to something higher than that which is his
own creation. In jurisprudence, Romans call it ‘jus naturale’, Hobbes, Lock and Rousseau
call it ‘social contract’, or ‘natural law’ and the modern man calls it Rule of Law.
The term Rule of Law of derived from French phase ‘la principe de legalite’ which means the
principle of legality. It refers to a government based on principles of law and not of man.
Edward Coke is said to be the originator of this concept.
Dicey’s concept of Rule of Law contains three principles:
1. Absence of discretionary power in the hands of government officials
2. Person should not be punished except for the breach of law and
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3. The rights must flow from customs and traditions of people.
The system of administrative legislation and adjudication has existed in India from a very
long time. The Britishers came to India for trade so the primary object of British
administration was to maximise profit. As the Britishers gained control over India the
efficiency of administration became the basic necessity to fulfil its basic purpose. The
executive at that time had overriding powers in the matters of justice.
The establishment of Supreme Court in Calcutta had inaugurated an era of independent
judicial administration but it came to an end with the passage of the Act of Settlement, 1781.
After the Battle of Plassy 1757 a centralisedadministrative system was formed to
make laws. Thereafter many regulations were passed to take care ofadministrative justice
system, one among them is Cornwallis Code, 1793. The other one is Section 108 of
Regulation Act 1822 which required administrative agencies to record facts, evidence and
decision. The court had power to control administrative actions but it payed great respect
and attention to the administrative decision. Till the end of British rule the Indian
Government was concerned with the more primary duties only. The Indian Constitution was
adopted on the policy of welfare state. Various sections in the constitution such as Article 39
require the state to direct its policy towards adequate means of livelihood. Article 47 talks
about rising of the level of nutrition and standard of living of its people, article 32 and 226
confers the power to High courts and Supreme Courts to issue writs. Moreover the
constitution itself provides for establishment of administrative agencies. Article 315 talks
about Public Service Commission in India and article 329 talks about Election Commissions.
The concept of Rule of Law is not well defined legal concept. In the case of A.D.M Jabalpur
v. Shivkant Shukla ((1976) 2 SCC 521) an attempt was made to challenge
the administrative order during emergency on the ground that it violates the principle of
Rule of Law. Though the contention didnot succeed but this case made it clear that Rule
ofLaw can be used as a legal concept. In Kesavananda Bharti v. State of Kerala ((1973) 4
SCC 225) the Rule of Lawwas considered the basic structure of Indian constitution. In Indira
Nehru Gandhi v. Raj Narain(AIR 1975 SC 2299) judges held that Article 329A offends the
concept of Rule of Law. The Court in case of Som Raj v. State of Haryana((1990) 2 SCC
653) observed that the absence of arbitrary power is the first postulate of Rule of Law.
The modern concept of Rule of Law is fairly wide. This concept was developed by
International Commission of Jurists. This concept implies that the function of government in
the society should be so exercised as to create conditions in which the dignity of man as an
individual is upheld. During the last few years the Supreme Court of India has developed
some fine principles of third world jurisprudence. This could be seen by the extension of the
Rule of Law to the poor and the downtrodden, the ignorant and the illiterate who form the
bulk of humanity in India. This ruling was provided by the court in response to a letter
drawing attention to unjustified and illegal detention of certain prisoners in jail for almost two
to three decades in the case of Veena Seth v. State of Bihar ((1982) 2 SCC 583).
The Courts in India have established Rule of Law society. The public administration has
effectively implemented rule oflaw. Today the administrative process has grown so much
that we are not governed but administered. The negative side of it is that respect
for law degenerates into legalism which from its very rigidity works as an injury to the
nation.
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