Labour Law Textbook
Labour Law Textbook
Labour Law Textbook
Fifth Edition
Law@work
Fifth Edition
Marylyn Christianson
Marié McGregor
BLC (Pret) LLB (UNISA) LLM (Pret) AIPSA Dip (Pret) LLD (UNISA)
South Africa
www.lexisnexis.co.za
DURBAN 215 Peter Mokaba Road (North Ridge Road), Morningside, Durban, 4001
JOHANNESBURG
2080
CAPE TOWN
Australia LexisNexis,
Austria
Benelux
Canada
China
LexisNexis, BEIJING
France LexisNexis,
PARIS
Germany
India LexisNexis,
NEW DELHI
Italy Giuffrè
Editore,
MILAN
Japan
LexisNexis, TOKYO
Korea
LexisNexis, SEOUL
Malaysia LexisNexis,
KUALA LUMPUR
WELLINGTON
Poland
Singapore LexisNexis,
SINGAPORE
LONDON
DAYTON, Ohio
© 2019
Copyright subsists in this work. No part of this work may be reproduced in any form or by any means without the
publisher’s written permission. Any unauthorised reproduction of this work will constitute a copyright
infringement and render the doer liable under both civil and criminal law.
Whilst every effort has been made to ensure that the information published in this work is accurate, the editors,
authors, writers, contributors, publishers and printers take no responsibility for any loss or damage suffered by any
person as a result of the reliance upon the information contained therein.
Editor: ******
Preface
This fifth edition of Law@work was largely prompted by the amendments to the Labour Relations and Basic
Conditions of Employment Acts and the introduction
of the National Minimum Wage Act, all with effect from 1 January 2019. We
have also incorporated the Code of Good Practice: Collective Bargaining, In-
dustrial Action and Picketing that was published on 19 December 2018. A num-
ber of key judgments have emerged since the last edition. These have been
incorporated into the text where there has been a substantive change to or
point of reference for practitioners. The structure of the book remains as it was in the fourth edition. As far as
possible, we have attempted to avoid a degree of
overlap, but this is inevitable when chapters are designed, as they are, to be
read on a ‘stand-alone’ basis. We trust though that the whole is coherent, and
represents a snapshot of current South African labour law in its social, economic and constitutional context.
2019.
THE AUTHORS
November 2019
Contents
Page
Preface ..................................................................................................................
21
37
57
87
vii
viii
Law@work
Page
Introduction
Page
10
12
3.1
Pre-1995
labour
legislation
.......................................................................
12
14
16
5 The future
..........................................................................................................
17
1
Introduction
What is labour law, and what is its claim to existence as an independent discip-
line? A moment’s reflection will reveal that labour law cannot assert a right to
existence in the same way that the law of contract, delict, or criminal law
might. All of these subjects are based and rely for their coherence on a single
legal concept. For example, criminal law concerns the relationship between the
individual and the state and the kinds of conduct that should be punishable;
the law of delict is primarily concerned with obligations between individuals, the concept of fault and the manner
in and extent to which harm should be compensated. Labour law, on the other hand, has been described as less of a
concept than a ‘dimension of life’.1 The dimension of life with which we are concerned is the world of work and
people’s engagement in it.
However, this does not detract from the significance of labour law, nor is it a
negative reflection on the status of labour law as a discipline either in its own right or as one worthy of study.
While the focus of labour law is the workplace, its subject matter is a complex and intertwined body of law drawn
from a number
of diverse legal sources. Contract, delict, criminal law, administrative law, company law, constitutional law and
international law are all areas of law with
these concepts to work and how they are drawn together to regulate the terms
Conceptual coherence aside, there are at least two other reasons why la-
bour law warrants consideration as a stand-alone topic. The first is that work is fundamental to definitions of self
and provides status, esteem and meaning to
those persons sufficiently fortunate to be engaged in it. The loss of employment, especially in economies with high
levels of unemployment (South Africa’s is such
worker and a worker’s family. Work is a means to sustain material needs and
social, political and economic level, work remains the principal means through
________________________
1 Langille ‘Labour Law’s Back Pages’ in Boundaries and Frontiers of Labour Law Davidov and Langille (eds)
(2006). This chapter draws from the perspective on labour law offered in this essay.
2 This despite predictions of the demise of work. See Rifkind ‘The End of Work’ (1996).
Rifkind’s theory is that human labour ‘is being systematically eliminated from the production process’ (at 3). More
recent studies have focussed on the impact of technological advances on work. This is an element of what is
termed the ‘fourth industrial revolution’ –
the emerging technologies in robotics, automation and artificial intelligence – and their impact on the nature of
work. (See Schwab The Fourth Industrial Revolution (2016) and International Labour Organization Work for a
Brighter Future – Global Commission on the Future of Work (2019).)
Law@work
cent work for all but where assertions are made, as they have been in South
Africa, that in comparative terms the labour market is overly rigid and that
by the recognition that contractual rules ignore the fact that the bargaining
are in a position to bargain on equal terms with their employers; the employer is
The traditional function of labour law has been to address this imbalance.4
Labour law has sought to serve as a countervailing force in two ways. The first is intervention in a substantive
sense, by imposing minimum standards below
which an employer and employee may not contract. In South Africa, the Basic
another regulatory measure. 6 The National Minimum Wage Act7 (NMWA) estab-
lishes a national minimum wage which cannot be waived, and the mechanisms
to review that wage on an annual basis. The Labour Relations Act8 (LRA) estab-
lishes protection for individual employees against employer action in the form of unfair dismissal and unfair
labour practices.
The second and more procedural form of intervention is to improve the bar-
gaining position of employees by creating rights, institutions and structures (for example, the rights to freedom of
association and to bargain collectively) to
act as a countervailing force to the employer’s economic power. Thus, the LRA
guarantees employees the right to join trade unions and participate in their activities, affords representative trade
unions a set of organisational rights, establishes ________________________
3 Perhaps senior executives and highly skilled professional employees are potential exceptions. Even then, this
must be an insignificant number of employees. Most employees, particularly in a society such as South Africa’s,
with the official unemployment rate at 29 per cent, have no bargaining power and are hardly in a position to
negotiate the terms of their employment contracts.
4 The classic statement of this perspective remains this often-quoted passage: ‘The main object of labour law [is]
to be a countervailing force to counteract the inequality in bargaining power which is inherent and must be
inherent in the employment relationship’
(Davies and Freedland Kahn Freund’s Labour and the Law (1983) at 18). Some South African scholars disagree
with the application of this perspective in South Africa and argue that historically the collective bargaining system
perpetuated power imbalances by seeking to control White workers while simultaneously excluding Black
workers. See Le Roux
‘The Purpose of Labour Law: Can it Turn Green?’ in Malherbe and Sloth-Nielsen (eds) Labour Law into the
Future: Essays in Honour of D’Arcy du Toit (2012) at 237. Le Roux also develops a concept of ‘sustainable labour
law’.
5 Act 75 of 1997.
6 S 4 of the BCEA.
7 Act 9 of 2018. This Act will be discussed in more detail below in para 3.2 ‘The post-1994
8 Act 66 of 1995.
Introduction
collective bargaining structures, recognises and gives effect to collective agreements, and upholds the right to
strike.
The form of these interventions, both to fix minimum terms of employment con-
tracts and to establish the framework within which collective bargaining might
related dispute will often be difficult. Unlike contracts that are concluded in
most other forms of commercial engagement, the express terms of the employ-
ment contract are usually not definitive of the relationship between the parties, nor do they seek to be. It may be
necessary to look beyond the terms of the
collective agreements, work rules and practices and the like, in order to estab-
employer exercises physical control, organises work and directs how employees
should do it – is being eroded. Nowadays, it is as likely that work is performed by someone who works from
home, receives instructions on-line, performs work with
full autonomy, delivers the agreed product or services on-line, and is paid on-
line. In this instance, there is no workplace (except in some virtual sense) and
the worker rarely, if ever, sees the employer. 9 These more contingent forms of
flexibility, but they generally offer less protection to workers than does the traditional model of employment. 10
which work is performed has extended to the essentials of the employment re-
lationship itself. Many employers seek to have work performed in terms of agree-
ments that on their face are not employment contracts but rather contracts
between a client and a service provider. While the legal distinction between
________________________
10 See Thompson ‘The Changing Nature of Employment’ (2003) 24 ILJ 1793. Thompson argues that ‘Work has
changed and is changing for both better and for worse. On the positive side, there are now many more options
open to employees, allowing them to work in more flexible ways and to better match their work obligations with
their lifestyle aspir-ations. And the expanded modes of employment and the general competition for skills have
promoted gender equity in the workplace. On the downside, however, a restructured workplace has meant that
some employees have been placed under considerably more workplace pressures while others have been displaced
into more precarious and less well-rewarded job roles’ (at 1815). The International Labour Organization’s recently
published Work for a Brighter Future – Global Commission on the Future of Work (fn 2) suggests that
technological advances will create new jobs, but those who lose their jobs in the transition may be the least
equipped to seize new job opportunities. Today’s skills will not match the demands of tomorrow’s jobs, and newly
acquired skills will quickly become obsolete.
Law@work
employee and independent contractor has been drawn since Roman times,
nature of the legal relationship through which work is performed. In these cir-
cumstances, it has been argued that the legal scope of employment and
employment protection is increasingly out of step with the reality within which
working relationships exist. 11 The emergence of what has been described as the
into sharp focus. Whether those who participate in the gig economy are en-
rights has been the subject of litigation in labour courts and tribunals around the
world.12
gaining, the centre piece of many traditional approaches to labour law, has
been in decline in most industrialised economies for some years. South Africa is
consistent downward trend. There are various explanations for this decline (the
changed nature of work, the decline of industries where union membership has
traditionally been high), but it has obvious implications for those who regard the purpose of labour law as rooted in
power relationships and, in particular, the
thing of a crisis, and recent debates have focused on the need to re-evaluate
the purpose of labour law. One of the proposed solutions is to rethink the con-
tract of employment as the basis for the legal regulation of work and to shift the focus from contract to a
consideration of the nature of protection that should
law has a bright future, once it understands itself as a collection of regulatory techniques, not a sidecar on the
motorcycle of subordinate employment’. 13
________________________
11 Benjamin ‘Beyond “Lean” Social Democracy: Labour Law and the Challenge of Social Protection’ (2006) 60
Transformation 32–57. For an overview of the challenges of providing decent work to non-standard employees
and recommendations for legislative reform, see the Department of Labour’s paper ‘Decent Work and Non-
Standard Employees: Options for Legislative Reform in South Africa: A Discussion Document’ published at
(2010) 31 ILJ 845.
12 In Uber Technology Services (Pty) Ltd v National Union of Public Service and Allied Workers (NUPSAW) &
others [2018] 4 BLLR 399 (LC) the Labour Court discussed the Uber business model at some length but was not
called on to decide whether Uber drivers were ‘employees’ for the purposes of South African labour legislation.
See Mokoena ‘Are Uber Drivers Employees or Independent Contractors? A Comparative Analysis’ (2018) 39 ILJ
1453.
13 Hyde ‘What is Labour Law?’ in Davidov and Langille (eds) (fn 1) at 60.
Introduction
Others consider a theory of justice as an appropriate basis for labour law; some
regard labour rights as a subset of human rights. This approach has obvious
appeal in a South African context, given the fact that the Constitution provides
for an extensive list of labour rights. 14 Indeed, the constitutional dimension of South African employment law is
crucial to an understanding of the nature and
extent of the rights derived from the various sources of employment law and the
that every employee has the right to form and join a trade union, to participate
in the activities of a trade union, and to strike. Employers are afforded the right to form and join employers’
organisations and to participate in their activities.
Trade unions and employers’ organisations have the right to determine their
join federations. Section 23(5) provides that every trade union, employers’ organisation and employer has the right
to engage in collective bargaining. However,
‘everyone’ has the right to fair labour practices.15 This formulation suggests that constitutional rights may apply
beyond the traditional conception of the employment relationship, and that some of these rights are available to
persons
engaged in working relationships but who are not parties to a contract of em-
ployment. 16
work for labour law founded on what people are able to do and to be; the
capacity to lead a life that they have reason to value. Labour law is seen as a
Others have been sceptical of this approach and either sought alternative
and justice are not necessary and that at most some adjustment is required to
address new circumstances and challenges. Bob Hepple made the following
________________________
14 See ch 2 below.
16 SA National Defence Union v Minister of Defence & another (1999) 20 ILJ 2265 (CC). In this case, the
Constitutional Court held that members of the South African National Defence Force were engaged in a
relationship akin to an employment relationship and were entitled to exercise rights of freedom of association. See
also Pretorius v Transport Pension Fund [2018] 7 BLLR 633 (CC) at para [48] where Froneman J observed that
the LRA tabulated the fair labour practice rights of those in formal employment, and that the facts of the case
provided a ‘compelling basis not to restrict the protection of section 23 to only those who have contracts of
employment’.
17 Deakin ‘The Contribution of Labour Law to Economic Reform and Human Development’
in Davidov and Langille (eds) The Idea of Labour Law (2011) at 215.
18 See, for example, Langille ‘Labour Law’s Theory of Justice’ in Davidov and Langille The Idea of Labour Law
(fn 15) at 142 and Bogg ‘Labour Law and the Trade Unions: Autonomy and Betrayal’ in Bogg, Costello, Davies
and Prassl (eds) The Autonomy of Labour Law (2015) at 87.
Law@work
ethics. It is the outcome of struggles between different social actors and ideol-
What is apparent from the current debate on the purpose of labour law is
that the search has become more introspective, one that increasingly seeks
In South Africa, labour law remains at the heart of political, social and economic debates on the nature and extent
of labour market regulation. There are two
broad views which continue to dominate the political debate on the extent to
which the state should intervene in the labour market. The first is a laissez-faire, free-market model, the second a
perspective that emphasises, in a variety of
forms, the need for social justice in the workplace. Of course, there are variants within each perspective, and what
follows is a necessarily broad account.
legislation with the disdain normally reserved for an alien plant species, an un-
welcome intruder invading the indigenous landscape of the common law and
the marketplace. They argue that laws intended for the protection of employees
inconsistent with what is referred to as a ‘right to work under any conditions’. This implies that the real choice for
policy makers is between allowing employees to
work on any conditions they are willing to accept and forcing them to be un-
The only legitimate protection for employees, on this view, is afforded by the
effective and adequate common law and the resultant sellers’ market in which
terms and conditions of employment.22 Libertarians argue that abolishing labour legislation will therefore have
beneficial consequences for employees and for
________________________
19 Hepple ‘Factors Influencing the Making and Transformation of Labour Law in Europe’ in Davidov and
Langille The Idea of Labour Law (fn 17) at 52.
20 A wide-ranging enquiry into the moral and political principles that underpin labour law and its existence can be
found in Collins, Lester and Mantouvalou (eds) Philosophical Foundations of Labour Law (2018).
21 The material in this section is drawn from Van Niekerk ‘Regulating Flexibility and Small Business: Revisiting
the LRA and BCEA: A Response to Halton Cheadle’s Concept Paper’ (2007).
22 See Louw The Right to Work and the Increasing Demand for Labour (2005). Also published as ‘Labour Laws
hinder Employment’ The Star 29 August 2005. See also Brassey ‘Fixing the Laws that Govern the Labour Market’
(2012) 33 ILJ 1 and Van Niekerk ‘Is the South African Law of Unfair Dismissal Unjust? A Reply to Martin
Brassey’ (2013) 34 ILJ 28.
Introduction
A similar but more sophisticated argument for the deregulation of the South
African labour market assumes linkages between lower labour standards and
seek to compete for access to world markets and investment through a form of
opposed to any form of collective agreement) as the best means to ensure the
of other jurisdictions, 23 there are a number of reasons why this approach is inap-
propriate to any reconsideration of labour market regulation in South Africa. 24 It is increasingly apparent that
there is no empirical evidence to support the view
with lower labour standards. Core labour standards do not play a significant
role in shaping trade performance.25 In other words, there appears to be no comparative advantage to be had from
the denial or violation of core labour
standards. 26 Research indicates that the contrary is true. A study into the linkage
Contrary to the race to the bottom hypothesis, the analysis did not find significant linkages between export
performance or FDI inflows and the measures of labour
standards. In sum, the paper finds no evidence that countries with lower standards gained competitive advantage in
international markets. Poor labour conditions
often signal low productivity or are one element of a package of national charac-
teristics that discourage FDI inflows or inhibit export performance.27
This is not to suggest, however, that there is no linkage between inflexible labour markets and the stifling of job
creation. On the contrary, a co-publication by
the World Bank and the International Finance Corporation quotes a study that
suggests that in OECD countries with flexible labour laws employment rates are
________________________
23 Deregulation of the labour market and shifts toward individual contracts as the principal basis for regulating
terms and conditions of employment were evident in Canada and New Zealand after the election of conservative
governments in those countries, and also in Australia.
24 Flanagan ‘Labour standards and International Competitive Advantage’ in Flanagan and Gould (eds)
International Labour Standards (2003) at 17.
25 Lee ‘Labour Market Regulation and Economic Growth’, paper presented to 11th Annual Labour Law
Conference, Durban, 1998.
28 World Bank ‘Doing Business in 2006 – Creating Jobs’ (2006). See Hepple ‘Is South African Labour Law Fit
for the Global Economy?’ in Rycroft and Le Roux (eds) Reinventing Labour Law: Reflecting on the First 15 Years
of the Labour Relations Act and Future Challenges (2012) at 1. Hepple rejects the ‘crude reductionism’ of those
who blame high rates of unemployment in South Africa on labour laws. He argues that the task of labour lawyers
is to advance policies and practices, premised on fundamental human rights that aid development, employment
growth and redistribution by building on South Africa’s comparative advantages.
10
Law@work
nature and extent of any deregulation of the South African labour market. First,
1994, South Africa has ratified all of the ILO’s core conventions. In doing so, it has incurred international law
obligations to uphold the rights to freedom of
to eliminate forced labour and child labour. The package of labour law reforms
introduced in South Africa in 1995 was specifically tailored to anticipate the ratification of the core ILO
conventions and thus to meet South Africa’s inter-
national law obligations. 29 South Africa is also bound by the ILO’s Declaration on Fundamental Principles and
Rights at Work, adopted by the International
ognises labour rights, in particular the right to fair labour practices, as fun-
and places obvious limitations on the policy choices open to those who seek to
regulate the labour market. In short, labour market policy is not only a matter of economics – choices are
constrained by the Constitution and the need to justify
investments, is not a viable policy option. In any event, given international and domestic legal constraints, this is
not the basis on which any fundamental re-assessment of South African labour market regulation can be premised.
The second broad perspective on labour law is one that regards law as a tool to
further the interests of social justice.31 The social justice perspective focuses on what Hugh Collins has referred to
as the role of labour law in ‘setting the distribution of wealth and power in society’. 32
One of the first models developed within this perspective regarded trade unions
as a primary vehicle through which to achieve social justice. In the 1950s and
employees. Kahn-Freund put forward the idea that the purpose of labour law
________________________
30 See ch 3.
31 Referred to above in the context of a discussion of the inadequacy of contract as a mechanism to regulate the
employment relationship.
32 Davies Perspectives on Labour Law (2004) at 17, quoting Collins ‘The Productive Disintegration of Labour
Law’ (1997) 26 ILJ (UK) 295.
Introduction
11
achieved through voluntary collective bargaining. 33 In this approach, law plays
ment and organised labour, but leaves the process of bargaining and its out-
had based his framework of labour law soon came under pressure. By the end
of the 1970s, Kahn-Freund himself expressed the view that the system he had
Since then, in global terms, trade union membership has declined significantly,
and collective bargaining is no longer the significant social institution that it was.
In these circumstances, employees are less likely to have their terms and con-
ditions determined by collective agreements, and are less able to rely on trade
unions have historically emerged as the main form of worker organization, it may
seem to follow that the decline of trade union density, reflected in declining bargaining coverage, spells the demise
of collective bargaining. If so, it might seem that labour law should shift its focus to new forms of worker
organization and to
One of the main reasons for the decline in influence of collective bargaining as
a social institution is that bargaining is more effective in a localised market. The opening up of markets beyond the
scope of union organisation and beyond
nation states has meant that collective bargaining has become increasingly
incapable of effectively promoting and protecting workers’ interests. 37 A possible response is to develop
collective bargaining at an international level and to
bargaining might evolve to deal with these issues and how trade unions will
adapt their strategies to meet new challenges are questions that will no doubt
tection for workers, but recognise rights as a complementary and perhaps more
above, the Constitution protects not only the right to fair labour practices but
________________________
36 Du Toit ‘What is the Future of Collective Bargaining (and Labour Law) in South Africa?’
37 Brown and Oxenbridge ‘Trade Unions and Collective Bargaining’ in Barnard, Deakin and Morris (eds) The
Future of Labour Law Liber Amicorum Sir Bob Hepple QC (2004) at 74.
39 Du Toit ‘Platform Work and Social Justice’ (2019) 40 ILJ 1 discusses the concept of decent work in a
reconstructed platform economy based on collective self-governance.
12
Law@work
also rights to freedom of association, freedom of expression, privacy and equality, all of which find application in
the workplace through enabling legislation such
as the LRA, BCEA and Employment Equity Act40 (EEA). Much of this book con-
cerns statutory rights, their nature and scope, and how they are implemented
and enforced.
While rights might serve the primary function of protection, they are not abso-
lute and may often need to be balanced against the competing rights of others,
including the employer and third parties. The role of dispute resolution institu-
tions, especially labour courts, is thus fundamental. Courts provide the primary
mechanism through which labour rights are enforced and through which com-
boundaries of national states has been the incorporation of human rights, in-
tries that have little in the way of labour market regulation, or where to attract investment or for want of resources,
minimum labour standards are not enforced. To the extent that basic labour rights include the rights to organise and
to bargain collectively, these developments may serve to promote collective
remains hostile. 41
a period of rapid industrialisation in the first few decades of the twentieth century, after the discovery of gold and
diamonds in South Africa in the second half of the nineteenth century.
Many of the foundations of the LRA were laid in response to events in 1922,
when White workers in the mining industry came out on strike, protesting against
attempts by the industry to reduce wage levels and to break the monopoly
the strike was the enactment of the 1924 Industrial Conciliation Act.43 The Act ________________________
40 Act 55 of 1998.
41 See Du Toit ‘Self-regulated Corporate Social Responsibility: The Impact on Employment Relations at
European Corporations in South and Southern Africa: A Preliminary Overview’
42 For a comprehensive history of South African labour law from 1652 to the present, see Brassey Employment
and Labour Law Vol 1: Employment Law (1998) A1: 9–A1: 54; Du Toit, Godfrey, Cooper, Giles, Cohen, Conradie
and Steenkamp Labour Relations Law: A Comprehensive Guide (2015) at 6.
43 Act 11 of 1924.
Introduction
13
ployers’ organisations and the councils themselves to register, and created the
But the Act applied only to White workers, an exclusion that was to persist until 1979. In 1934, after a report by
the Van Reenen Commission, the Act was revised, and a new Industrial Conciliation Act44 was promulgated in
1937. In 1948, the year in which the Nationalist government was elected, the Botha Commission was appointed to
revise the 1937 Act and other labour legislation. In
1956, the Industrial Conciliation Act45 was passed, retaining the industrial council
system but consistent with the government’s racist policies, the Act entrenched
the exclusion of Black employees from the statutory system, introduced statutory
job reservation and established measures to segregate those unions that were
non-racial.
fessor Nic Wiehahn, with terms of reference to report on and make recommen-
dations concerning the existing labour legislation. In its report, the commission noted that consequent on the
economic boom of the late 1960s, the increased
rate of industrialisation and the demand for skilled labour had resulted in Black employees moving into more
skilled occupations. This, the commission considered, had placed strain on the racially exclusive industrial council
system and exposed the limitations in the Black Labour Relations Regulation Act, 46 a statute that conferred
limited powers on workplace committees to represent Black
employees.
But the more substantial reason for change lay in what the commission
termed ‘the labour unrest of 1973’. During that year, trade unions representing
mainly Black employees had rejected the racist legislative dispensation and
place bargaining structures in individual enterprises. These initiatives succeeded, at least to the extent that the
commission noted that by the end of the 1970s
there was a disjunctive between the law and industrial relations practice in
South Africa.
the 1956 Act.47 The most significant of these was the extension of trade union
tice, and the establishment of the Industrial Court. While the motives underlying
trade union movement opted to operate within the new statutory system.
________________________
44 Act 36 of 1937.
45 Act 28 of 1956.
46 Act 48 of 1953.
48 See Van Niekerk ‘In Search of Justification: The Origins of the Statutory Protection of Security of Employment
in South Africa’ (2004) 25 ILJ 853.
14
Law@work
sive but not always consistent jurisprudence that emerged from the Industrial
Court between 1980 and 1994, creating and defining both individual employ-
relationship. The Industrial Court interpreted the unfair labour practice definition to proscribe labour practices that
it considered unjustified and inequitable, and sought to apply fairness in this sense to the cases that came before it.
49 For the
first time, contractual terms in the employment context were directly subordin-
One of the first legislative initiatives approved by cabinet after the election of a democratic government in April
1994 was a revision of the 1956 Act. This time,
tripartite ‘task team’, working within approved terms of reference, was appointed to provide the blueprint for a
new Act.
The cabinet appointed the task team in August 1994, with Professor Halton
Cheadle as its chair. There were obvious political reasons for the decision to
enact an entirely new statute, but there were also legal and pragmatic reasons.
The enactment of the interim Constitution50 and its incorporation of labour rights
in a Bill of Rights created new imperatives for the regulation of the labour mar-
ket. South Africa rejoined the ILO in 1994, and embarked on a programme of
ratification of the core ILO conventions. The act of ratification created inter-
give full effect to these obligations. Finally, the 1956 LRA, with all of the amendments effected to it after 1979,
was a largely unworkable piece of legislation,
and an overhaul was long overdue.51
The brief given to the task team was to draft a ‘negotiating document in draft
Bill form’. The idea was that the team would work independently to produce a
document, in legislative form, for the social partners to debate. This process,
driven by then Minister of Labour, Tito Mboweni, was designed to ensure that, if
possible, the new legislation would enjoy the support and confidence of govern-
In February 1995 the task team released the negotiating document. Not with-
out difficulty, agreement was ultimately reached among the social partners on
________________________
49 See SA Diamond Workers Union v Master Diamond Cutters Association of SA (1982) 3 ILJ 87 (IC).
51 In Natal Die Casting ( Pty) Ltd v President, Industrial Court & others (1987) 8 ILJ 245 (D), Kriek J said the
following: ‘I have on previous occasions, in relation to a variety of problems arising from the interpretation of
various provisions in the Act, expressed dismay at the fact that the legislature, in 1979, saw fit to cut, trim, stretch,
adapt and generally doctor the old Act in order to accommodate and give effect to the recommendations of the
Wiehahn Commission instead of scrapping the old Act and producing an intelligible piece of legislation which
clearly and unequivocally expressed its intentions’ (at 253J–254A).
Introduction
15
the terms of the new law and by November 1995, a Bill was introduced into
parliament. A year later, on 11 November 1996, the LRA came into operation.
The Act was followed by the BCEA in 1997, the EEA in 1998 and the Skills De-
velopment Act52 (SDA) in 1998, thus completing the suite of legislation that
regulates the South African labour market. The LRA, BCEA, EEA and SDA have
been amended over the years and supplemented by regulations and codes of
good practice, but they remain the cornerstone of the statutory regulation of
employment.
The LRA remains the principal labour statute. It regulates collective rights
(such as the right to organise, the right to strike and collective bargaining structures) and provides protection to
individual employees against unfair dismissal
and unfair labour practices. The LRA also regulates trade unions and employer
terms on which employers and employees may contract) and provides for their
enforcement. The BCEA also establishes mechanisms for the variation of basic
agreements. The latter are more detailed wage regulating measures that apply
to specific sectors, usually those that are less well organised by trade unions and in respect of which there is no
bargaining council established.
national minimum wage. The Act also establishes a national minimum wage
commission, which is required to review the national minimum wage and rec-
ommend adjustments. The national minimum wage is fixed at R20 per ordinary
hour worked, with different rates for domestic and farm workers and workers
wide range of policies and procedures, including those that regulate access to
known as SETAs) and regulates standard setting, training and development. The
of payroll (currently fixed at 1 per cent) to fund the infrastructure established by the SDA.
These statutes aside, a number of Acts regulate health and safety in the
workplace both generally and in respect of specific sectors, while others estab-
lish compensatory schemes for occupational diseases and injuries. Finally, there
________________________
52 Act 97 of 1998.
53 Act 9 of 1999.
16
Law@work
Some of the key labour market institutions have already been mentioned. The
South African labour market has been described as corporatist, meaning that
employer organisations and trade unions play a significant role in national eco-
nomic and social decision-making.56 One of the unique institutions in the South African labour market is the
National Economic Development and Labour
on the enactment of the NEDLAC Act.57 The Act establishes four NEDLAC chambers – a public finance and
monetary chamber, a trade and industry chamber,
development interests. NEDLAC has a broad brief, but its most important func-
tions are to promote the goals of economic growth, to seek to reach consensus
sider all proposed labour legislation before it is submitted to parliament, and to consider all significant changes to
social and economic policy before implementation or introduction in parliament. 58
In this sense, NEDLAC represents what has been termed ‘the institutionalisation
The negotiation of the LRA was NEDLAC’s first significant challenge, one that it
agenda, with the BCEA, EEA and SDA and amendments to labour legislation all
being broadly agreed in the labour market chamber. More recently, NEDLAC
initiatives.
poverty alleviation. 60
________________________
54 Act 63 of 2001.
55 See ch 18.
57 Act 35 of 1994.
58 S 5(1)(c).
59 Parsons ‘Investing in Social Capital in South Africa’ in IOE Annual Labour and Social Review (2007).
activities. The Department provides free access to pro forma documentation relevant to employment, to legislation,
regulations and codes of good practice.
Introduction
17
The labour courts are key institutions, given their role in the interpretation and application of labour legislation.
The structure, functions and powers of the
courts are discussed in chapter 17. The CCMA is the centrepiece of the LRA – it
serves as the principal statutory dispute resolution body for those employers and employees who do not fall within
the jurisdiction of a bargaining council. The
CCMA has important functions beyond those of conciliation and arbitration: its
The LRA promotes collective bargaining at sectoral level. The most important
clude collective agreements for the sectors for which they are registered and
5 The future
The labour market is dynamic. For that reason, labour legislation is never im-
mune from critical reflection and, when necessary, revision. The LRA was
amended in 1998, in 2002, in 2014 and again in 2019. The amendments effected
ment is disputed. 62 A key feature of the 2014 amendments was the introduction of a more detailed regulation of
the status of employees not engaged in permanent employment relationships and, in particular, the regulation of
tempor-
ary work. The 2019 amendments saw the introduction of measures to regulate
the exercise of the right to strike and the right to picket. The amendments have
mote the peaceful exercise of the right to strike and steps to avoid prolonged or violent strikes and lockouts.
Shane Godfrey, writing in 2015 in the sixth edition of Labour Relations Law: A
Comprehensive Guide 63 lists specific areas of concern. These include the sharp
development. One of the reasons for this state of affairs is, as he suggests, the inability of the economy to create
formal jobs, a catalyst for both charges of
________________________
62 See ch 9 below.
63 Fn 42 at 70.
18
Law@work
rigidity directed at the current regulatory framework and challenges for the
The overriding impression one has . . . is that the labour relations system is in a state of flux and that much of the
pressure on the system is coming from external factors. Trade union membership remains high but appears to have
reached a
plateau; the number of bargaining councils is declining but there are also signs
although the level of centralisation in that sector is problematic; there are very few workplace forums and relations
in the workplace appear to have become more
adversarial; there is no strike wave but strikes have become increasingly violent, major and very damaging strikes
taking place at relatively short intervals; the
CCMA has performed remarkably well in difficult circumstances but has made
most sectors where workers are particularly vulnerable but enforcement capacity
remains low and answers appear to be sought in increasing the size of fines; em-
ployment equity continues to move forward slowly; and skills development might
finally be starting to take off even though the primary and secondary education
At an institutional level, these strains are apparent. The goals of informal, expeditious and efficient dispute
resolution remain elusive. Levels of industrial action are reported to be higher than they were in the period
immediately following
employers and trade unions, which appear to remain mutually hostile to the
model. There are fewer bargaining councils now than there were in 1994, and
skills remain one of the more significant inhibitors of economic growth, while
most statutory skills authorities seem unable to manage the funds under their
control for the purposes for which they were entrusted. After more than 20 years, have we come full circle, and are
all or most of the ‘problem statements’ in the
Explanatory Memorandum to the 1995 draft Labour Relations Bill as valid today
What challenges does the fact that the vast majority of workers in Southern
Africa are engaged in the informal economy pose for labour law, or, more
broadly, for labour market regulation? Evance Kalula has argued that ‘the
future of labour law in Southern Africa depends on going beyond “borrowing
adopted if labour market regulation and labour market institutions are to ad-
dress the needs of the majority in the sub-region, those unaccounted for in the
________________________
64 Kalula ‘Labour Law and Labour Market Regulation in South Africa’ in Barnard, Deakin and Morris (fn 37).
Introduction
19
The debate on the future and purpose of labour law outlined earlier in this
chapter has some resonance here. Paul Benjamin, writing about labour law and
In this context labour market regulation refers to areas of regulation, both legal and extra-legal, that impact on the
capacity of individuals to work in order to earn a livelihood. It covers work by both employed and self-employed
persons as well
as the processes by which individuals obtain skills to enable them to perform productive and remunerative work. It
covers the terms under which individuals work,
and the conditions under which they enter or leave work and are provided with
security during stages of transition or unemployment. The overall objective of labour market regulation is to
promote the security of those who work for a livelihood in a
problems that present the most acute challenge for labour market regulation in
South Africa – poverty, unemployment and the shortage of skills – remain mat-
ters on which readers may wish to reflect as they consider the material that is
The 2019 amendments were introduced at an auspicious time. The initial legis-
lative package crafted in 1995 was introduced soon after the establishment of
a democratic South Africa, with the active participation of employer and union
federations and premised on corporatist values and assumptions. The split in the
country’s major trade union federation and the launch of a rival federation in
April 2017, coupled with the recent emergence of minority (often breakaway)
unions and their assertion of power in key sectors and on the other side of the
the exercise of the right to picket may have the desired effect of promoting
unrealised. Again, time will tell whether the measures to promote employee
Good Practice serve to improve workplace relationships. For the present, South
they ever were. In May 2019, Statistics South Africa released the quarterly labour force survey for the first quarter
of 2019. The rate of unemployment is reported to ________________________
65 Benjamin ‘Labour Law Beyond Employment’ in Rycroft and Le Roux (fn 28) at 30–31.
20
Law@work
have increased to 29 per cent. Of the 10,3 million persons aged between 15 and
24, in the first quarter of 2019 40,7 per cent were not in employment, education
or training.66 Although linkages between labour laws and levels of employment remain contested, the sheer
number of unemployed persons has obvious implications for the debate on the nature and extent of labour market
regulation in
South Africa.
________________________
Page
1 Introduction
....................................................................................................
23
23
24
4 ILO standards
.................................................................................................
25
5 Core standards
..............................................................................................
26
27
27
29
6.3
Article
24
complaints
............................................................................
29
6.4
Article
26
complaints
............................................................................
29
30
30
law ...................................................................................................................
32
32
34
9 Regional instruments
.....................................................................................
35
35
36
36
21
23
1 Introduction
Prior to 1994, international standards played only an indirect role in the development of South African labour law.
1 This is no longer so, and a meaningful study of labour law is not possible without at least a rudimentary
understanding of the institutions that shape international labour standards, the basic content of those standards and
the relationship between them and domestic labour legislation.
First, the Constitution of the Republic of South Africa, 1996 expressly recognises international law as a foundation
of democracy. The labour standards generated
by a number of international organisations, in particular the International Labour Organization (ILO), constitute an
important source of customary international
for the evaluation of domestic labour legislation, but also as a basis for regu-
lating global trade2 and establishing norms to guide the action of private com-
panies, especially multinational corporations. Thirdly, international instruments that give effect to international
standards are explicitly recognised by the Constitution as points of reference for the interpretation of labour and
other legislation.
In this chapter, we discuss the structure and role of the ILO and the application and relevance of international
labour standards for South African labour law.
We also discuss the development of regional labour standards, in the form par-
The ILO was established by the Treaty of Versailles, signed in 1919.3 What was
then the Union of South Africa was a signatory to the Treaty, which also estab-
lished the League of Nations. All members of the League of Nations became
founder members of the ILO. After the Second World War, the United Nations
(UN) replaced the League of Nations, and the ILO became the UN’s first
In 1959, apartheid became a focal point of debate in the ILO, when the
________________________
1 Informally, international labour standards were influential during the 1980s when the Industrial Court developed
its unfair labour practice jurisprudence. The court frequently referred to ILO conventions and recommendations
when crafting rules in relation to the security of employment, freedom of association and bargaining rights.
3 For an overview of the foundation and formative years of the ILO, see Hepple (fn 2) at 29–33.
24
Law@work
South African government until 1961, when the International Labour Conference
adopted a resolution calling for the withdrawal of South Africa from the ILO on
Africa, the South African government gave notice in 1964 of its intention to
During the 30 years that South Africa was not a member of the organisation,
the ILO played a significant role in the struggle against apartheid. Each year,
ment, the denial of basic labour rights to Black workers and broader issues
One of the most significant ILO interventions in South Africa occurred in 1992,
LRA introduced in 1988. The Commission filed a report on the state of South
African labour relations and labour law, and made specific recommendations
consistent with ILO standards. The report became a significant point of refer-
ratified all of the ILO’s core conventions6 and plays a key role in ILO affairs.
The ILO comprises three main bodies: the International Labour Conference, the
The Conference is the highest policy-making body of the ILO. It meets annually
sentative and one worker representative, with the employer and worker repre-
The Governing Body is the executive arm of the ILO. It comprises 56 members,
________________________
4 See Saley and Benjamin ‘The Context of the ILO Fact-finding and Conciliation Commission Report on South
Africa’ (1992) 13 ILJ 731.
5 For a discussion on the relationship between South Africa and the ILO post-1994, see Erasmus and Jordaan
‘South Africa and the ILO: Towards a New Relationship’ (1993/4) 19
25
the agenda of the Conference, manages the budget of the ILO, and makes
The International Labour Office is the ILO’s bureaucracy, and performs the
day-to-day work necessary to give effect to the ILO’s mandate. The Director-
General, who is appointed by the Governing Body for a fixed term, heads the
Office.
4 ILO standards7
ILO standards assume a variety of forms. The most important standards are con-
the purpose by the International Labour Conference. More often than not, a
‘double discussion’ is held – the committee meets over two consecutive years,
with the draft text of a proposed convention and recommendation being com-
municated by the Office to governments after the first discussion. During the
text of the instruments concerned. These texts are submitted to a plenary session of the Conference for final
adoption. It is possible though for a convention and
tions and recommendations must secure a majority of the votes cast by two-
Conventions are not automatically binding, not even on those member states
that voted in favour of the adoption of the convention. The rationale underlying
this provision can be traced back to the formation of the ILO and resistance to
the concept of an ‘international labour parliament’ that would have the power
The ILO’s constitution therefore provides for the voluntary assumption of obli-
that state has ratified the convention. Article 19, paragraph 5(d) of the ILO
‘take such action as may be necessary to make effective’ the provisions of the
ILO’s constitution.
________________________
7 For more information on ILO standards, see www.ilo.org. For a candid and contemporary
overview of the ILO and its standard setting functions, see Creighton ‘The Future of Labour Law: Is there a Role
for International Labour Standards?’ in Barnard, Deakin and Morris (eds) The Future of Labour Law Liber
Amicorum: Sir Bob Hepple QC (2004) at 253.
26
Law@work
provide more detailed measures that are supportive of the terms of the conven-
tion itself.
domestic authority.8 This does not imply any obligation to ratify any convention
so submitted. The idea is that the competent authority, usually the legislature,
has an opportunity to reflect on and debate the standard and the prospects of
its ratification.9
The Conference may also adopt declarations. These are formal instruments,
principles. The most significant declarations are the Declaration of Philadelphia (on freedom of association)
adopted in 1944 and the Declaration on Fundamental Principles and Rights at Work, adopted by the Conference in
1998. The
latter Declaration was a response to the debate on the social clause (or linkages between trade and labour rights)
and acknowledges that simply by virtue of
implement the principles that underlie the core conventions. In 2008, the Con-
The ILO also issues codes of practice, none of which are binding, but which
5 Core standards12
The ILO’s Governing Body has identified eight conventions that it considers
l Freedom of Association and the Right to Organise Convention, 1948 (No. 87);
l Right to Organise and Collective Bargaining Convention, 1949 (No. 98);
________________________
9 The obligation to submit is subject to a time limit of one year from the close of the Conference or, in exceptional
circumstances, 18 months.
11 See eg the ILO’s Code of Practice on the Protection of Workers’ Personal Data, published in (1997) 18 ILJ 26.
12 The full text of the core conventions (indeed, all of the ILO’s conventions and recommen-
13 The Governing Body initiated a campaign in 1995 to secure the universal ratification of the fundamental
conventions, with the result that over 80 per cent of the possible ratifications have been achieved.
27
rights of trade unions, employers’ organisations and their members and their
right to conduct their activities and programmes without interference from the
work and prohibition against involuntary work exacted under threat of penalty,
the right to equality in employment both in the sense of a right to equal pay for work of equal value, and a
prohibition against discrimination in the workplace.
Ratification of a convention gives rise to an obligation to implement its terms in national law and practice. The
supervisory mechanisms established by the ILO’s
constitution envisage regular supervision, in the form of scrutiny of reports submitted by member states by the
various supervisory bodies. The ILO depends
largely on its influence and status to convince Member States to give effect to
and Recommendations
________________________
14 The Standards Initiative: Joint report of the Chairpersons of the Committee of Experts on the Application of
Conventions and Recommendations and the Committee on Freedom of
Association Review of ILO Supervisory Mechanism (GB.326/LILS/3/1, 29 Feb 2016) at viii underlines the need for
continuous reflection: ‘Improved coordination of supervision and technical assistance will also lead to more
effective compliance with international labour standards. It is generally recognized that the ILO’s supervisory
system succeeds in promoting the application of labour standards. Bolstering the transparency, accessibility,
awareness and coherence of the system nevertheless demands unceasing attention. Moreover, measuring the
impact of international labour standards is essential for the continuous efforts to strengthen the ILO supervisory
system’.
28
Law@work
l Under Article 19, reports may be requested from member states on unrati-
ventions that it has not ratified. The purpose of these reports is to reflect on
national law and practice in relation to the subject matter of the convention
and recommendation, and to enable the supervisory bodies to consider
The Committee of Experts meets in Geneva on an annual basis and holds its
available to it the texts of legislation, collective agreements, court judgments, information on the results of
inspections furnished by member states, comments
Association.
The findings and conclusions of the Committee of Experts take the form of
requests are not published, but are communicated to the government of the
________________________
15 There was recently a serious dispute between the different social partners about the status of the Committee’s
work, set against the backdrop of the employers questioning the very existence of an international right to strike. In
this regard, see Smit (‘International Developments regarding the Implementation of the Right to Strike’ 2017 vol
38 Comparative Labor Law & Policy Journal 101 at 114 and further) who states that in the ILC, Report of the
Committee of Experts on the Application of Conventions and Recommendations (Report III(1A), 103rd Sess., ILO,
Geneva, 2013) the committee reiterated that: ‘35.(a) In stating that its views are to be considered as valid and
generally recognized (absent contradictory ruling from the ICJ), the Committee is not saying that it regards its
views as having any res judicata or comparable effect. The Committee does not regard itself as a court of law.
Indeed, it has been consistently clear that its formulations of guidance – presented as opinions or recommendations
in the context of observations, direct requests, and General Surveys – are not binding. Rather, the persuasive
validity of the Committee’s formulations for member countries, social partners, the Conference Committee, and
others within the ILO stems from: (1) their logical relation to the standards application process; (2) the equal
treatment and uniformity that accompanies their implementation; (3) the quality of their reasoning; and (4) the
recognized independence and expertise of the Committee as a whole. (b) In this respect, the Committee’s guidance
is part of the so-called international law landscape. Like the work of independent supervisory bodies created within
other UN
organizations addressing human rights and labour rights, the Committee’s non-binding opinions or conclusions are
intended to guide the actions of ILO member States by virtue of their rationality and persuasiveness, their source
of legitimacy (by which is meant the independence, experience, and expertise of the members), and their
responsiveness to a set of national realities including the informational input of the social partners’.
29
mendations, selected for this purpose by the Governing Body. General Surveys
usually present a snapshot of national law and practice on the topic con-
cerned. For example, a General Survey on equality will review the extent to
which national law and practice in member states reflect the terms of Conven-
tions 100 and 111 (the standards relevant to the rights to equality at work and
equal pay). The Committee also examines obstacles to the ratification of any
relevant conventions, with a view to clarifying the nature and scope of the
Article 19 procedure is not strictly a supervisory procedure (because it relates to unratified conventions as well as
recommendations), the General Surveys are
in the report of the Committee of Experts. It is not possible in the period for which the Conference Committee
meets to discuss all of the cases, and a selection of
International Labour Office under Article 24 of the constitution to the effect that a member state has failed to
secure in any respect the effective observance
within its jurisdiction of any convention that it has ratified.
that is received is unsatisfactory, the Governing Body may elect to publish the
establishes a procedure that is legally enforceable. The Article provides that any member of the ILO has the right
to file a complaint with the International Labour Office if it is not satisfied that any other member is securing
effective observance of any convention that both member states have ratified. The procedure
may also be initiated by the Governing Body of its own motion, or on receipt of
30
Law@work
the same way provided under the Article 24 procedure, and may appoint a
the Governing Body and the government concerned, and publish it. The gov-
to be referred to the International Court of Justice. The International Court may affirm, vary or reverse any of the
Commission of Inquiry’s findings and recommendations. 16 In terms of Article 31 of the ILO constitution, the
court’s decision is
final.
resolution of the Governing Body. The CFA is tripartite, and comprises nine mem-
bers (three government, three employer and three worker representatives) and
an independent chairperson. The CFA was established to examine allegations
the Governing Body whether cases are worthy of examination by the Governing
Body.
The CFA procedure differs from the procedures established by Articles 24 and
26 in that complaints may be made against member states that have not rati-
One of the ILO’s original purposes was to provide a mechanism for the protec-
tion of workers against the adverse effect of international competition.17 Globalisation has brought this purpose
into sharp focus and has generated some con-
troversy over whether the ILO is better placed than other international organ-
account of lower labour costs. Concerns were also raised in the ILO regarding
The ILO has responded to these challenges in a number of ways. First, the ILO
has identified core standards, in the form of the core conventions listed above,
________________________
16 Art 32.
31
tice and other ‘soft-law’ mechanisms) is being encouraged. All of these mea-
sures are intended to ensure that the ILO and international labour standards
In June 2008, the Conference adopted the Declaration on Social Justice for a
Fair Globalisation, perhaps the most far-reaching confirmation of the ILO’s con-
tinued role and relevance in the context of economic globalisation. The Dec-
laration spells out four themes or strategic objectives that inform the ILO’s
logue and fundamental rights.19 As part of its centenary celebrations in 2019, the ILO published the report by its
Global Commission on the Future of Work. 20
The work of the commission was organised around four ‘centenary conversa-
tions’ – work and society, decent jobs for all, the organisation of work and pro-
duction and the governance of work. The context to the future of work is
create new jobs, but those who lose their jobs in this transition may be the least equipped to seize the new
opportunities. Today’s skills will not match the jobs of tomorrow and newly acquired skills may quickly become
obsolete. The greening
and clean technologies but other jobs will disappear as countries scale back their carbon – and resource – intensive
industries. Changes in demographics are no less significant. Expanding youth populations in some parts of the
world and ageing
populations in others may place pressure on labour markets and social security
systems, yet in these shifts lie new possibilities to afford care and inclusive, active societies.
The report proposes solutions centred on the reinvigoration of the social con-
tract, and increasing investment in people’s capabilities, the institutions of work, and decent and sustainable work.
ment, eradicating poverty, and ensuring that people can work with dignity and
in safety.
________________________
18 For a debate of these developments, and whether they constitute a retrogressive step, see Alston ‘Core Labour
Standards and the Transformation of the International Labour Rights Regime’ (2004) 15 (3) Eur J Int Law 457 and
the reply by Langille ‘Core Labour Rights
– the True Story (Reply to Alston)’ (2005) 16 (3) Eur J Int Law 409.
19 For a full discussion on the content and context of the Declaration, see Maupain ‘New Foundation or New
Facade? The ILO and the 2008 Declaration on Social Justice for a Fair Globalization’ (2009) 20 (3) Eur J Int Law
823.
20 International Labour Organization Work for a Brighter Future – Global Commission on the Future of Work
(2019).
32
Law@work
Why should South African labour lawyers be concerned with ILO standards?
There are at least two answers to this question. First, in a substantive sense, the Constitution accords international
law a particular status. Secondly, the Constitution requires the application of international law when interpreting
South African legislation and in particular, the Bill of Rights. Section 232 of the Constitution provides that
‘[c]ustomary international law is law in the Republic unless it is inconsistent with the Constitution or an Act of
Parliament’. Section 233 regulates the application of international law. The section provides:
when interpreting any legislation, every court must prefer any reasonable interpretation of the legislation that is
consistent with international law over any alternative interpretation that is inconsistent with international law.
Finally, the Bill of Rights must be interpreted in accordance with the particular injunction contained in section
39(1) of the Constitution. That section provides: When interpreting the Bill of Rights, a court, tribunal or forum –
(a) must promote the values that underlie an open and democratic society based
relation to the interpretation of the Bill of Rights. While a court may have regard to comparable foreign case law, it
must have regard to public international law.
One of the issues raised by section 39 is the nature of international law. Are
which South Africa has specifically assented, or is the phrase ‘international law’
to be interpreted more broadly? 21 The Constitutional Court has affirmed that section 39(1) requires both
instruments that are binding on South Africa and
within which . . . [the Bill of Rights] can be evaluated and understood, and for that purpose decisions of tribunals
dealing with comparable instruments, such as the
Human Rights, and the European Court of Human Rights, and in appropriate cases,
________________________
21 For a discussion on the statutory interpretation with reference to human rights, see Dugard International Law: A
South African Perspective (2011) at ch 4. For a more general discussion on the reception of international standards,
see Cheadle ‘Reception of International Labour Standards in Common-Law Systems’ in Le Roux and Rycroft
(eds) Reinventing Labour Law: Reflecting on the First 15 Years of the Labour Relations Act and Future
Challenges (2012) at 348. See also Cohen ‘Efficacy of International Standards in Countering Gender Inequality in
the Workplace’ (2012) 33 ILJ 19.
33
reports of specialised agencies such as the International Labour Organization may provide guidance as to the
correct interpretation of particular provisions.
In the first case23 in which section 23 of the Constitution was the subject of a
challenge,24 the Constitutional Court made reference to ILO standards. At issue was the constitutionality of a
provision of the Defence Act25 that prohibited
members of the permanent military force from forming and joining trade unions.
It was argued by the Defence Force that members of the military enlist in the
arily understood between them and the Defence Force, they were not ‘workers’
tution, the Constitutional Court had this to say about the importance of ILO
standards:
Section 39 of the Constitution provides that, when a court is interpreting chap 2 of the Constitution, it must
consider international law. In my view, the conventions and recommendations of the International Labour
Organization (the ILO), one of the
oldest existing international organisations, are important resources for considering the meaning and scope of
‘worker’ as used in s 23 of the Constitution. 27
and in particular its provision that workers and employers, without distinction,
have the right to establish and join organisations of their own choosing without
which extends these guarantees to the armed forces and the police, to the
extent determined by national laws and regulations. On this basis, and having
regard to the parallel provisions of Convention 98, the court concluded that the
convention included armed forces within its scope, and that the ILO had there-
fore specifically considered members of the armed forces to be workers for the
purposes of the convention. The court struck down the statutory prohibition on
In NUMSA & Others v Bader Bop ( Pty) Ltd & another28 the Constitutional Court had to consider the right of a
minority trade union to strike in support of a
demand that the employer recognise the union’s shop stewards. The court
________________________
23 SA National Defence Union v Minister of Defence & another (1999) 20 ILJ 2265 (CC).
25 Act 44 of 1957.
(c) to strike’.
27 At 2278B–D.
29 At 117E–F, referring to SA National Defence Union v Minister of Defence & another (fn 23).
See also Police & Prisons Civil Rights Union v SA Correctional Services Union & others [2018] 11
34
Law@work
The court went on to refer specifically to the supervisory structures established by the ILO, and emphasised the
importance of the jurisprudence developed by
the Committee of Experts and the CFA. The court’s decision to uphold the
appeal and to affirm the union’s right to strike (the Labour Appeal Court had
held that the union could not strike) was based largely on interpretations of
Conventions 87 and 98 by the supervisory bodies, both in relation to the rights of minority unions and the right to
strike.
The Supreme Court of Appeal and the labour courts make frequent reference
to ILO standards in labour disputes and have stressed their importance as points
& others30 the Supreme Court of Appeal made specific reference to sections 39
and 223 of the Constitution and considered in some detail the provisions of ILO
Conventions 87, 98 and 154. At issue was whether the constitutional right to
sarily to establish a duty to bargain. Relying heavily on the wording of the con-
ventions and in particular their reference to the obligation to promote voluntary collective bargaining, the court
concluded that the LRA did not infringe the
The LRA extends specific recognition to the international law obligations incur-
red by South Africa by virtue of its membership of the ILO. Section 1 of the Act
provides:
The purpose of this Act is to advance economic development, social justice, labour peace and the democratisation
of the workplace by fulfilling the primary objects
(c) in compliance with the public international law obligations of the Republic.31
The Labour Court has not limited its points of reference to conventions and
recommendations. In Moslemany v Unilever plc & another,32 for example, the ________________________
31 A similar provision exists in s 3 of the EEA, where specific reference is made to Convention 111. For an
affirmation of the importance of s 3 and international labour standards, see Horn v LA Health Medical Scheme
2015 (7) BCLR 780 (CC). Of course, the injunction to construe provisions of the LRA in compliance with the
Constitution includes the discharge of the obligation imposed by s 39(2) on every court to promote the objects of
the Bill of Rights when interpreting legislation – see Police & Prisons Civil Rights Union v SA Correctional
Services Union & others (fn 29).
35
Labour Court held that it was obliged to have regard to the ILO Declaration of
Principles Concerning Multinational Enterprises and Social Policy (by definition a declaration is not binding on
member states) in determining a jurisdictional issue in a dismissal dispute where the employer was a multinational
enterprise.
9 Regional instruments33
entrench the institution of tripartism as the preferred means to promote the har-
organise and collective bargaining, to give effect to basic labour rights. Article 5
these standards.
and education and training. 37 Article 10 requires members to create an enabling environment so that workers may
enjoy, without regard to status and
The Charter cannot be directly enforced, and unlike ILO conventions, there is
breach of the Charter. Responsibility for the implementation of the Charter lies
with national tripartite institutions and regional structures that are specifically required to promote social
legislation and equitable growth in the region. Member states are required to submit regular reports to the SADC
secretariat. The
________________________
33 In this section, we discuss only the SADC Charter of Fundamental Social Rights. The African Charter on
Human and People’s Rights entered into force in 1986 also has application, although less directly, to labour issues.
34 Art 11.
35 Art 12.
36 Art 14.
37 Art 15.
36
Law@work
All of the instruments discussed thus far are binding as between states or as
by these instruments directly bind employers, nor trade unions and employees
for that matter. They become bound by international standards only once these
ing ethical corporate conduct and the nature and extent of corporate social
ten principles in the areas of human rights, labour rights, the environment and
anti-corruption. The first two of these areas are obviously relevant to employ-
ment. The first principle is derived from UN human rights instruments, and asks
abuse. 38
The labour rights that companies are asked to observe are the following:
l the freedom of association and the effective recognition of the right to col-
lective bargaining;
Although the Global Compact does not provide for independent monitoring or
accord with core ILO standards. The overlap between the Compact’s labour
rights principle and the ILO’s core conventions is obvious, and represents an
________________________
38 This request would extend at least to the Universal Declaration of Human Rights (1948), the International
Covenant on Economic, Social and Cultural Rights (1966), and the International Covenant on Civil and Political
Rights (1966).
Page
1 Introduction
....................................................................................................
39
42
3 Section 23(2) and (3): The right to form, join and participate in the
46
46
47
51
52
8 Jurisdictional issues
........................................................................................
54
37
39
1 Introduction
The interim Constitution that came into force on 27 April 1994 introduced the
What this meant, of course, is that the nature and scope of statutory labour
became the supreme law. The provisions of the new LRA, drafted by a team
appointed in August 1994, were thus required to be consistent with the Con-
stitution, in particular to give expression to the labour rights incorporated into section 27 of the interim
Constitution. These included the rights to fair labour
practices and to organise and bargain collectively, subject to an ‘insulation
clause’ to the effect that existing laws promoting fair employment practices,
was to preserve the statutory status quo pending the introduction of the new
existing legislation or the insulation clause itself between the date on which the interim Constitution came into
force and the date on which the LRA was
enacted.
South African labour law which, until then, had been driven largely by the Indus-
trial Court’s ad hoc interpretation and application of the concept of the unfair labour practice. An important
component of this change was the status
Indeed, section 1 of the LRA states that one of its purposes is to give effect to South Africa’s obligations as a
member state of the ILO.
The LRA was enacted a month before the final Constitution was signed into
law. Section 23 of the Bill of Rights retains labour rights as fundamental rights, with some modifications. Section
23 of the Constitution is headed ‘Labour
relations’ and establishes a set of broadly expressed labour rights that accrue to a variety of parties, including but
not limited to employers, workers and their
Labour relations
(c)
to
strike.
(4) Every trade union and every employers’ organisation has the right –
40
Law@work
(b)
to
organise;
and
(5) Every trade union, employers’ organisation and employer has the right to
collective bargaining. To the extent that the legislation may limit a right in this Chapter, the limitation must comply
with section 36(1).
collective agreements. To the extent that the legislation may limit a right in this Chapter, the limitation must
comply with section 36(1).
Section 23 is obviously central to law at work, but it is not the only section of the Bill of Rights that has an impact
on labour relations. For example, the right to
workplace, and section 22 enshrines the right of all citizens to choose their
trade, occupation and profession freely. The equality clause in section 9 has
work. 1 In several important labour-related cases, the Constitutional Court has highlighted the right to human
dignity guaranteed by section 10 of the Constitution. A socio-economic right that has important consequences for
those at
work, and those out of work, is the right of access to health services and social security, including appropriate
social assistance where necessary. 2 The rights to
privacy3 and access to information4 affect many aspects of the law at work.
The right to administrative action that is lawful, reasonable and procedurally fair has been highlighted in a number
of cases that have examined the intersection
between labour law and administrative law, and forms the basis for the test
applied in review applications. 5 Further, and less directly, when interpreting the Bill of Rights, courts are required
to consider international law, and to prefer any reasonable interpretation of legislation that is consistent with
international law over any interpretation that is not. 6 In labour matters, these provisions have assumed
significance on account of the large body of international labour law,
comprising in the main ILO conventions and decisions of the ILO’s supervisory
bodies.
These fundamental rights and their interpretation by the courts have resulted
in the development of a significant constitutional jurisprudence relevant to workers, employers and their
representative bodies. Since constitutional rights have
the potential to permeate each aspect of the work relationship, it is difficult to consider the constitutional
framework within which labour legislation operates
given expression. Instructive as this exercise may be, the inevitable result will be an overlap between this chapter
and others. Consistent with the central theme
________________________
1 See ch 6.
3 S 14 of the Constitution.
4 S 32 of the Constitution.
5 S 33 of the Constitution. See Sidumo & another v Rustenburg Platinum Mines Ltd & others
41
cations of the rights under discussion. A full appreciation of the impact and
very preliminary way, the nature and extent of the labour relations rights guar-
Bill of Rights binds not only the legislature, the executive, the judiciary and all organs of state, but also natural and
juristic persons if and to the extent that a right is applicable, taking into account the nature of the right and any
duty
imposed by the right.7 This is often referred to as the horizontal application of the
Bill of Rights. Section 8(3) of the Constitution requires that when applying a provision of the Bill of Rights to a
natural or juristic person, a court, in order to give effect to a right, must apply or if necessary develop the common
law to the
extent that legislation does not give effect to that right. A court may develop
rules of the common law to limit the right, provided the limitation is in accord-
ance with section 36(1), commonly referred to as the limitations clause. In add-
ition, section 173 of the Constitution provides that the Constitutional Court, the Supreme Court of Appeal and the
High Courts have the inherent power to
develop the common law, ‘taking into account the interests of justice’.
Constitutional rights therefore have the potential to affect labour law in three
l test the validity of legislation that seeks to give effect to fundamental rights;9
l interpret legislation enacted to give effect to fundamental rights;10 and l develop the common law. 11
With this background, the constitutional framework within which labour laws are
of those constitutional labour rights not dealt with more fully elsewhere in this book.
________________________
8 See Cheadle ‘Impact of the Constitution on Labour Law’ 1994 Current Labour Law 94.
9 In SA National Defence Union v Minister of Defence & another (1999) 20 ILJ 2265 (CC) ( SANDU 1999) the
Constitutional Court considered whether the absence of a justiciable duty to bargain in the LRA infringed the
constitutional right to engage in collective bargaining. See para 4 ‘The right to engage in collective bargaining’.
See also Association of Mineworkers & Construction Union & others v Chamber of Mines of SA & others [2017] 7
BLLR 641 (CC) where the Court considered the constitutionality of s 23(1)(d) and the extension of collective
agreements concluded with majority unions to non-parties.
10 In Sidumo & another v Rustenburg Platinum Mines Ltd & others (fn 5) the Constitutional Court relied on the
constitutional right to fair labour practices to define the role of CCMA commissioners when they make decisions
on fair sanctions for misconduct.
11 In Old Mutual Life Assurance Co SA Ltd v Gumbi [2007] 8 BLLR 699 (SCA) the Supreme Court of Appeal
held that the common-law contract of employment has been developed in accordance with the Constitution to
include the right to a pre-dismissal hearing.
See ch 5.
42
Law@work
The right to fair labour practices entrenched in section 23(1) is an unusual consti-
tutional right.12 It is not a right that is found in other constitutions, with the excep-
rights to freedom of association, collective bargaining and to strike in line with ILO conventions and other
international standards but do not include the broad
having the right to fair labour practices has generated debate as to whether
this has broadened the scope of the right beyond the employment relationship.
Cheadle has argued that the emphasis ought to be placed on the words
Although the right to fair labour practices in subsection (1) appears to be accorded everyone, the boundaries of the
right are circumscribed by the reference in subsection (1) to ‘labour practices’. The focus of enquiry into ambit
should not be on the use of ‘everyone’ but on the reference to ‘labour practices’. Labour practices are the practices
that arise from the relationship between workers, employers and their respective organisations. Accordingly, the
right to fair labour practices ought not to be read as extending the class of persons beyond those classes envisaged
Cape Town & others16 the Constitutional Court held that fairness must be
Where the rights in the section are guaranteed to workers or employers or trade
unions or employers’ organisations as the case may be, the Constitution says so
explicitly. If the rights in s 23(1) were to be guaranteed to workers only, the Constitution should have said so. The
basic flaw in the applicant’s submission is that it assumes that all employers are juristic persons. That is not so. In
addition, section 23(1) must apply either to all employers or none. It should make no difference
In Pretorius v Transnet Pension Fund18 the Constitutional Court observed that there was a compelling basis not to
restrict section 23 to those engaged in
________________________
12 See Cheadle ‘Labour Relations’ in Cheadle, Davis and Haysom South African Constitutional Law: The Bill of
Rights (2006) at 18-9. Cheadle suggests that the right was included in the interim Constitution as part of a package
of provisions to secure the support of the public service for the new constitutional dispensation.
13 Ibid at 18-8.
14 See Cooper ‘Labour Relations’ in Chaskalson et al Constitutional Law of South Africa (2007) at 53-11–53-14.
43
here is that the right of ‘everyone’ to fair labour practices extends beyond
Which practices fall under the heading of ‘labour practices’ for the purposes
of section 23(1): do all labour practices fall under this subsection, or should those collective labour practices,
including the rights of freedom of association, the
right to organise, the right to strike and the right to engage in collective bar-
gaining, entrenched in other parts of section 23, be excluded from the ambit of
this question, it has been suggested that instead of looking to ILO conventions
examination of our own jurisprudence and legislation is more likely to give an indication of what the drafters
envisaged by entrenching the right to fair labour
practices.19
The Wiehahn Commission first introduced the concept of the ‘unfair labour
practice’ into South African law in 1979. 20 The definition was amended in 1982 to
Some of the practices that were held to fall within the definition of an ‘unfair
labour practice’ included: dismissals that were substantively unfair or had a procedural flaw; a failure to renew a
fixed-term contract; the dismissal of strikers
during a lawful strike; selective re-employment; discrimination;22 and victimisation for trade union activities.
Many of these practices have subsequently become the subject of codifi-
cation in the LRA: the definition of dismissal in section 186(1); section 187, dealing with automatically unfair
dismissals; section 188, the overarching provision for ________________________
20 The original definition in s 1 of the 1956 LRA was very wide. It defined an unfair labour practice as ‘any labour
practice which in the opinion of the Industrial Court is an unfair labour practice’.
21 The definition, as amended in the Industrial Relations Amendment Act 95 of 1982, stated:
‘Unfair labour practice means any act or omission, other than a strike or a lock-out, which has the effect that –
(i) any employee or class of employees is or may be unfairly affected or that his or their employment opportunities,
work security is or may be prejudiced or jeopardised
thereby;
(ii) the business of any employer or class of employers is or may be unfairly affected or disrupted thereby;
(iv) the labour relationship between employer and employee is or may be detrimentally affected thereby’.
22 The Employment Equity Act 55 of 1998 (‘EEA’) was enacted to eliminate unfair discrimination in the
workplace and to provide for affirmative action for black people, women and people with disabilities. S 6(2) of the
EEA is similar to s 9(2) of the Constitution, which states that ‘[t]o promote the achievement of equality, legislative
and other measures designed to protect and advance persons, or categories of persons, disadvantaged by unfair
discrimination may be taken’.
44
Law@work
sections 189 and 189A; and the Codes of Practice: Dismissal23 and Dismissal
based on Operational Requirements.24 The LRA has also introduced section 197
and various subsections in sections 186 and 187 designed to protect those
solvency of a business. Sections 186 and 187 have further provisions to protect
workers who have made protected disclosures in terms of the Protected Dis-
closures Act25 (PDA). Section 186(2) comprises a closed list of very specific unfair
labour practices. 26
tion 23(1) is an overarching right or whether the subsections of section 23 should be kept distinct, Cooper argues:
The Constitutional Court has held that the right to fair labour practices is incapable of precise definition. Taking
into account the development of the law . . . the scope of the notion of ‘labour practices’ may embrace at least the
practices set out
below. Firstly, the right should provide protection against unfair practices relating to work security and
employment opportunities as codified in the 1995 LRA, both
imum standards accorded in the BCEA since one of the BCEA’s objectives is to
give effect to and regulate the right to fair labour practices in FC [final constitution]
s 23(1). 28 Whether the right should encompass rights regulated in other labour legislation, such as health and
safety rights at work, is debatable, but there is no apparent reason why such protection should be excluded.
Thirdly, the right should not engage the wage-work bargain. In other words, it should be concerned with
the adjudication of disputes of rights as opposed to disputes of interest. A further issue for consideration is whether
FC s 23(1) is an overarching right encompassing the other labour relations rights, or whether it should be viewed
as distinct from them. The structure of FC s 23 suggests that the subsections are distinct, each traversing a different
terrain, and militates against an interpretation which sees the right to fair labour practices as a catchall right,
capable of embracing any person and any matter. This was not, however, the approach of the High Court in South
African Defence Force & another v Minister of Defence & others. Without considering the scope of the right to
fair labour practices, the court assumed that it included collective bargaining rights . . . Sachs J, in his minority
judgment in SANDU I,
Whether or not section 23(1) encompasses all labour rights, including collective
rights, remains contentious, and it will no doubt require a constitutional challenge ________________________
25 Act 26 of 2000.
26 See ch 8.
27 See further SA National Defence Union & another v Minister of Defence & others 2003 (9) BCLR 1055 (T), as
quoted in Cooper (fn 14) at 53-13–53-15.
45
or legislative amendment finally to resolve this question. At this point, the balance is weighted in favour of
keeping the subsections distinct. Cheadle has
argued that it is ‘the legislature that should determine the balance of interests between employer and employee and
the public’.30 The concern articulated by Cheadle seems to be that where the legislation clearly excludes a duty to
bargain, for example, the right to fair labour practices in section 23(1) should not be used ‘to negate the intention
behind that design’. 31 In support of his argument, Cheadle cites the Canadian case of Reference re Alberta Public
Service Employee Relations Act:32
Labour law . . . is a fundamentally important as well as an extremely sensitive subject. It is based upon a political
and economic compromise between organised
labour – a very powerful socio-economic force – on the one hand, and the em-
balance between the two forces is delicate . . . Our experience with labour re-
lations has shown that the courts, as a general rule, are not the best arbiters of disputes which arise from time to
time . . . Judges do not have the expert knowledge always helpful and sometimes necessary in the resolution of
labour problems. 33
the fairness component of the right to fair labour practices, which he defined in terms of a balancing or
accommodation of often competing interests:
In my view the focus of s 23(1) is, broadly speaking, the relationship between the worker and the employer and the
continuation of that relationship on terms that
are fair to both. In giving content to that right, it is important to bear in mind the tension between the interests of
the workers and the interests of the employers that is inherent in labour relations. Care must therefore be taken to
accommodate,
where possible, these interests so as to arrive at the balance required by the concept of fair labour practices. It is in
this context that the LRA must be construed. 35
Although it is now accepted that the right to fair labour practices applies to both employers and workers, it is still
not exactly clear how, when construing the LRA, the courts should give effect to the balance that ought to be
struck.
________________________
31 Ibid at 18-16.
34 NEHAWU v University of Cape Town & others (fn 16). The Labour Court held that s 197 did not imply
automatic transfer of contracts of employment in a transfer of a going concern. The majority of the Labour Appeal
Court dismissed NEHAWU’s appeal and held that as UCT
and the contractor had no agreement to transfer the workforce, there was no transfer of a business or a part of a
business in terms of s 197. The Constitutional Court was required to decide whether the Labour Appeal Court’s
interpretation of s 197 of the LRA was an infringement of the right to fair labour practices in terms of s 23(1). The
Constitutional Court held that the purpose of s 197 is to balance the interests of both employers and workers.
46
Law@work
3 Section 23(2) and (3): The right to form, join and
employers’ organisation
Section 23(2) establishes the right to form and join trade unions, to participate in the activities and programmes of
a trade union and the right to strike. In relation to these rights, the Constitution uses the word ‘worker’ rather than
the broader
At issue was whether soldiers enlisted in the Defence Force were ‘workers’ for
Clearly, members of armed forces render service for which they receive a range
of benefits. On the other hand, their enrolment in the permanent force imposes
upon them an obligation to comply with the rules of the Military Disciplinary Code.
A breach of that obligation of compliance constitutes a criminal offence. In many respects, therefore, the
relationship between members of the permanent force
and the defence force is akin to an employment relationship. In relation to punishment for misconduct, at least
however, it is not . . . If the approach of the ILO is adopted, it would seem to follow that when s 23(2) speaks of
‘worker’, it should be interpreted to include members of the armed forces, even though the relationship
they have with the defence force is unusual and not identical to an ordinary em-
ployment relationship. The peculiar character of the defence force may well mean
that some of the rights conferred upon ‘workers’ and ‘employers’ as well as ‘trade unions’ and ‘employers’
organisations’ by s 23 may be justifiably limited. It is not
rights
The rights of trade unions and employers’ organisations to determine their own
administration, programmes and activities, to organise and to form and join fed-
erations, is drawn from the ILO’s Freedom of Association and Protection of the
Right to Organise Convention 1948 (No. 87). Section 8 of the LRA gives expres-
sion to these rights in virtually identical wording.39 The LRA establishes organ-
________________________
37 The LRA in s 2 specifically excludes members of the National Defence Force from the ambit of the Act.
38 At paras 24 and 27 of the judgment. Provisions of the Defence Act 44 of 1957 that prohibited members of the
Defence Force from joining trade unions or participating in ‘any strike or act of public protest’ were held to be an
unjustifiable limitation of s 23.
39 See ch 14.
47
to section 23(1)(d) of the LRA. The statutory regulation of organisational rights is discussed in chapter 14, the
challenge to section 23(1)(d) in chapter 15.
Section 23(5) provides that every trade union, employers’ organisation and em-
ployer has the right to engage in collective bargaining.40 The interim Constitution
was worded differently – it afforded workers and employers the ‘right to organ-
ise and bargain collectively’.41 Section 23(5) of the Constitution mirrors Constitutional Principle XXVIII, which
ensured ‘the right of employers and employees to join and form unions, employers’ organisations and trade unions
and to engage
The Preamble to the LRA records that the aim of the Act is to change the law
governing labour relations and for that purpose ‘to promote and facilitate col-
lective bargaining’. Section 1 of the LRA notes that one of its purposes is ‘to provide a framework within which
employees and their trade unions and employers
To further this objective, the LRA entrenches the right to freedom of associ-
ation44 and to assemble, demonstrate, picket and petition45 and establishes organisational rights, promotes
collective bargaining and protects the right to
________________________
40 Note that in the draft of the final Constitution, s 23 failed to follow the wording in Constitutional Principle
XXVIII and neglected to give the right to engage in collective bargaining to individual employers. The first
Certification judgment upheld an objection to the wording. In its final form therefore s 23 states that ‘[e]very trade
union, employers’ organisation and employer has the right to engage in collective bargaining’.
41 S 27(4).
42 In FAWU v Ngcobo [2013] 12 BLLR 1035 (CC) the court examined the scope of a trade union’s liability to its
members. In this case, FAWU attempted to deny liability for claims by two of its members for damages resulting
from ‘the union’s failure to pursue an unfair dismissal claim on their behalf’. The court dismissed the union’s
argument that it was protected against such claims by the Constitution, the LRA and the union’s constitution. The
court held that the union’s right to administer itself did not confer immunity from its breaching of obligations it
had assumed by agreeing to process the employees’ claim for unfair dismissal within the time frame set by the
LRA. The Constitutional Court dismissed the appeal against the SCA’s judgment granting each employee damages
equivalent to one year’s salary.
43 S 1 of the LRA.
44 S 23 of the Constitution.
45 S 17 of the Constitution.
46 Confirmed in Concor Projects (Pty) Ltd t/a Concor Opencast Mining v Commission for Conciliation, Mediation
and Arbitration & others [2014] 6 BLLR 534 (LAC). The decision of the Constitutional Court in SATAWU v
Garvas & others [2012] 10 BLLR 959 (CC) 2012 (8) BCLR
840 (CC) examined the right to freedom of association, including the right to assemble peacefully and unarmed, to
demonstrate, picket and to present petitions in terms of s 17
of the Constitution. The court further examined the liability for damage arising from such gatherings and
demonstrations in terms of s 11 of the Regulation of Gatherings Act 205 of continued on next page
48
Law@work
workers, including those excluded from the ambit of the LRA, it is possible that a duty to bargain may be
construed. In NUMSA & others v Bader Bop (Pty) Ltd & another48 the Constitutional Court recognised the
important role of collective bargaining in ‘ensuring fair labour relations’ but in acknowledging the ‘dynamic
nature of the wage-work bargain’ the court stressed that ‘[c]are must be taken
ditions change’.49
‘notable feature of the draft Bill is the absence of a statutory duty to bargain’. 51
The fundamental danger in the imposition of a legally enforced duty to bargain and the consequent determination
by the judiciary of levels of bargaining, bargaining partners and bargaining topics, is the rigidity which is
introduced into a labour market that needs to respond to a changing economic environment . . . While
giving legislative expression to a system in which bargaining is not compelled by law, the draft Bill does not adopt
a neutral stance. It unashamedly promotes collective bargaining. It does so by providing a series of organisational
rights for unions
These fundamental protections in the Constitution and in the LRA provide the
Cheadle has posed the question whether the right to engage in collective bar-
There is the freedom to bargain collectively – this is the negative right to collective bargaining . . . it is a right that
may be enforceable against employer’s organisations and trade unions that, by collective agreement or by the
exercise of economic
The wording in both the interim and the final Constitution incorporate this meaning of the right . . . The second
element of the right to bargain collectively is the right ________________________
1993. The protest march organised by SATAWU in terms of this Act turned into a riot causing the respondents
serious damage amounting to approximately R1,5 million. The court held that while s 17 of the Constitution gives
everyone the right to picket, present petitions, demonstrate and assemble peacefully and unarmed, s 11 of the
Regulation of Gatherings Act limits the right to assemble by holding the organisers of a gathering liable for riot
damage when the act or omission was ‘reasonably foreseeable’ but the organisers did not take all reasonable steps
to prevent the damage. The Constitutional Court therefore, while upholding the right to freedom of association in s
23 and the right of assembly in s 17, held that the limitation was justifiable in terms of s 36 of the Constitution.
47 See ch 15 for a brief history of the duty to bargain under the 1956 LRA.
50 Labour Relations Bill in GG 16259 of 10 February 1995. The Explanatory Memorandum is published at (1995)
16 ILJ 278.
52 Ibid at 292–293.
49
to use economic power. In the judgment In re Certification of the Constitution of the Republic of South Africa 1996
1996 (10) BCLR 1253 (CC), the Constitutional Court held that the right to bargain collectively contained within it
the right to exercise economic power against bargaining partners . . . The third aspect of the right is the most
controversial, namely the positive right to bargain. It is a state-enforced compulsion to bargain collectively which
is why it is normally referred to by its correlative, the ‘duty to bargain’ . . . In a nutshell, the positive ‘duty to
bargain’ carries with it a policy choice as to the form and level of collective bargaining and the regulatory regime
that is necessary to govern and maintain it . . . [and]
the ‘duty to bargain’ is not an aspect of the right to bargain collectively in the manner articulated in international
instruments [which] assert the freedom to bargain but not the form that bargaining should take and in particular not
the positive
gain:54
l A duty to bargain is more than just a right as it involves policy choices such as the form and level of collective
bargaining. This results in a complex
effects’. 55
dorsed this view and states ‘collective bargaining, if it is to be effective, must assume a voluntary quality . . .
measures of compulsion . . . would alter the
approach.57
l The wording in section 23(5) and the ‘right to engage in collective bargain-
ing’ read with Constitutional Principle XXVIII is ‘restricted to a freedom to bargain collectively and that the
forms, processes, institutions and levels are the
The Supreme Court of Appeal and the Constitutional Court heard appeals in
the SANDU cases, in which the nature and extent of the constitutional right to engage in collective bargaining were
considered. The various judgments by
________________________
55 Ibid at 18-25. See also the reference to Weiler ‘The Regulation of Strikes and Picketing under the Charter’ in
Weiler and Eliot Litigating the Values of the Nation: The Canadian Charter of Rights and Freedoms (1986) at 235
as quoted in Cheadle (fn 12) at 18-23.
57 Art 4 of ILO Convention 98 on the Right to Organise and Bargain Collectively of 1949 states:
‘Measures appropriate to national conditions shall be taken, where necessary, to encourage and promote the full
deployment and utilization of machinery for voluntary negotiation between employers or employers’ organizations
with a view to regulation of terms and conditions of employment by means of collective agreement’.
50
Law@work
members of these courts are an important contribution to this debate, and are
discussed below.
The South African National Defence Force (SANDF), by its very nature, has a
unique relationship with its enlisted soldiers in the permanent force. As already mentioned, soldiers are excluded
from the ambit of the LRA. In SANDU 199959
the Constitutional Court held that soldiers were ‘akin’ to employees and that
the provisions of the Defence Act and its regulations that prohibited soldiers
from belonging to trade unions were unconstitutional and invalid. The minister
Defence Force and to publish regulations to achieve this end. The SANDU pro-
posed amendments to the regulations. When the minister failed to amend the
regulations, the SANDU approached the High Court on two separate occasions,
in each case mounting a constitutional challenge. 60 In the case known commonly as SANDU I, it was held that the
SANDF was not obliged to bargain collectively with the SANDU and that the withdrawal of the SANDF from the
nego-
tiations was reasonable. The court held that section 23(5) of the Constitution
trade union and neither was there any legislative duty to do so.
In SANDU II and SANDU III, 61 however, the High Court held that section 23(5)
grants a trade union the right to engage in collective bargaining with an em-
ployer and in addition places a duty on the employer to bargain with the trade
union.
In SANDU III, the union sought an interdict restraining the SANDF from implementing and proceeding with a
transformation and restructuring policy without
consulting and negotiating with the SANDU. The SANDU declared a dispute in
the Military Bargaining Council. The union referred the dispute to arbitration. The SANDF took the view that
there was no duty to bargain and it could unilaterally
implement the policy in the public interest. The High Court held that there was a duty to bargain with SANDU and
restrained the SANDF from implementing the
policy until the outcome of the arbitration in the Military Bargaining Council. All three cases went on appeal.
the expression ‘right to engage in collective bargaining’ in section 23(5) is open to more than one interpretation. 62
He referred to section 233 of the Constitution
(which requires a court, when interpreting any legislation, to prefer any reason-
able interpretation of the legislation that is consistent with international law to ________________________
59 SA National Defence Union v Minister of Defence & another ( SANDU 1999) (fn 9).
60 SA National Defence Union v Minister of Defence & others (2003) 24 ILJ 1495 (T) ( SANDU I) and SA
National Defence Union v Minister of Defence & others (2003) 24 ILJ 2101 (T) ( SANDU
II).
61 SA National Defence Union v Minister of Defence & others case no. 15790/2003, unreported ( SANDU III).
62 Minister of Defence & others v SA National Defence Union & others (2006) 27 ILJ 2276 (SCA) at para 5.
51
found that there is much in international law that is helpful in interpreting section 23(5) of the Constitution.
Conradie JA mentioned in particular the two ILO Conventions on Freedom of Association and Protection of the
Right to Organise, and
a distinct preference for voluntarism, for a system that functions without reliance on a legally enforceable right to
bargain, emerges from these provisions, and
Conradie JA concluded:
On this part of the case, my conclusion is that the Constitution, while recognizing and protecting the central role of
collective bargaining in our labour dispensation, does not impose on employers or employees a judicially
enforceable duty to bargain. It does not contemplate that, where the right to strike is removed or restricted, but is
replaced by another adequate mechanism, a duty to bargain arises. 63
confirmed the decisions in NAPTOSA and others v Minister of Education, Western Cape, and others64 and
Minister of Health & another NO v New Clicks SA (Pty) Ltd and others (Treatment Action Campaign and another
as amici curiae )65
employers and trade unions and neither endorsed nor rejected the approach
the legislative framework to regulate that duty, the court may be drawn into a
range of controversial industrial relations issues and that this would be generally
undesirable.68
The LRA permits two forms of union security arrangements. The first is the closed shop, regulated by section 26;
the second is the agency shop, regulated by
section 25. In the former case, a majority union or unions making up a majority in a workplace, may conclude a
collective agreement requiring all employees
________________________
63 Ibid at para 25. See further Grogan ‘No Duty to Bargain: Military Union Back in Line’ (2007) 23(2)
Employment Law at 3–10.
66 SA National Defence Union v Minister of Defence & others [2007] 9 BLLR 785 (CC) ( SANDU
52
Law@work
agency shop, membership of the trade union is not obligatory, but those em-
ployees eligible for membership of the trade union but who elect not to be-
Closed shops were relatively common at the time that the LRA was drafted;
agency shops less so. Both sections 25 and 26 contained detailed requirements
chapter 14. These requirements are designed to limit the prospect of a constitu-
tive form as a right not to associate) – some jurisdictions have held that they
do;69 others argue that union security arrangements advance workplace democracy, and in the case of agency
shops, avoid the ‘free-riders’ who enjoy
There has been no direct challenge to either form of union security arrange-
ment sanctioned by the LRA, and the question of their reasonableness and
7 Limitation of rights
The rights contained in the Bill of Rights are not absolute, and may be limited in terms of section 36(1) of the
Constitution. This section provides that rights may be limited ‘only in terms of a law of general application to the
extent that the
Rights may not therefore be limited for any reason but neither are all infringe-
justifiable, it has been suggested that ‘the limitation must serve a purpose that
It is generally accepted that the courts will distinguish the interpretation of the right from the limitation of the right
and will do this by asking whether the right in question in the Bill of Rights has been infringed by law or by
conduct. If the
answer is positive, then the question is whether the infringement can be justified
A law of general application could include legislation, the common law and
customary law, 73 but would probably exclude policy or practice. The state is the
________________________
69 See, eg, Young, James and Webster v United Kingdom (1981) 4 EHHR 38.
70 See further Currie and De Waal The Bill of Rights Handbook (2013) at 151.
71 Ibid at 151. See also Myerson Rights Limited (1997) at 36–43 as quoted in Currie and De Waal ( ibid).
72 Currie and De Waal (fn 70) at 153. See SATAWU v Garvas (fn 47).
73 Note that while delegated legislation may be ‘law’ for the purpose of s 36, it is accepted that administrative
action or conduct taken under the authority of law would not qualify.
53
author of most laws, but the courts, of course, also have the ability to develop
the common law. Currie and De Waal examine the meaning of ‘general appli-
At the level of form, this means that the law must be sufficiently clear, accessible and precise that those who are
affected by it can ascertain the extent of their
rights and obligations. On a substantive level it means that, at a minimum, the law must apply impersonally, it
must apply equally to all and it must not be arbitrary in its application . . . s 36 therefore prevents laws that have
personal, unequal or arbi-
Section 36 also lists factors that may be relevant and should be taken into
account when a court considers the reasonableness and justifiability of the limi-
In S v Makwanyane, the Constitutional Court examined all these factors when discussing the proportionality test:
The limitation of constitutional rights for a purpose that is reasonable and necessary in a democratic society
involves the weighing up of competing values, and ultimately an assessment based on proportionality . . . In the
balancing process, the
relevant considerations will include the nature of the right that is limited, and its importance to an open and
democratic society based on freedom and equality, the
purpose for which the right is limited and the importance of that purpose to such a society; the extent of the
limitation, its efficacy, and . . . whether the desired ends could reasonably be achieved through other means less
damaging to the right in
question.76
The first direct challenge to the constitutionality of a provision of the LRA to be considered by the Constitutional
Court was dismissed on the basis of an application of the limitations clause. In Association of Mineworkers &
Construction Union & others v Chamber of Mines of SA & others,77 a minority union contended that section 23(1)
(d) of the LRA, which permits the extension to non-
right to freedom of association, the right to collective bargaining and the right to strike. The court held that the
limitation on rights imposed by section 23(1)(d) was reasonable and justifiable. 78
________________________
74 Currie and De Waal (fn 70) at 156. See also S v Makwanyane 1995 (3) SA 391 (CC) and President of the
Republic of South Africa v Hugo 1997 (4) SA 1 (CC).
77 Fn 9.
54
Law@work
8 Jurisdictional issues
right the court is required to ascertain if the right infringed is a constitutional matter. This applies equally when
there is an allegation that section 23(1) or the right to fair labour practices has been infringed.
If regard is had to the provisions of s 172(1)(A) and s 167(4)(a) of the Constitution, constitutional matters must
include disputes as to whether any law or conduct is
inconsistent with the Constitution, as well as any issues concerning the status,
powers and functions of an organ of State. Under s 167(7), the interpretation, application and upholding of the
Constitution are also constitutional matters. So too, under s 39(2), is the question whether the interpretation of any
legislation or the development of the common law promotes the spirit, purport and objects of the
Bill of Rights . . . the jurisdiction vested in the Constitutional Court to determine constitutional matters and issues
connected with decisions on constitutional matters is clearly an extensive jurisdiction.
[14] The LRA was enacted ‘to give effect to and regulate the fundamental rights
consistently with that purpose. Section 3(b) of the LRA underscores this by re-
quiring that the provisions of the LRA must be interpreted ‘in compliance with
the constitution’. Therefore the proper interpretation and application of the
[16] What must be stressed here is the point already made, namely, that we are
dealing with a statute which was enacted to give effect to s 23 of the con-
requirement is that this court will have jurisdiction in all labour matters that is a consequence of our constitutional
democracy. The Constitution ‘is the
supreme law, and all law, including the common law, derives its force from
________________________
80 NEHAWU v University of Cape Town & others (fn 16); footnotes omitted.
81 Pharmaceutical Manufacturers Association of SA: In re: Ex parte President of the Republic of South Africa
2000 (2) SA 674 (CC) at para 20.
82 S 167(7).
83 S 39(2).
55
statute, unless the provision is capable of more than one reasonable construc-
tion, one being more constitutionally compliant than the other. 85 It does not necessarily mean that because a
matter is a constitutional matter, that the
Constitutional Court will intervene; it does so when the interests of justice require that it does. 86 The
Constitutional Court has indicated that the fact that the
Labour Court and Labour Appeal Court are specialist courts to resolve disputes
in the field of labour relations is a factor relevant to the interests of justice, but that it would be ‘shirking its duty’
were it to hold that it would never entertain
appeals from the Labour Appeal Court.87 More recently, the court held that the Labour Court and Labour Appeal
Court are owed ‘special consideration’ since
________________________
84 See NEHAWU v University of Cape Town & others (fn 16) at para 14. In Fredericks & others v MEC for
Education and Training, Eastern Cape & others (2002) 23 ILJ 81 (CC), the court held that: ‘The characterisation
of a claim as a constitutional matter is a separate consideration from that of the merits of the claim . . . Even if a
case does raise constitutional matters the assessment whether the case should be heard at all . . . must be in the
“interests of justice” . . . Not every matter raises a constitutional question that is worthy of attention’.
86 For example, in Mbatha v University of Zululand 2014 (2) BCLR 123 (CC) the majority decision of the court
held that because the dispute was about a purely factual issue (namely, whether the applicant became an employee
of the Zulu Dictionary Project or remained an employee of the University) no constitutional issue was involved.
As the case had ‘no point of law of general public importance requiring the consideration of the Constitutional
Court’ leave to appeal was refused. The court also stressed that it would not hear appeals from the LAC unless
important issues of principle were raised.
87 NUMSA & others v Bader Bop (Pty) Ltd & another [2003] 2 BLLR 103 (CC) at para 20.
88 Association of Mineworkers & Construction Union & others v Chamber of Mines & others (fn 9) at para 37.
non-standard employment
Page
1 Introduction
....................................................................................................
59
60
3 International guidelines
.................................................................................
61
4.1
Introduction
............................................................................................
62
63
65
68
70
5.1
Introduction
............................................................................................
70
70
5.2.1
Background
................................................................................
70
71
75
5.3
Fixed-term
employees
..........................................................................
77
5.4
Part-time
employees
.............................................................................
79
6 Casual work
....................................................................................................
81
81
83
57
59
1 Introduction
who are defined as ‘employees’. The courts often used the characteristics of
the common-law contract of employment in interpreting who is, and who is not,
was difficult to establish in the traditional era of work, 1 the changed nature of employment poses an even greater
challenge. The standard employee is no
longer full-time, male and employed by the same employer during normal work-
ing hours from Monday to Friday as was the case just a few decades ago. 2 New
forms of worker have emerged, such as the ‘e-lancer’, the ‘zero hour’ contract
worker and those who participate in the platform economy, based at home or
on the road.3 In addition, atypical work, such as the triangular labour broker relationship (what the LRA refers to
as a ‘temporary employment service’) and
fixed-term and part-time work, has flourished. These modern work relationships
This chapter covers the statutory definition of ‘employee’, the tests to identify who is an ‘employee’ for the
purposes of labour legislation, protection extended
________________________
1 Brassey ‘The Nature of Employment’ (1990) 11 ILJ 889 at 893 refers to National Labor Relations Board v
Hearst Publications (1944) 322 US 111 at 121 where an American court said more than 60 years ago that ‘[f]ew
problems in the law have given greater variety of application and conflict in result than cases arising in the
borderline between what is clearly an employer-employee relationship and what is clearly one of independent
entrepreneurial dealing’.
3 Eg the Uber driver. See Mokoena ‘Are Uber Drivers Employees? A Look at Emerging Business Models and
whether they can be Accommodated by South African Labour Law’
(2016) 37 ILJ 1574, who argues that Uber drivers may very well be classified as employees in South Africa. See
also Mokoena ‘Are Uber Drivers Employees or Independent Contractors? A Comparative Analysis’ (2018) 39 ILJ
1453. In Uber Technology Services (Pty) Ltd v National Union of Public Service and Allied Workers (NUPSAW) &
others [2018] 4 BLLR 399
(LC) the Labour Court reviewed and set aside an arbitration award which held that Uber drivers were employees
for the purposes of the LRA. The judgment discusses the Uber business model at some length but given the basis
on which the award was set aside, the court was not called on to decide whether Uber drivers were ‘employees’ as
defined.
60
Law@work
The debate on the definition of employment is not new. Not long after South
Africa entered its own era of industrialisation, the courts started grappling with
the definition of ‘employee’ contained in the labour legislation of the day.4 Ini-
In Colonial Mutual Life Assurance Society v MacDonald5 the former Appellate Division had to consider whether
an insurance agent was an employee. The
court held that ‘the contract between master and servant is one of letting and
hiring of services ( locatio conductio operarum) whereas the contract between the principal and a contractor is the
letting and hiring of some definite piece of work ( locatio conductio operis)’.6
Contract of employment
Independent contractor
personal services.
personally.
others.
employee.
fixed by contract.
employer.
continued
________________________
4 S 24 of the Industrial Conciliation Act 11 of 1924 defined an ‘employee’ to mean ‘any person engaged by an
employer to perform, for hire or reward, manual, clerical or supervision work in any undertaking, industry, trade or
occupation to which this Act applies, but shall not include a person whose contract of service or labour is regulated
by any Native Pass Laws and Regulations’.
5 1931 AD 412.
6 At 433. In R v AMCA Services 1959 (4) SA 207 (A) it was held that ‘all the Western legal systems seem on this
subject to go back to the Roman law and today they follow similar lines’ (at 211H). The terms ‘master’ and
‘servant’ are reminiscent of a bygone era and have been replaced with the terms ‘employer’ and ‘employee’
respectively. In De Beer v Thompson & Son 1918 TPD 70 it was held that ‘employer’ and ‘employee’ are
synonymous with ‘master’ and ‘servant’, respectively, but that the former are ‘better sounding to democratic ears’
(at 76).
61
Contract of employment
Independent contractor
the employee.
contractor.
Although these factors remain influential in determining the scope of the term
‘employee’ today, the emphasis in recent years has shifted from the contract of
3 International guidelines
(No. 198). The Recommendation seeks to provide member states with guidance
cast in terms that on the face of it establish a relationship other than employ-
their national law and practice, which workers are to be covered and protected
Recommendation 198 also suggests that member states should consider the
relationship and should ideally, in their domestic legislation, provide for a statutory presumption that an
employment relationship exists when one or more of
the defined indicators are present. 12 In what follows it will become apparent ________________________
8 See eg State Information Technology Agency ( SITA) ( Pty) Ltd v CCMA & others [2008] 7
BLLR 611 (LAC); Le Roux ‘ The Meaning of “Worker” and the Road Towards Diversification: Reflecting on
Discovery, SITA and “Kylie”’ (2009) 30 ILJ 49. However, see Universal Church of the Kingdom of God v Myeni &
others [2015] 9 BLLR 918 (LAC) where it was held that the presumption of who is an employee in terms of s
200A of the LRA only applies if there is some form of contractual agreement between the parties.
10 Bosch and Christie ‘Are Sex Workers Employees?’ (2007) 28 ILJ 804 at 808.
11 Art 9 of Recommendation No. 198. The suggested indicators include whether the work is carried out under the
instructions and control of another party; the worker is integrated into the organisation of the enterprise; the work
is to be done mainly for the benefit of the other party; the work is carried out personally by the worker; the work is
performed within specified working hours; and the work requires the provision of materials, machinery and tools
by the party who requests the work to be done.
62
Law@work
that South African labour legislation has to a large extent incorporated the pro-
4.1 Introduction
The LRA, BCEA, EEA and SDA all include a relatively wide and non-descriptive
definition of ‘employee’ borrowed from pre-1994 legislation. 13 As a result, the courts have defined employment
by referring to common-law indicators of employment developed in earlier cases. 14 To complicate matters
further, the defin-
ition of ‘employee’ contained in the UIA, OHSA and COIDA differs from the
During 2002, amendments to the LRA and BCEA introduced a rebuttable pre-
sumption of employment for those claiming to be employees.15 In addition, NEDLAC has issued a code entitled
the ‘Code of Good Practice: Who is an
Employee?’ (referred to in this chapter as ‘the code’) to assist parties in determining the existence of an
employment relationship.16 The code was gazetted at the end of December 2006, less than a year after ILO
Recommendation 198
was adopted. 17 In 2019, the National Minimum Wage Act (NMWA) 9 of 2018
who works for another and who receives, or is entitled to receive, any payment
the constitutional milieu within which the definition of ‘employee’ must be con-
strued. The courts appear to be increasingly willing to depart from the strict statutory definition of ‘employee’ and
to interpret agreements and legislation more
________________________
13 See, eg, s 1(1) of the 1956 LRA and s 1(1) of the former BCEA of 1983.
14 Liberty Life Association of Africa Ltd v Niselow (1996) 17 ILJ 673 (LAC). See eg SA Broadcasting
Corporation v McKenzie [1999] 1 BLLR 1 (LAC) where the criteria set out in Smit v Workmen’s Compensation
Commissioner (fn 7) were used for the purposes of the LRA.
16 GNR 1774 in GG 29445, dated 1 December 2006. The code is published at (2007) 28 ILJ 96.
17 The code gives effect to s 200A(4) of the LRA which states that ‘NEDLAC must prepare and issue a Code of
Good Practice that sets out guidelines for determining whether persons, including those earning in excess of the
amount determined in subsection (2) are employees’.
18 S 1 of the NMWA.
19 SA National Defence Union v Minister of Defence & another (1999) 20 ILJ 2265 (CC); Wyeth SA ( Pty) Ltd v
Manqele & others [2005] 6 BLLR 523 (LAC); State Information Technology Agency ( SITA) ( Pty) Ltd v CCMA &
others (fn 8); Discovery Health v CCMA [2008] 7 BLLR
633 (LC); ‘Kylie’ v CCMA & others [2010] 7 BLLR 705 (LAC). See also Benjamin ‘An Accident of History: Who
Is (and Who Should Be) an Employee under South African Labour Law’
63
(a) any person, excluding an independent contractor, who works for another per-
son or for the State and who receives, or is entitled to receive, any remuner-
ation; and
(b) any other person who in any manner assists in carrying on or conducting the
The same definition has been included in the BCEA, the EEA and the SDA. As we
noted above, the definition of ‘employee’ is the starting point in determining the nature and scope of the protection
afforded by these statutes. For example,
the LRA states that ‘every employee’ has the right not to be unfairly dismissed
and not to be subjected to an unfair labour practice. 21 Similarly, the BCEA stipu-
lates that an employer may not require or permit ‘an employee’ to work more
The origins of this exclusion can be traced to early cases that dealt with the
determination of who is an employee.24 In these cases the contract of employment and the independent-contractor
agreement were distinguished from
each other. The code to the LRA accepts the following difference between an
Part (b) of the definition of ‘employee’ refers to ‘any other person who in any
manner assists in carrying on the business of an employer’. Read in isolation, this is a broad description and could
conceivably extend the statutory conception
of employment beyond what would ordinarily be considered to be the parties
the definition by reading part (a) of the definition conjunctively with part (b), and by applying common-law
criteria to determine the existence of an employ-
ment relationship.26
________________________
23 Benjamin (fn 19) at 789 mentions that the ‘terminology of contract is introduced through the exclusion of
“independent contractors”’. In Phaka & others v Bracks & others [2015] 5
BLLR 514 (LAC), the LAC confirmed that in an instance where employees engaged in an owner-driver scheme,
their contracts took the form of locatio conductio operis and the drivers were excluded from the scope of the LRA
on the grounds that they are independent contractors.
24 See the discussion of Colonial Mutual Life Assurance Society v MacDonald (fn 5) at 433
25 Item 34 of the code. This description was cited with approval in Niselow v Liberty Life Association of Africa
Ltd (1998) 19 ILJ 752 (SCA) at 753J–754A.
26 Oak Industries ( SA) ( Pty) Ltd v John NO (1987) 8 ILJ 756 (N); Borcherds v CV Pearce & Sheward t/a Lubrite
Distributors (1991) 12 ILJ 383 (IC). In Liberty Life Association of Africa Ltd v Niselow (fn 14) at 683A–B it was
held that the ‘latter part [of the definition] in particular may seem to extend the concept to employment far beyond
what is commonly understood thereby. To adopt a literal interpretation though would clearly result in absurdity’.
64
Law@work
At common law, the courts have developed a number of tests for distinguish-
these tests are the supervision-and-control test, the organisation or integration test
and the economic-dependency test.27 As has already been mentioned, the Smit case identified a number of criteria
(set out in tabular form, above) that may be considered in determining who is an employee but the court ultimately
applied
the ‘dominant impression test’. The court accepted that there is no single factor that independently and
conclusively determines the existence of an employment relationship. A court should therefore consider all aspects
of the relation-
indicative of the existence of an employment relationship.29 Similarly, the fact that a person belongs to the same
pension or medical fund as the undisputed
ship.30 The provision of training can likewise be indicative of the existence of such a relationship. 31
The statutory definitions in the LRA and BCEA are silent on the question of when
a person recruited into employment becomes an ‘employee’. 32 In Wyeth SA ( Pty) Ltd v Manqele & others 33 the
argument was raised that the term ‘works for another person’ is cast in the present tense in the definition of
‘employee’ and
begins working for an employer.34 Taking account of section 23 of the Constitution which affords ‘everyone’ the
right to fair labour practices, the Labour
who had signed contracts of employment but who had not yet commenced
________________________
27 See Liberty Life Association of Africa Ltd v Niselow (fn 14); SA Broadcasting Corporation v McKenzie (fn 14);
Denel ( Pty) Ltd v Gerber [2005] 9 BLLR 849 (LAC); Hydraulic Engineering Repair Services v Ntshona & others
(2008) 29 ILJ 163 (LC).
28 See Linda Erasmus Properties Enterprises ( Pty) Ltd v Mhlongo & others (2007) 28 ILJ 1100
(LC) where the ‘dominant impression’ test was used to establish that an estate agent was an employee.
32 S 9 of the EEA provides that ss 6, 7 and 8 of the EEA (which incorporate the principal protections against
unfair discrimination) apply to applicants for employment. See Le Roux
34 See also Herbst v Elmar Motors (1999) 20 ILJ 2465 (CCMA) at 2468J–2469C and Whitehead v Woolworths (
Pty) Ltd [1999] 8 BLLR 862 (LC) where it was held that an applicant only becomes an employee when he or she
actually starts working for the employer.
35 In Wyeth (fn 33 at para 30 of the judgment) the Labour Appeal Court relied on NEHAWU v University of Cape
Town & others (2003) 24 ILJ 95 (CC) and held that the ‘LRA must therefore be purposively construed in order to
give effect to the Constitution’.
The elusive employee and non-standard employment
65
In State Information Technology Agency ( SITA) ( Pty) Ltd36 the Labour Appeal Court confirmed that the focus
has finally shifted from the formal contract of
applicant claiming unfair dismissal worked for a front company of the Defence
Force. The agreement between the front company and the Defence Force was
terminated. However, the applicant’s services were stil needed and he contin-
ued to render services through a conduit close corporation. The applicant was
dismissed when the Defence Force terminated the project on which the em-
ployee was engaged due to a lack of funds. In its judgment, the court did not
concern itself with the existence of a valid contract of employment but enquired
was an ‘employee’ as defined in the LRA, the court identified the following
l whether the employee forms an integral part of the organisation with the
employer; and
l the extent to which the employee was economically dependent upon the
employer.37
As previously noted, the nature of work has changed radically, and employment
cluded in the LRA and BCEA in 2002,39 but this presumption applies only to per-
and the BCEA in which any person alleges that they are an employee, that per-
son is presumed to be an employee if they render services to another person
________________________
36 Fn 8.
37 See para 12 of State Information Technology Agency ( SITA) ( Pty) Ltd v CCMA & others (fn 8). See also Pam
Golding Properties ( Pty) Ltd v Erasmus & others (2010) 31 ILJ 1460 (LC) where these criteria were applied.
However, see Universal Church of the Kingdom of God v Myeni & others (fn 8) where it was held that the
presumption of who is an employee in terms of s 200A of the LRA only applies if there is some form of
contractual agreement between the parties.
38 Theron ‘Employment is Not What it Used to Be’ (2003) 24 ILJ 1247 at 1271. See also Theron
‘The Shift to Services and Triangular Employment: Implications for Labour Market Reform’
(2008) 29 ILJ 1.
40 The amount is determined from time to time by the Minister of Employment and Labour and is currently fixed
at R205 433,30 per annum. The presumption has not been included in other labour legislation such as the EEA,
SDA, UIA, OHSA or COIDA.
66
Law@work
and any one of seven listed factors is present in the relationship.41 The factors that trigger the presumption are:
(a) the manner in which the person works is subject to the control or direction
of another person;
(b) the person’s hours of work are subject to the control or direction of another person;
(c) in the case of a person who works for an organisation, the person forms part of that organisation;
(d) the person has worked for that other person for an average of at least
(e) the person is economically dependent on the other person for whom he or
(f) the person is provided with the tools of trade or work equipment by the
other person; or
(g) the person only works for or renders service to one person.
The presumption applies regardless of the form of the contract, and therefore
gives effect to ILO Recommendation 198. Recall that in terms of the Recom-
work, rather than the character and content of the contractual arrangement
between the parties. 42
The presumption does not alter the statutory definition of ‘employee’. In other
words, the fact that a person satisfies one or more of the seven factors listed in the presumption does not mean that
the person is in fact an employee. 43 Nor-
unable to discharge the negative onus and convince the decision-maker (usu-
ally a court or an arbitrator) that the applicant is not an employee, the decision-maker is bound to find that the
applicant is an employee as defined.
The fact that a person earns more than the threshold amount does not render
In cases in which the presumption is not applicable, because the person earns
above the threshold amount, the factors listed in the presumption . . . may be
________________________
41 See Taljaard v Basil Read Estate (2006) 27 ILJ 861 (CCMA) and Schoeman v Longgrain CC
(2006) 27 ILJ 2496 (CCMA) where the operation of the statutory presumption was explained and applied.
42 Art 9 of Recommendation No. 198. Despite this, there must still be some form of contractual agreement
between the parties before the presumption applies ( Universal Church of the Kingdom of God v Myeni & others
(fn 8)).
44 Van Niekerk ‘Employees, Independent Contractors and Intermediaries’ (2005) CLL 15 (2)
11 at 12.
67
l Being subject to the control or direction of another: The code provides that
even if the employer exercises a relatively low degree of control over the
employee.47
l Hours of work subject to the control or direction of another: The code48 provides that this factor will generally
be present if the contract permits the per-
contract.
l Working on average at least 40 hours per month over the previous three
months: The idea here is that the 40-hour provision is indicative of an ongoing
work. The code states that in respect of a person who is still in the employ of the employer, the 40 hours per month
‘is measured over the three months
prior to the case commencing’. If the relationship has terminated, ‘it should
________________________
45 Item 20 of the code. See also Denel ( Pty) Ltd v Gerber (fn 27) where a similar approach was followed.
46 Item 40 of the code. In Smit v Workmen’s Compensation Commissioner (fn 7) the former Appellate Division
held that the ‘right of supervision of control is one of the most important indicia that a particular contract is in all
probability a contract of service’.
47 Item 39 of the code. In Parliament of the RSA v Charlton [2010] 10 BLLR 1024 (LAC) it was confirmed that
members of parliament are not covered by the definition of employee.
Parliamentarians are elected to an office and are subject to their own code of conduct.
It could never be suggested that a member of parliament could have recourse to the labour courts if he or she lost
his or her seat after elections. In President of the Republic of South Africa & others v Reinecke [2014] 5 BLLR 419
(SCA) the question of whether magistrates are entitled to remedies in terms of the LRA was avoided. See also Van
Eck and Diedericks ‘Are Magistrates without Remedy in terms of Labour Law?’ (2014) 35 ILJ 2700
where the authors argue that magistrates ought to be deemed to be engaged in an employment relationship.
50 Kahn-Freund ‘Servants and Independent Contractors’ (1951) 14 Modern Law Review 504
persuaded the English courts to accept the ‘organisation’ test rather than the ‘control’
test. Kahn-Freund had argued that the ‘control’ test was not sufficient when there was a combination of managerial
and technical elements in a contract of service and that this test was better suited to identify the farm labourer and
unskilled worker as an employee.
68
Law@work
mination’. 51
ing his or her own work.52 Generally, an employee’s remuneration will be his
or her exclusive means of income. The code notes that part-time employees
free to render services to other employers during their off time, but this does
l Provision of tools of trade or work equipment: The code advises that ‘tools of trade’ should not be interpreted in
the narrow sense only to include traditional implements like hammers, saws and spades. It could include modern
devices such as modems, computers, printers and cell phones54 and it also makes no difference whether the
presumed employee receives the equipment free of charge.
l Working or providing services to one person only: In a similar vein as some of the above indicators, this factor
points towards permanence and exclusivity.
This factor will not come into play should the person work for another person
on a part-time basis after hours, irrespective of whether any other work per-
The code notes that the definitions of ‘employee’ in the UIA, COIDA and OHSA
differ from the definition in the LRA, BCEA, EEA and SDA. Despite these differ-
ences, the code mentions that there are sufficient similarities for the code to be
the code will be helpful in determining the scope of the definition of ‘worker’.
Since that definition by and large comprises paragraph (a) of the definition of
‘employee’ in the LRA, the code will no doubt provide some guidance.
For the purposes of the UIA, an ‘employee’ is ‘any natural person who receives
This definition is helpful in so far as it does not differ substantially from the definition in the LRA and BCEA.
However, the same cannot be said for the definitions
________________________
53 Ibid.
56 S 1 of the UIA. For the definition of ‘dependant’ see ch 18 at para 4.2.2 ‘Statutory regulation’.
69
For the purposes of the COIDA, an ‘employee’ is ‘a person who has entered
‘labour broker who against payment provides a person to a client for the ren-
dering of services . . . and for which work or services such person is paid by the
labour broker’.58 Considering the labour relations policy framework as a whole, it has been suggested that the
exclusion of domestic workers is untenable and
that they should be included under the definition of ‘employee’. The High Court
has now agreed that domestic workers should not be excluded from the defini-
tion.59
For the purposes of the OHSA, an ‘employee’ is defined in section 1 of the Act
to mean ‘any person who is employed by or works for an employer and who
accepted that the OHSA does not apply to them.60 Another significant difference is that the OHSA definition of an
‘employer’ states that a labour broker or
temporary employment service is not deemed to be the employer for the pur-
poses of the Act: the client for whom the services are rendered is the employer
for the purposes of the obligations under the Act. 61 This provision differs from the legal construction regarding
temporary employment services established in the
Despite the fact that the different statutory definitions may lead to confusion
and interpretational problems, the code at least endeavours, to the extent that it is possible to do so, to harmonise
the fragmented system by directing that,
________________________
57 S 1 of the COIDA.
58 See the discussion on temporary employment services at para 5.2 ‘Temporary employment services’. See also
Crown Chickens ( Pty) Ltd t/a Rocklands Poultry v Rieck (2007) 28
59 Smit ‘Employment Injuries and Diseases and Disability in the Workplace’ in Olivier, Smit, Kalula and Mhone
Introduction to Social Security (2004) at 341. See also the Report of the Committee of Enquiry into a
Comprehensive System of Social Security for South Africa, in Transforming the Present – Protecting the Future
Draft Consolidated Report, at
http://welfare.gov.za/2002/May/pdf. Recently, in Mahlangu & another v The Minister of Labour & others (Case no
79180/15 of 23 May 2019) the High Court declared that s 1(xix)(v) of the COIDA ‘is unconstitutional and invalid
to the extent that it excludes domestic workers employed in private households from the definition of “employee”’.
60 Ibid.
70
Law@work
5.1 Introduction
or ‘atypical’. 63 Despite the broad scope of these terms, the LRA identifies only
and part-time employees.64 These categories of employees and the protections afforded them have been clustered
in Chapter IX of the LRA: ‘Regulation of
The Employment Services Act of 2014 (ESA)65 makes provision for the registration of employment agencies and
establishes job-creation schemes. The ESA
In keeping with South Africa’s labour policy of ‘regulated flexibility’, 66 the LRA seeks to provide for a balance
between the interests of employers and those
and those working for larger and established undertakings are eligible for a
higher degree of protection than are employees whose earnings exceed the
threshold.
5.2.1 Background
Ever since the enactment of the LRA, employers have increasingly sought to
outsourced to an intermediary [or a TES]’.69 While the TES recruits, employs and
________________________
63 See, eg, Fourie ‘Non-Standard Workers: the South African Context, International Law and Regulation by the
European Union’ (2008) 14 PER 110–111; Smit and Fourie ‘Extending Protection to Atypical Workers, including
Workers in the Informal Economy, in Developing Countries’ 2010 The International Journal of Comparative
Labour Law and Industrial Relations 43.
64 See the discussion of ss 198A, 198B, 198C and 198D in paras 5.2.2, 5.3 and 5.4.
65 Act 4 of 2014.
66 Van Eck ‘Regulated Flexibility and the Labour Relations Amendment Bill of 2012’ (2013) De Jure 600. See
also Cheadle ‘Regulated Flexibility: Revisiting the LRA, and BCEA’ (2006) 27
ILJ 663.
67 Bosch ‘The Proposed 2012 Amendments Relating to Non-Standard Employment: What will the New Regime
Be?’ (2013) 34 ILJ 1631.
68 Theron (2003) (fn 38) at 1271 and Theron (2008) (fn 38) at 2.
69 Benjamin ‘Decent Work and Non-Standard Employees: Options for Legislative Reform in South Africa: A
Discussion Document’ (2010) 31 ILJ 845 at 847. Theron ‘Intermediary or Employer? Labour Brokers and the
Triangular Employment Relationship’ (2005) 26 ILJ 618 mentions that the origin of this legal fiction remains a
mystery.
71
places the workers, the client issues the instructions and supervises the employees at its workplace but without
incurring the responsibilities of an employer.
The issue of the regulation of triangular relationships has for a number of years been the subject of fierce debates
in South Africa and Namibia. COSATU,
amongst others, rallied for an outright ban on TESs, and in Namibia an initially
grounds.70 Contrary to this trend, the ILO and the European Union have recog-
can be no doubt that since the adoption of the LRA in 1995 the regulation of
the TES industry in South Africa has been lacking in at least the following key
respects: the LRA did not extend shared responsibility to TESs and their clients in disputes concerning unfair
dismissal and unfair labour practices; the duration of the placement of TES employees was not limited despite the
fact that these
ployees were often uncertain about the identity of their actual employer. 72
Chapter IX of the LRA seeks to rectify these problems in respect of certain cate-
any person who, for reward, procures for or provides to a client other persons –
The LRA provides that the TES is the employer of the person whose services have
been procured for or provided to a client.73 This is despite the fact that the employee may form part of the client’s
organisation and in all probability works
under the client’s supervision and control. This does not mean that before the
associated with the employer-employee relationship. 74 The LRA stipulated that ________________________
70 See Africa Personnel Services ( Pty) Ltd v Government of the Republic of Namibia & others
[2011] 1 BLLR 15 (NmS) and Van Eck ‘Revisiting Agency Work in Namibia and South Africa: Any Lessons from
the Decent Work Agenda and the Flexicurity Approach?’ (2014) 30 Int Journal of Comp Lab Law and Ind Rel 49.
71 See the ILO Private Employment Agencies Convention 1997 (No. 181) and the Temporary Agency Work
Directive 2008/104/EC of the European Union Parliament and Council. See also Van Eck ibid 49–52. See also
Aletter and Van Eck ‘Employment Agencies: Are South Africa’s Recent Legislative Amendments Compliant with
the International Labour Organisation’s Standards?’ (2016) SA Merc LJ 285.
72 In April v Workforce Group Holdings ( Pty) Ltd t/a The Workforce Group (2005) 26 ILJ 2224
(CCMA) it was held that a client cannot be held responsible for any unfair conduct by the TES. This was
confirmed in National Union of Metalworkers of SA & others v SA Five Engineering ( Pty) Ltd & others (2007) 28
ILJ 1290 (LC).
73 This construction is also recognised by the ILO and in terms of European Union Directives.
See fn 71 above.
74 Peculiar as it may seem, both the TES and the client were jointly and severally liable for unfair dismissals in
terms of s 1(3)(d) of the 1956 LRA. In one of the drafts of the LRA, provision was also made for the inclusion of
such joint liability in terms of the new Act. However, for reasons unknown, this was not included into the final
version of the LRA.
72
Law@work
both the TES and the client were jointly and severally liable in respect of contraventions arising from bargaining
council agreements, arbitration awards per-
In addition, the LRA has always confirmed that a person who works as an in-
Brokers ( Pty) Ltd v Mandla 76 demonstrates how this provision has caused its own interpretational difficulties. In
this case, the question was which relationship determined whether a TES worker was an employee or independent
contractor, the
relationship between the TES and the worker or that between the client and the
worker? The court concluded that the relationship between the worker and the
client was determinative on the basis of the common-law dominant-impression
test of the relationship as between the worker and the client. The court found
that the relationship between the worker and the TES was therefore one of
employment.
The introduction of section 198A has improved the position of TES employees
in a number of ways. First, a TES employee who earns below the threshold
amount determined in terms of the BCEA77 and who is not engaged in ‘tempor-
absent’; or
l the work falls in any category or is for a period of time which is deemed to
determination. 79
for an employee of the client who was temporarily absent, the worker will be
considered an ‘employee’ of the client. Amongst other things, this will entitle the employee to refer disputes
concerning unfair dismissal and unfair labour practices against the client. 80
________________________
80 S 198D provides that disputes about ss 198A–C may be referred to the CCMA or bargaining council for
mediation and arbitration. S 198(4) of the LRA also protects TES employees by providing that termination of such
an employee’s service by either the TES or the client for the purpose of avoiding the operation of these protective
measures is deemed to be a dismissal. It is to be noted that such dismissals do not constitute ‘automatic unfair
dismissal’
73
In Assign Services ( Pty) Ltd v CCMA81 the Labour Court held that the deeming
provision does not have the effect that the client of the TES becomes the sole
employer. The common law contract of employment between the TES and the
agency worker remains in place and nothing in the provision invalidates the
contract. However, the client also becomes the employer in a new statutory
relationship after the expiry of the three-month period but only for the purposes of the LRA, which regulates
aspects such as unfair dismissal and unfair labour
practices. The Labour Court’s judgment was overturned by the Labour Appeal
Court.82 The court held that properly interpreted, the protection established by
differently to those of the client, and to ensure that the deemed employees are
fully integrated into the enterprise as employees of the client. The TES remains
the employer of the placed employee until the employee is deemed to be the
employee of the client, on an indefinite basis. This conclusion is consistent with the intention to restrict the role of
TESs to genuine temporary employment.
The Labour Appeal Court’s judgment was upheld by the Constitutional Court,
with one dissent. 83 The court recorded that the issue it was required to determine related to employees contracted
by a TES and placed with a client for
more than three months. Does the deeming provision give rise to a dual em-
the TES and the client, or does it create a sole employment relationship be-
tween the employee and the client? The court observed that in the triangular
another the functions of the TES were ordinarily limited to the obligation to pay remuneration and other human-
resource-related functions. In reality, it is the
TES’s business ‘except as a commodity’. The court held that section 198A(3)
effects a change in the statutory attribution of responsibility as employer, within the triangular relationship, and
that the plain language of the section supports
the ‘sole employer’ interpretation. In short, once the placed employee is
deemed to be the employee of the client, the client is the employer of that
employee for all purposes and there is no residual employment relationship with
the TES.
‘on the whole not less favourably’ than the client’s employees performing similar work, unless there is a justifiable
reason for their being treated differently. Factors such as seniority, length of service, merit, and quality or quantity
of work are
________________________
81 [2015] 11 BLLR 1160 (LC). See Benjamin ‘Restructuring Triangular Employment: The Interpretation of
Section 197 of the Labour Relations Act’ (2016) 37 ILJ 28 where the author argues that the remarks made by the
Labour Court in Assign Services were obiter and that consequently the client becomes the sole employer of the
agency worker.
74
Law@work
Further, TES employees who no longer render ‘temporary services’ are deemed
ployees that are discussed below.85 In line with what is discussed above, the temporary agreement with the TES
will become indefinite in nature and the
Finally, the LRA obliges each TES to provide its employees with written particu-
lars of employment in accordance with the provisions of the BCEA. 86 This is an important provision in so far as
the written particulars of employment could give TES employees clarity regarding the question of whether the
TES or the client is in fact their employer. Regrettably, the LRA is unclear about whether there is any
obligation on the TES to identify the specific client and the workplace where the services are to be rendered.
Nevertheless, one aspect that has been clarified is
client the uncertainty must be decided by reference to the sector in which the
client is involved. 87
TES employees are not protected when they apply for vacancies with the
client. Often the agreement between a TES and client precludes the TES em-
ployee from applying for vacancies at the client. This is a shortcoming as it goes against the grain of the notion
that placements by a TES can serve as a stepping stone to a more secure position with the client.
There is nothing that safeguards them against being placed with clients for
of the client rendering the same work. The courts have nevertheless shown a
ment with the client, stating that if the client no longer requires the services of the person placed by the TES the
contract of employment with the person so
________________________
86 See s 198(4B)(a) of the LRA; s 29 of the BCEA. This obligation rests on a TES irrespective of whether the
employee earns below or above the earnings threshold. The particulars of employment must amongst other things
specify the name and address of the employer, the place of work, the date on which employment began, the
employee’s normal hours of work and wages, the leave to which the employee is entitled, and the like.
88 See April v Workforce Group Holdings ( Pty) Ltd t/a The Workforce Group (fn 72) and the criticism against the
decision by Bosch ‘Contract as “Barrier” to Dismissal: The Plight of the Labour Broker’s Employee’ (2008) 29
ILJ 813. Bosch’s point of view was endorsed in Molusi v Ngisiza Bonke Manpower Services CC (2009) 30 ILJ
1657 (CCMA). The commissioner held that such a clause was contrary to public policy and disregarded s 23 of the
Constitution.
In COSAWU obo Nyakazu v Prestige Cleaning Services ( Pty) Ltd (2010) 31 ILJ 1950 (CCMA) the commissioner
held that such agreements are unenforceable on grounds of s 5 of the LRA which stipulates that any provision in a
contract that limits protection granted in terms of the LRA is invalid. See also National Union of Metal Workers of
South Africa & others v Abancedisi Labour Services [2013] 12 BLLR 1185 (SCA).
75
Ltd89 the question that arose was whether such agreements are valid. In this
instance the client informed the TES that the employee had to be removed
issued a final warning, but the client insisted that the employee had to be re-
moved. The TES had no option but to retrench the employee. Commenting on
the agreement between the TES and the client, the court held that it is imper-
NO & others. 90 In this case, the employer informed one of its fixed-term employ-
ees that after the expiry of his contract of employment he would be employed
by a TES. The TES placed the employee with the original employer (now the
client) for a number of years. When the client informed the TES that its oper-
ational requirements were such that it no longer required the services of the
employee, the employee instituted a claim against the client (the former em-
ployer) and not against the TES. The court rejected the client’s argument that
the TES was the employer to be held accountable. In accordance with the
definition of a TES, it is the TES that should ‘procure’ or ‘provide to a client’ persons who perform work for the
client. In this instance the TES did not procure the employee. The original employer had sent the employee to the
TES who in turn
sibilities, this is not the case in respect of common-law delictual claims. Note that the COIDA also deems the TES
and not the client to be the employer. 91 In terms of section 35 of the same statute, the TES gains immunity in
respect of claims
injuries and diseases. From this, it follows that an employee who is injured at the premises of the client, whether
the injury was caused by the negligence of the
client or any of the client’s employees while performing their services, is at liberty to institute a claim for damages
against the client, but not against the TES. 92
The ESA provides for a range of measures to promote job creation and to regu-
________________________
The client argued that it was immunised by s 35 of the COIDA. The court rejected the argument and held that the
TES was the employer and that the client was liable for damages on grounds of vicarious liability.
93 See the long title of the ESA 4 of 2014. The ESA repeals the employment services provisions contained in the
Skills Development Act 97 of 1998.
76
Law@work
schemes for the youth and other categories of vulnerable workers and to regu-
The ESA establishes two types of employment agencies that render ‘employ-
ment services’:94 public employment services (PES), established and managed by the state to render free services
to the public, and ‘private employment
The rationale behind the creation of PES is to provide state assistance to un-
‘open and accessible’ way. In this regard, the Department of Employment and
Labour must provide services which include the registration of work seekers and
of work opportunities and job vacancies, and the matching of work seekers with
Section 198(4F) of the LRA provides that no person may function as a TES
‘unless it is registered in terms of any applicable legislation’. The ESA constitutes such legislation. It directs that a
registrar of private employment agencies be
appointed and that the minister issue prescribed criteria for such agencies. 97
The registrar must issue successful applicants who wish to operate as private
agency may charge a fee to any work seeker for providing him or her with
ployment of young work seekers and other vulnerable persons and to provide
To ensure that South African citizens and permanent residents receive prefer-
ence when it comes to appointment, the ESA sets limitations on the employ-
ment of ‘foreign nationals’. A person who is not a South African citizen or does
Employers may not employ a foreign national before he or she produces ‘an
applicable and valid work permit’ issued in terms of the Immigration Act 13 of
________________________
94 S 1 of the ESA defines ‘employment services’ as including advising workers on career choices, referring work
seekers to employers to apply for vacancies, assisting employers by providing recruitment and placement services,
and performing the functions of temporary employment services.
97 S 13(1) and (3). S 13(2) prescribes that the criteria must differentiate between private employment agencies that
render temporary employment services and those only performing other employment services.
77
2002.101 In addition, employers must satisfy themselves that there are no South African residents or permanent
residents to fill a vacancy, before recruiting a
foreign national.102 Employers may make use of PES or any private employment
The respective definitions of ‘employee’ in the LRA, BCEA and EEA as well as
fixed-term employees. 105 Despite this, until the 2014 amendments, little attention
was given specifically to the protection of this category of non-standard em-
which may, in terms of section 186(1)(b) of the LRA, constitute a ‘dismissal’ in circumstances in which the
employee might have had a reasonable expectation
(c) a fixed date, other than the employee’s normal or agreed retirement age,
This definition has the potential to cover the following three scenarios. An election official’s contract could, for
instance, provide that it comes to an end once the national election results have been made available. Secondly, a
construction worker’s contract could provide that it terminates once all of the retention work on a dam-building
project has been completed. And, thirdly, a contract
can, for example, come to an end if it stipulates that it continues for a fixed
term of three months or one year, as the case may be. In Piet Wes Civils CC &
another v Association of Mineworkers & Construction Union & others, 106 a case where the duration of the
contract was made subject to the ‘supply of work
contracts’ by the employer’s clients, the Labour Appeal Court held that this
event’, ‘the completion of a specified task or project’ or a ‘fixed date’. The employment contracts were construed
as being of indefinite duration as contem-
without adherence to the fair dismissal procedures set out in the LRA.
________________________
101 S 8(1) of the ESA. An employer who contravenes s 8(1) is guilty of an offence and liable to imprisonment or a
fine as contemplated in s 49(3) of the Immigration Act.
78
Law@work
reaches of the section. Those excluded are employees who earn above the
has been in operation for fewer than two years; and employees whose fixed-
termination.107
How does the LRA seek to protect employees engaged in terms of fixed-term
with an employee which exceeds three months in duration unless the employer
can demonstrate a justifiable reason for the fixed term.108 The LRA specifies a
work;
l the employee is a non-citizen who has been granted a work permit for a
specific period;
scheme; or
l the employee has reached the normal retirement age applicable in the
employer’s business.
employment’. 111 In other words, the employee will be entitled to remain in the
service of the employer until such time as the contract may be terminated on
________________________
107 S 198B(2) of the LRA. The threshold amount currently stands at R205 433,30.
110 In Association of Mineworkers & Construction Union & others v Piet Wes Civils CC & another [2017] 5
BLLR 501 (LC) it was held that a clause in a contract of employment which makes provision that the agreement
with the employee automatically comes to an end should the employer’s client not renew a service agreement, does
not constitute one of the justifications relating to a specific project with limited duration. In other words, the
employer had to terminate the fixed term employees’ contracts on grounds of operational requirements.
79
l Employees employed for longer than three months may not be ‘treated less
similar work unless there is a justifiable reason for differential treatment. 112
cies’.113
ing and state the reason that justifies the fixing of the term of the contract.114
period exceeding 24 months must, when the contract expires, be paid sev-
erance pay of one week’s remuneration for each completed year of the
contract.115
Section 198D(2) specifies that differential treatment can be justified on the
grounds of seniority and experience, merit, quality of work and any other criteria of a similar nature. Since the
LRA does not define what is meant by ‘less favourable’ and ‘same or similar work’ it will be the task of the
CCMA and labour
those working for small employers remains precarious. There is nothing that safe-
client or against being appointed for extended periods of time, or that provides
The terms part-time work, casual work and temporary work are often but mis-
wholly or partly by reference to the time that the employee works and who ________________________
116 In Barker and Holtzhausen South African Labour Glossary (1996) at 109–110 the term ‘part-time work’ is
defined to mean the ‘employment of an individual for fewer hours of work than statutory, collectively agreed or
usual working hours, eg morning work. Part-time work can be performed on a regular basis and can last for an
indefinite period of time, in which case it is called “permanent part-time work”’.
80
Law@work
works less hours than a comparable full-time employee’ (our emphasis). 117 In
. . . by reference to the time that the employee works and who is identifiable as a full-time employee in terms of the
custom and practice of the employer’ (our
emphasis). 118
It is not entirely clear why the definition of ‘comparable full-time employee’
refers to the time that the employee works rather than comparing the person
with a standard indefinitely employed person. Was the intention to ensure that
the comparison is to be drawn only with other full-time but not indefinitely em-
ployees and whose operation has been in existence for fewer than two years
are exempt from the provisions of section 198C of the LRA.120 Also excluded from the protective measures for
part-time employees are those who work fewer than
l they must be treated on the whole not less favourably than are comparable
l employers must, ‘on the whole’, provide them and comparable full-time em-
and
________________________
118 S 198C(1)(b)(i) of the LRA. S 198C(1)(b)(ii) states that a comparable full-time employee
‘does not include a full-time employee whose hours of work are temporarily reduced for operational requirements
as a result of an agreement’.
119 The uncertainty is not addressed by the wording of s 198C(6) of the LRA, which provides that for ‘the purpose
of identifying a comparable full-time employee, regard must be had to a full-time employee employed by the
employer on the same type of employment relationship who performs the same or similar work’. This seems to
exclude indefinitely employed employees.
120 S 198C(2) of the LRA. The threshold amount currently stands at R205 433,30 per annum.
121 Ibid.
81
6 Casual work
Employees who work for a short duration, as and when required by the employer,
perform casual work. Here, both the parties know that the employee has no
expectation that the employment relationship will continue.125 The LRA does not make specific mention of this
category of employees.
In the case of what has been referred to as ‘permanent casuals’, the employer
places casual employees in a pool from which they are drawn and offered
NUCCAWU v Transnet Ltd t/a Portnet,127 the employer concluded ‘casual employment agreements’ with
employees in terms of which they were permitted
to work on a day-to-day basis for a maximum of three days a week, without any
employees from a pool of casuals on a daily basis. When the employer renego-
tiated the agreement with the casuals, they refused to sign the vastly different
new contract. The employer responded by refusing to employ them. The union
considered this an unprotected lock-out and applied to the Labour Court for an
urgent interdict to prevent the employer from refusing to employ its members.
employees, and that even though they were not entitled to employment
beyond the day that they were employed, they were still party to an employ-
Unlawful contractual terms may render a contract void ab initio, or voidable at the instance of any of the parties to
the agreement. An unlawful contract could
also have the consequence that the parties attract criminal sanction. Does
labour legislation apply only if there is a legally valid and enforceable contract of employment, or do labour rights
extend beyond the construction of an employment contract? This issue is particularly relevant to those either
working
________________________
125 In Barker and Holtzhausen (fn 116) at 21 ‘casual work’ is defined to mean ‘work performed by a temporary
employee’.
126 Even if the relationship is temporary in nature, the employee still has the right not to be unfairly dismissed.
See Bezuidenhout v Ibhayi Engineering Contractors CC (2005) 26 ILJ
2477 (BCA) in this regard. However, in these circumstances, compensation rather than reinstatement will be
awarded.
128 In Union of Refugee Women & others v Director: Private Security Industry Regulatory Authority & others
(2007) 28 ILJ 537 (CC) the Constitutional Court had to consider a set of facts relating to the right of refugees to
work in the private security industry. The issue of whether the applicants were in fact employees was not
considered. However, it was held that s 23(1) of the Private Security Industry Regulation Act 56 of 2001 does not
amount to continued on next page
82
Law@work
By virtue of their nature, cases about the unfair dismissal of migrant workers
who have no work permits are rarely brought before the CCMA or the courts
because of fear of either deportation or criminal prosecution. The CCMA initially took the view that an
employment contract with an unauthorised foreign worker
was void ab initio. Consequently, the maxim ex turpi causa non oritur actio (no action arises out of a
dishonourable cause) was applied. Commissioners consistently ruled that the CCMA lacked jurisdiction to
entertain any application
Against the background of the constitutional right to fair labour practices and
the vulnerability of illegal workers, 130 in Discovery Health v CCMA131 the Labour Court made two significant
findings that changed the position regarding migrant workers. First, the court held that it was not the intention of
the Immigration Act 13 of 2002 to render the employee’s contract of employment concluded
without a permit null and void. To render such contracts invalid could only en-
courage unscrupulous employers to exploit unprotected workers and persons.
the court held that even if the contract was invalid the definition of ‘employee’
who works for another person and receives remuneration falls within the defin-
ition of employee in terms of section 213 of the LRA and within the scope of
The Labour Appeal Court, in ‘Kylie’ v CCMA & others, 133 once again had the opportunity to consider whether
the definition of ‘employee’ extends to persons
________________________
unfair discrimination (s 9 of the Constitution) in so far as it prohibits refugees from working in the private security
industry. Indirectly, this precludes employees with refugee status to work in this particular industry. However, this
prohibition is specific to the private security industry and the principle does not apply to employees not covered by
the Private Security Industry Regulation Act.
129 See Moses v Safika Holdings ( Pty) Ltd (2001) 22 ILJ 1261 (CCMA); Chambers v Process Consulting
Logistics ( Pty) Ltd [2003] 4 BALR 405 (CCMA); and Georgieva-Deyanova v Craighall Spar [2004] 9 BALR
1143 (CCMA).
130 The arguments of Bosch ‘Can Unauthorized Workers be regarded as Employees for the Purposes of the
Labour Relations Act?’ (2006) 27 ILJ 1342 opened the door for the position that was adopted by the courts at a
later stage.
131 Fn 19. See also Southern Sun Hotel Interests ( Pty) Ltd v CCMA & others [2009] 11 BLLR 1128
(LC) where it was held that illegal immigrants may rely on the right not to be unfairly dismissed.
132 At para 42 the court referred to s 232 and s 233 of the Constitution, which explains the relevance of
international law. At para 47 the court relied on the United Nation’s International Convention on the Rights of all
Migrant Workers and Members of their Families, (Resolution 45/158 adopted in 1990) and ILO Conventions 66 of
1939, 97 of 1949 and 143
of 1975. Having considered the respective positions in the USA, the United Kingdom and Australia, Norton
‘Workers in the Shadows: An International Comparison on the Law of Dismissal of Illegal Migrant Workers’
(2010) 31 ILJ 1521 delivers a critique on Discovery Health.
133 Fn 19.
83
worker’ until her contract was terminated, without a hearing, on the grounds of
disruptive behaviour and substance abuse. The CCMA ruled that it lacked juris-
even if there was no valid contract. This relationship fell within the scope of
application of the LRA that, amongst other things, advances the goals of ‘social
justice, fairness and respect for all’. Even though the court was mindful of the
fact that reinstatement would be manifestly against public policy and would
not be a competent remedy, the par delictum rule could be relaxed in certain circumstances and compensation
could be awarded. 135
This argument is in line with what the code directs in respect of the interpret-
ation of labour legislation. 136 The code notes that section 3 of the LRA states that
‘any person applying the Act must interpret its provisions . . . in compliance with the Constitution’. 137 If more
than one interpretation can be given to a provision, the interpretation that best gives effect to the Constitution must
be chosen as
The LRA, BCEA, EEA and SDA do not define the term ‘employer’. 139 However, it
seems logical to use the mirror image of the definition of ‘employee’ (and the
such as the duty to render services of an agreed nature, becomes the right of
________________________
134 ‘Kylie’ v Van Zyl t/a Brigittes [2007] 4 BALR 338 (CCMA). The commissioner held that the work that Kylie
had performed was illegal in terms of the Sexual Offences Act 23 of 1957.
In their commentary on the case Bosch and Christie (fn 10) at 805 criticise this decision and argue that the
commissioner missed a golden opportunity to grapple with the definition of ‘employee’ in the light of the purpose
of the LRA and the broader constitutional framework. See also ‘Kylie’ v CCMA & others [2008] 9 BLLR 870
(LC).
138 Item 62 of the code. See De Beer NO v North-Central Local Council and South-Central Local Council &
others 2002 (1) SA 429 (CC) at para 37 and NEHAWU v University of Cape Town & others (fn 35). See also
NUMSA & others v Bader Bop ( Pty) Ltd (2003) 24 ILJ 305
(CC) at 325–326 where it was held that in considering legislation such as the LRA that is intended to give effect to
constitutional rights, the scope and application of the law should be generously interpreted.
139 S 1 of the COIDA contains a definition of ‘employer’. See para 4.4 ‘Social security legislation’.
140 This principle was applied in Footwear Trading CC v Mdlalose [2005] 5 BLLR 452 (LAC) at para 24.
84
Law@work
In the modern business world where employees may prefer to work through
trusts or other separate legal entities and where employers may prefer to sub-
ment relationship, it may be difficult to pinpoint the employer. 141 The courts have on occasion considered
schemes in terms of which one legal entity, usually an
ing salaries and deducting statutory levies such as UIF contributions, while an-
other associated company holds the assets and contracts with external clients.
The leading authority regarding this issue is the Labour Appeal Court’s deci-
principle that substance and not form is determinative of the employment rela-
tionship. 143 The court accepted that in the normal course of events the piercing
of the corporate veil becomes relevant only when a corporation is the alter ego
of a natural person and when the shareholders seek to hide behind the veil. 144 In
the Footwear Trading case the court was prepared to pierce the veil and
accept that the two entities were in fact ‘joint or co-employers’. The practical
effect of this decision is that the courts will not permit employers to hide behind multiple-entity schemes as a way
of circumventing their obligations as employers.
Another scenario arises when a person who actually renders the services does
not contract with the other party in his or her own name but operates through a
trust, close corporation or company with which the person has an employment
or other commercial relationship. This is often done to establish a favourable tax dispensation for the person who
renders the service. In Denel ( Pty) Ltd v Gerber145 the Labour Appeal Court considered the following facts:
Denel concluded an agreement with Multicare Holdings (Pty) Ltd in terms of which it would provide certain
human resources consultancy services to Denel. Multicare had one
and Denel claimed that it had validly terminated a commercial contract with
The court accepted that Gerber was an employee of Denel on the ‘basis of
the realities – on the basis of substance and not form or labels’.146 Next, the ________________________
141 The issue under discussion should, however, be distinguished from the principle that has already been
established, namely that it is legally possible for a part-time employee to be employed by more than one employer
at different times. Nothing precludes an employee from rendering services to one employer during the first two
days of any week and to work for another during the rest of the week.
142 Fn 140. See also State Information Technology Agency ( SITA) ( Pty) Ltd v CCMA & others (fn 8), and the
discussion of the case at para 4.2 ‘Interpreting the definition of “employee”’, and Zeman v Quickelberge & another
(2011) 32 ILJ 453 (LC).
143 This principle was gleaned from a decision of the former Labour Appeal Court in Camdons Realty ( Pty) Ltd v
Hart (1993) 14 ILJ 1008 (LAC).
144 See confirmation of this principle in Board of Executors Ltd v McCafferty [1997] 7 BLLR 835
145 Fn 27.
85
court considered the position of persons who voluntarily agree to render ser-
vices through a separate legal entity in order to gain a more favourable tax dis-
pensation. In a number of earlier decisions, the courts had held that such per-
sons would be precluded from reclaiming employee status for purposes of pro-
tection against unfair dismissal. 147 Zondo JP put an end to this line of argument
and held that an agreement for purposes of a better tax dispensation does not
alter the realities of the relationship. 148 However, the court did hold that, in the
absence of reconciliation with the South African Revenue Services, the court
had been approached with ‘dirty hands’ and that this would be taken into
The code also seeks to address this issue by providing that when a person, in
order to gain tax benefits, has made representations to an agency such as the
SA Revenue Services that he or she is not an employee it may be appropriate
for a court or arbitrator to refuse to grant that person relief on the basis that he or she did not institute the
proceedings with clean hands. 150
Section 200B of the LRA, introduced in 2014, seeks to put an end to complex
established by labour legislation. Section 200B provides for joint and several
liability for employer obligations when simulated corporate structures are estab-
lished to defeat the purposes of the LRA or any other employment law.
________________________
147 See CMS Support Services ( Pty) Ltd v Briggs [1997] 5 BLLR 533 (LAC); Bezer v Cruizer International CC
(2003) 24 ILJ 1372 (LAC). In Callanan v Tee-Kee Borehole Castings ( Pty) Ltd & another (1992) 13 ILJ 279 (IC)
at 1550D–E the former Industrial Court held that the courts will be unwilling to assist employees who want to
‘have their cake and eat it’. See also Apsey v Babcock Engineering Contractors ( Pty) Ltd (1995) 16 ILJ 914 (IC)
at 924D–F. Benjamin (fn 19) at 796 considered this line of authority and concluded that these cases, incorrectly so,
give ‘precedence to form over substance’.
148 Van Niekerk ‘Personal Service Companies and the Definition of “employee”: Some Thoughts on Denel ( Pty)
Ltd v Gerber (2005) 26 ILJ 1256 (LAC), (2005) 26 ILJ 1904 at 1908
argues that parties should be entitled, for whatever perceived advantage, to decide and agree on their own status
and designation even if this does exclude the employment relationship. See also Van Niekerk (fn 44) at 19 where
he considers, as a matter of public policy, whether ‘the courts ought to allow parties to a contract to designate their
status’.
He mentions that this is a difficult issue ‘and with respect, the answer is not as clear-cut as the Labour Appeal
Court would appear to consider’. Van Niekerk adds that as ‘Brassey has suggested, when the parties are bona fide
the terms of their agreement are the best source of their intention’. See in this regard Brassey (fn 1) .
conditions of employment
Page
1 Introduction
......................................................................................................
89
90
92
93
2.3.1
Introduction
.....................................................................................
93
93
2.3.3
Restraint
of
trade
............................................................................
94
96
96
97
98
99
99
6.1
Introduction
...............................................................................................
105
6.2.1
Working
time
...................................................................................
107
6.2.2
Leave
...............................................................................................
109
6.2.2.1
Annual
leave
.....................................................................
109
6.2.2.2
Sick
leave
...........................................................................
109
6.2.2.3
Maternity
leave
.................................................................
110
6.2.2.4
Family
responsibility
leave
................................................
111
87
88
Law@work
Page
6.3
Sectoral
determinations
...........................................................................
114
7.1
Contracts
...................................................................................................
115
89
1 Introduction
The Introduction to this book notes that the rights and duties arising from the
source of labour-related obligation is legislation.1 For that reason, most of this book is concerned with statutory
rights and obligations. Labour legislation extends to most aspects of the employment relationship. For example,
the EEA
them. Once employees are engaged, the BCEA and, in some sectors, sectoral
rights in relation to hours of work, leave, notice periods, and the like. The LRA establishes collective rights such as
the right to freedom of association, organisational rights and the right to strike and also establishes individual
rights against unfair dismissal and unfair labour practices.
One might have thought that in these circumstances most labour disputes
would find their way through the dispute resolution structures established by the LRA and that a common-law
claim would become a less attractive option for
any prospective litigant. But this does not seem to be the case. Despite the
related rights and obligations. Indeed, there is a cogent argument that contract
remains the foundation of labour law. 2 It is not uncommon for aggrieved employees to rely on common-law rights
to bypass the jurisdiction of the CCMA to
deal with unfair dismissal and unfair labour practice and to proceed to the High
Court and the Labour Court with their concurrent jurisdiction to entertain dis-
ment, and the law of contract, in so far as it regulates the formation of contracts and the broad limits on the
freedom to contract, applies. The principal obligations of the employee are to make his or her personal services
available to the
employer and to do so with due diligence and competence within the relation-
ship of authority that employment creates and in good faith. The employer’s
principal obligations are to pay the agreed remuneration, to provide safe work-
ing conditions, and to treat the employee with respect and dignity. 4 The contract
________________________
1 Cheadle in Coaker and Zeffert (eds) Wille and Millin’s Mercantile Law of South Africa (1984) at 340. Cheadle
reminds us that the contract of employment ‘is so shot through by statute and collective agreements that it has
become an inextricable complex of rights and obligations with its source in contract, common law, trade and
custom, legislation and collective bargaining’.
2 Brassey Employment and Labour Law Vol 1: Employment Law (1998) at C:ii. See also Vettori The Employment
Contract and the Changed World of Work (2007) at 21–22.
3 See Jacot-Guillarmod v Provincial Government, Gauteng (1999) 20 ILJ 1689 (T); Louw v Acting Chairman of
the Board of Directors of the North West Housing Corporation & another (2000) 21 ILJ 482 (B).
4 See Benjamin ‘Contract of Employment’ in Thompson and Benjamin South African Labour Law Vol 2 (1994–
2006).
90
Law@work
the parties. So, for example, each employee guarantees that he or she is com-
petent to render the agreed work and each employee’s fiduciary duty towards
In this chapter, we discuss briefly the principal individual rights and obligations associated with the contract of
employment. This discussion is followed by a
established by the BCEA). We then discuss the different ways in which legislative standards might affect the rights
and obligations agreed upon between the
which parties rely on their traditional common-law remedies, which often lie
The main contractual obligation of the employee is to place his or her personal
services at the disposal of the employer and to render efficient service.6 Gener-
ally, the contract of employment governs the job description, the date from which the employee must report for
service, the days of the week on which services
must be rendered, the hours of service and the place of work. As previously
fact that employees are remunerated for the potential to render services where-
principles regarding rest on Sundays or annual or sick leave. As will be discussed later in the chapter, it is left to
the BCEA, sectoral determinations and collective
tees that he or she is capable of doing the agreed work and that the work will
________________________
5 Vettori (fn 2) at 89. In Alfred McAlpine v TPA 1974 (3) SA 506 (A) at 531D Corbett JA mentions that the
expression ‘implied term’ denotes mainly two concepts: it refers to terms that are automatically implied by the law,
irrespective of the intention of the parties, and to unexpressed terms derived from the common intention of the
parties.
6 Smit v Workmen’s Compensation Commissioner 1979 (1) SA 51 (A) at 61C. There is a subtle distinction between
an employee’s placing his or her potential to work at the disposal of the employer and actually working. The
employee complies with the primary obligation if he or she is present and offers to render services. If, for example,
the employee reports for duty and the employer directs that there is no work to be done, the employee is still
entitled to be remunerated. In these circumstances, the fact that the employee is doing nothing does not result in
breach of contract. However, if instructions pertaining to work are assigned, failure to perform the work will
constitute breach of contract.
7 See eg ch 4 and Liberty Life Association of Africa Ltd v Niselow (1996) 17 ILJ 673 (LAC).
91
be performed diligently and with due care. 9 The level of competence that can
inefficiency cause the employer damage or financial loss, the employer may
in respect of his or her wilful or negligent wrongful act or omission which must be
this chapter, the BCEA has intervened in this regard by placing limitations on
caused by an employee. 11 This intervention aside, the common-law principles have largely remained intact.
Claims by third parties against employees (and their employers) who cause
damage through their wrongful acts in the course of their employment is regu-
lated by the doctrine of vicarious liability. This doctrine remains almost exclusively
regulated by the common law.12 Public policy dictates that as long as an em-
ployee is acting in the course and scope of his or her duty13 the employer is
responsible for the wrongs committed by the employee. This principle ascribes
liability to both employer and employee even when the employee was at fault
and even though the employer might have been completely removed from the
incident. The third-party claimant has the right to elect against whom to institute the claim.
The rationale for this doctrine rests on two foundations, namely the ‘desirability of affording claimants efficacious
remedies for harm suffered’ and the desire to
‘incite employers to take active steps’ to prevent their employees from causing
harm to members of the public.14 Employers have the right to reclaim from employees the damages so caused and
paid out to third parties.
________________________
9 Administrator, Tvl v Traub 1989 (4) SA 731 (A); NUM v Libanon Gold Mining Co Ltd (1994) 15
ILJ 585 (LAC); Muller v Unilong Freight Distributors ( Edms) Bpk [1996] 2 BLLR 137 (LAC).
10 For a more comprehensive discussion of the various requirements for a delict, see Neethling, Potgieter and
Visser Law of Delict (2010) at 25.
11 See the discussion of s 34(1)–(2) at para 6 ‘Statutory conditions of employment: The BCEA’.
Amongst other things, these provisions state that an employer may not deduct money from an employee’s
remuneration without a written agreement and that the amount deducted may not exceed a quarter of the
employee’s weekly or monthly remuneration.
13 See also Minister of Safety and Security v Jordaan t/a Andre Jordaan Transport (2000) 21
ILJ 2585 (SCA) at para 5; Jordaan v Bloemfontein Transitional Local Authority & another 2004 (3) SA 371 (SCA)
at para 3. In Chartaprops 16 ( Pty) Ltd & another v Silberman (2009) 30 ILJ 497 (SCA) it was confirmed that a
principal is generally not liable for wrongs committed by an independent contractor or the contractor’s employees.
A principal can, however, be held liable should a competent contractor not be appointed and third parties be
prejudiced by such an appointment.
14 K v Minister of Safety and Security [2005] 8 BLLR 749 (CC) at para 21.
15 Ibid. However, see Minister of Safety and Security v F [2011] 3 All SA 149 (SCA).
92
Law@work
accord more fully with the normative framework established by the Bill of Rights.
In this case, K claimed damages from the Minister of Safety and Security on the
grounds that when she had been in need of assistance from them, three on-
duty police officers raped her. The court noted that difficulties arise in so-called
‘deviation cases’ in which employees stray from their normal duties, especially
fold enquiry: a subjective test regarding the mind of the employee and an
objective test of whether the deviant actions are nevertheless sufficiently con-
nected to the employer’s concern. 17 This approach, the court held, makes it clear that, subjectively measured,
even if the employee was on a frolic of his or her own18 the employer may nevertheless be vicariously liable if the
second
fact and of law and asks whether ‘there is nevertheless a sufficiently close link’
between the acts concerned and the ‘purpose and the business of the em-
ployer’.19 The court held that there was a sufficient nexus between the deeds of
the employees and their duties as policemen to render their employer liable for
there are limited instances in which labour legislation establishes ‘vicarious liability’.
One such example is to be found in section 60 of the EEA20 which provides that should an employee be subjected
to discriminatory acts – sexual harassment by
another employee, for example – the aggrieved employee may choose to take
Even though not every employee necessarily works under the direct supervision
and to obey reasonable instructions. This duty is derived from the traditional
________________________
16 In Viljoen v Smit (1997) 18 ILJ 61 (A) an employee deviated from his assigned duties in order to relieve himself
on the neighbouring farm. He caused a fire that resulted in severe damage to that farm. The court held the
employer vicariously liable for the wrongful act of the employee.
17 This test was established in Minister of Police v Rabie 1986 (1) SA 117 (A).
18 At para 27 the court cited with approval the dictum in Feldman ( Pty) Ltd v Mall 1945 AD
733 at 744 that ‘the servant, while on his frolic may at the same time be doing his master’s work and also because
a servant’s indulgence in a frolic may in itself constitute a neglect to perform his master’s work properly’.
19 At para 32.
20 Another example can be found in s 198(4) of the LRA that makes temporary employment services and their
clients jointly and severally liable for the transgression of the provisions of the BCEA and of collective agreements
and arbitration awards. See the discussion in ch 4
21 S 60(1) of the EEA. See Ntsabo v Real Security CC [2004] 1 BLLR 58 (LC) at 91C–D. In Grobler v Naspers
Bpk & another [2004] 5 BLLR 455 (C) it was held that this statutory form of liability does not oust the common-
law doctrine of vicarious liability. See also Media 24 Ltd
93
that the employer is the bearer of authority and the employee is the one who
The right of the employer to control the manner in which the employee works
and the authority to determine the place at which the employee works are im-
includes wilful and persistent refusal to obey the instructions of the employer,
amounts to breach of contract and would entitle the employer to terminate the
the employer has the right to institute disciplinary action which, depending on
2.3.1 Introduction
The employee owes his or her employer a fiduciary duty and stands in a position
of trust and confidence in relation to the employer. This implies a duty to protect the employer’s interests and that
the employee is ‘not allowed to make secret
profit at the other’s expense or place himself [or herself] in a position where his
[or her] interests conflict with this duty’.25 It is generally accepted that these duties form part of each contract of
employment, irrespective of whether the
In Phillips v Fieldstone Africa ( Pty) Ltd & another27 the employer’s business was to
raise capital for its clients. The employer was often paid for its services in the form of shares issued to the
employer by the client. Phillips, an employee of Fieldstone Africa, bought and sold shares of one of the employer’s
clients in his own
________________________
22 In Smit v Workmen’s Compensation Commissioner (fn 6) 61 it was held that ‘[t]he employee is in terms of the
contract of service subordinate to the will of the employer. He is obliged to obey the lawful commands, orders or
instructions of the employer’.
24 Mischke ‘Acting in Good Faith: Courts Focus on Employee’s Fiduciary Duty to the Employer’
(2004) CLL 14(1) 1; Volvo ( Southern Africa) ( Pty) Ltd v Yssel [2010] 2 BLLR 128 (SCA).
25 In Robinson v Randfontein Estates Gold Mining Co 1921 AD 168 at 177. In Western Platinum Refinery Ltd v
Hlebela [2015] 9 BLLR 940 (LAC) it was confirmed that an employee may be obliged to assist management in
bringing perpetrators of misconduct to book. Their failure to come forward may amount to ‘derivative
misconduct’.
26 In Council for Scientific and Industrial Research v Fijen [1996] 6 BLLR 685 (A) at 692 it was held that these
duties simply flow from naturalia contractus rather than from an implied term. However, in the following cases it
was treated as an implied term: Sappi Novaboard ( Pty) Ltd v Bolleurs [1998] 5 BLLR 460 (LAC); Ganes &
another v Telekom Namibia (2004) 23
27 In Phillips v Fieldstone Africa ( Pty) Ltd & another (2004) 25 ILJ 1005 (SCA) at para 30 the court noted that
the principles confirmed in the Robinson case (fn 25) had ‘stood unchallenged for 80 years’.
94
Law@work
name even though the employer was interested in acquiring the shares in its
name. He resold the shares and made a profit of R11 250 000. The Supreme
l The rule that the employee is not allowed to make secret profits at the ex-
pense of his or her employer or to be in a position in which his or her own in-
terests conflict with this duty is a strict one that allows little room for exceptions.
l The rule relates not only to actual conflicts of interest but also to conflicts which are a real, sensible possibility.
l The defences open to a fiduciary in breach of the duty are limited. Only the
full consent of the principal or employer after complete disclosure will suffice.
The Supreme Court of Appeal agreed with the decision of the court a quo that the employee had acted in breach of
his duty of good faith and was liable to
A breach of the duty of good faith is often used as a type of catch-all charge
when employees are charged with misconduct. Should a breach of the em-
The application of a contractual duty of good faith and its reciprocal nature
obligation and held that the contractual duty of good faith does not as a mat-
ter of law imply the imposition of a unilateral fiduciary obligation on employees to disclose information of
misconduct committed by co-employees.
Employers often seek to protect their business interests, both during the term of a contract of employment and at
the contract’s termination, by means of confidentiality clauses and restraint-of-trade agreements (sometimes called
restrictive covenants). A restraint of trade typically provides that after termination of the contract of employment
(on whatever grounds) the employee is prohibited from
performing similar work in competition with his or her former employer within a
defined area for a prescribed period.30 In other words, the restraint specifies the
________________________
28 See also Ganes & another v Telekom Namibia (fn 26) at para 25 where the court confirmed the employer’s right
to institute a claim for damages against an employee for his or her breach of the duty to act in good faith. In this
case, the employer was awarded damages in an amount exceeding R2 700 000.
29 National Union of Metalworkers of SA obo Nganezi & others v Dunlop Mixing and Technical Services (Pty) Ltd
(CCT 202/18, 28 Feb 2019). For a discussion on derivative misconduct, see ch 11 at para 1.3.1, and Idensohn ‘The
Nature and Scope of Employees’ Fiduciary Duties’ (2012) 33 ILJ 1539.
30 In Reeves & another v Marfield Insurance Brokers CC & another 1996 (3) SA 766 (A) at 772
it was held that ‘[t]he legitimate object of a restraint is to protect the employer’s goodwill and customer
connections (or trade secrets) and the restraint accordingly remains effective for a specified period (which must be
reasonable) after the employment relationship has come to an end’.
work in which the restrained employee may not engage, the area within which
the employee may not compete and the period for which the employee is
restrained.
In Magna Alloys & Research SA ( Pty) Ltd v Ellis31 the former Appellate Division
for the first time clearly established that restraint agreements are valid and enforceable unless they are contrary to
public policy. 32 The court held that restraint agreements remain valid until such time as an employee who
contests the en-forceability of the agreement discharges the onus of proving that it is contrary
to public policy. 33
The central criterion for determining whether such agreements accord with
public policy is that of reasonableness. In Basson v Chilwan & others,34 the former Appellate Division held that
the following factors should be taken into account
l whether the restraint covers a legitimate interest of the one party deserving
of protection;
l if so, whether that interest so outweighs, qualitatively and quantitatively, the interest of the other party as to
warrant the latter’s economic inactivity and
unproductiveness; and
l any aspect of public policy which requires that the restraint be enforced or
not.
In Reddy v Siemens Telecommunications ( Pty) Ltd35 the Supreme Court of Appeal accepted that the determination
of reasonableness entails a value judgement
and added an additional touchstone, namely whether the restraint goes further
than is necessary to protect the employer’s protectable interest; if it does, the agreement will be deemed contrary to
public policy. In Vodacom ( Pty) Ltd v Motsa & another36 the Labour Court held that for the purpose of
determining
the reasonableness of the duration of a restraint of trade clause, any obligation on the employee to take ‘gardening
leave’, also needs to be taken into account.
On a number of occasions, the courts have stated that the law as reflected in
Magna Alloys has not been altered dramatically by the constitutional right of persons to choose freely their trade,
occupation or profession. 37 If a restraint ________________________
32 Prior to this judgment, the courts had accepted that a restraint agreement was contrary to public policy, and
therefore void, unless it was shown to be reasonable.
33 This approach was closely followed in Lifeguards Africa ( Pty) Ltd v Raubenheimer (2006) 27 ILJ 2521 (D) at
para 28.
35 (2007) 28 ILJ 317 (SCA) at para 17. This additional criterion was also used in Nampesca ( SA) Products ( Pty)
Ltd v Zaderer (1999) 20 ILJ 549 (C) at 556H–J.
36 [2016] 5 BLLR 523 (LC). At para 22 the court held that gardening leave is typically understood to ‘provide that
if an employee gives notice, the employer may require the employee to spend a whole or part of the notice period
at home [with pay], thus allowing confidential information to which the employee had access to become stale’.
37 As contained in s 22 of the Constitution. See Waltons Stationery Co ( Edms) Bpk v Fourie 1994 (4) SA 507 (O);
Kotze & Genis ( Edms) Bpk v Potgieter 1995 (3) BCLR 349 (C); Knox continued on next page
96
Law@work
of the Constitution.38 Having said this, it does seem that the courts are becoming
they establish must be balanced against the employee’s interest in not being
ing effect of a restraint-of-trade provision?40 In Reeves & another v Marfield Insurance Brokers CC & another41
the former Appellate Division cast doubt on the
an end to any restraint of trade. The court held that the need to protect an em-
tract is terminated42 and that breach by the employer may take many forms
ties and the intervals (daily, weekly or monthly) and method of payment (be it in cash, commission or kind) is
generally contained in the contract of employment.
There is not as yet a general statutory minimum wage and the parties to the
agreement can hypothetically agree on any salary. This does not leave employ-
ees without protection, however. Current labour law recognises that employees
main mechanism is collective bargaining. The LRA makes provision for the estab-
unions and the right to strike.43 These factors promote the process of collective
________________________
D’Arcy Ltd v Shaw 1996 (2) SA 651 (W), Ball v Bambalela Bolts (Pty) Ltd & another [2013] 9
BLLR 843 (LAC), and New Justfun Group (Pty) Ltd v Turner & others (2018) 39 ILJ 2721 (LC).
38 Fidelity Guards Holdings ( Pty) Ltd v Pearmain [1998] 3 BLLR 334 (SE). In Coetzee v Comitis & others
(2001) 22 ILJ 331 (C) it was held that the restrictions contained in the constitution of the National Soccer League
constituted a restraint of trade which in the circumstances was inconsistent with the Constitution and therefore
invalid. See also Reddy v Siemens Telecommunications ( Pty) Ltd (fn 35).
39 See Random Logic ( Pty) Ltd t/a Nashua, Cape Town v Dempster (2009) 30 ILJ 1762 (C); Mozart Ice Cream
Classic Franchises ( Pty) Ltd v Davidoff & another (2009) 30 ILJ 1750 (C); David Crouch Marketing CC v Du
Plessis (2009) 30 ILJ 1828 (LC).
40 This was the view of the High Court in Info DB Computers v Newby & another (1996) 17 ILJ
32 (WLD) at 35D–F.
41 Fn 30.
42 Fn 30 at 772G.
43 This structure is established in the LRA. See the discussion in ch 1 at para 1 ‘The discipline of labour law’.
97
tains minimum wages for employees in the sector covered by the agreement.
ing. They function as a safety net and are issued by the Minister of Employment
and Labour (Minister) in terms of the BCEA for sectors that are not covered by
workers and farm workers are covered by sectoral agreements that establish a
minimum wage for the domestic and agricultural sectors. 45
the employer are suspended. 46 Employees of the employer are not obliged to render services and are not entitled
to remuneration unless the trustee or liquidator agrees to continue employment. Suspended contracts of
employment auto-
Employees have a preferential claim against the insolvent estate for unpaid
there is a duty on employers to establish safe working conditions for their em-
ployees. 48 This duty extends to the provision of safe machinery and of safety
clothing and equipment. This duty could have its origin in either the law of delict or the law of contract.
An employee affected by his or her employer’s breach of this duty has a claim
for damages against the employer. Should the employer’s negligent conduct
lead to injury the employee will clearly have a delictual claim. However, should
claims.49 The Act establishes a statutory insurance scheme in terms of which ________________________
45 The definition of ‘remuneration’ in terms of the BCEA is relevant when, for example, severance pay, pay in
lieu of notice, and leave pay are calculated. S 35(5) of the BCEA provides that remuneration includes housing
allowances or subsidies, car allowances, payments in kind, and employers’ contributions to pension or provident
funds and medical aids. Payment for tools of a trade, transport allowances, entertainment allowances and education
or schooling allowances are not included under the rubric of remuneration.
46 S 38 of the Insolvency Act 24 of 1936. See Boraine and Van Eck ‘The New Insolvency and Labour Package:
How Successful was the Integration?’ (2003) 24 ILJ 1840. S 9(4A) of the Insolvency Act provides that a copy of
the sequestration petition needs to be served on the insolvent employer’s employees. In Stratford & others v
Investec Bank Ltd & others (2015) 36 ILJ 583 (CC) the Constitutional Court confirmed that the term ‘worker’ is
not limited to workers in a commercial setting, but that it also applies to domestic workers.
48 This principle was confirmed in early cases. See Nicholson v East Rand Pty Mines Ltd 1910
WLD 235; Lahrs v SAR&H 1931 CPD 289; SAR&H v Cruywagen 1938 CPD 219; Van Heerden v SA Pulp &
Paper Industries Ltd 1946 AD 385.
49 See the discussion in ch 18 at para 4.1 ‘Employment injuries and diseases’.
98
Law@work
the compensation commissioner rather than from their employer.50 However, the COIDA does not cover all harms
that might be caused in the employer-employee relationship.
In Media 24 Ltd & another v Grobler, 51 the Supreme Court of Appeal considered a case in which an employee
instituted a claim against her employer
the jurisdictional point that the harassment in this instance had resulted in an
occupational injury and that the COIDA immunised the employer against a
common-law claim for damages in respect of those injuries. The court held that
on the facts this incident had occurred outside the course of the employee’s
employment and awarded her damages based on the employer’s breach of its
A moot point relates to whether the duty to act in good faith is reciprocal in so far as it can be relied on by
employees to initiate claims against their employers for damage to dignity, self-respect or psychological integrity.
In Council for Scientific and Industrial Research v Fijen52 the Supreme Court of Appeal recog-
nised that there is an implied duty on the employer not to conduct itself in a
trust with the employee. However, employers have relied on a breach of the
relationship of trust more often than employees who have not fully realised the
potential in what is in all likelihood a reciprocal duty. Bosch53 argues that the
civil courts have shown a willingness under the Constitution to extend contrac-
tual remedies.54 He argues that rather than seek a remedy in labour legislation (for example, by resigning and
seeking redress on the grounds of constructive
dismissal), employees could claim a breach of the reciprocal duty of trust and
________________________
50 The constitutionality of this model was challenged without success in Jooste v Score Supermarket Trading (
Pty) Ltd (1999) 20 ILJ 525 (CC). In Mankayi v Anglogold Ashanti Ltd (2011) 32 ILJ 545 (CC) the Constitutional
Court held that mineworkers performing risk work and contracting a compensatable disease under the
Occupational Diseases in Mines and
Works Act 78 of 1973 are not covered by s 35 of the COIDA and can consequently institute a common-law claim
for damages against their employer.
51 Fn 21.
52 Fn 26.
53 Bosch ‘The Implied Term of Trust and Confidence in South African Labour Law’ (2006) 27
ILJ 28 at 51.
54 In Fedlife Assurance Ltd v Wolfaardt [2001] 12 BLLR 1301 (SCA) at para 27 it was suggested that the right not
to be unfairly dismissed may have been introduced into the contract of employment by the Constitution.
55 Bosch (fn 53) at 51. At 31 he argues that, rather than relying on the general right to fair labour practices
contained in the Constitution, litigants may opt to seek remedies based on the common-law duty of good faith.
99
action the plaintiff has to prove that there was a wrongful and intentional in-
Although the courts have held that wrongful dismissal or suspension is not an
injuria in itself for which damages other than those emanating from the breach of contract can be claimed, 57 there
is authority to the effect that under exceptional circumstances such a claim remains viable. So, for example, in
Marais v Member of the Executive Council, Department of Education, Eastern Cape Province58 the plaintiff, an
educator in the employ of the Department of Education,
threatened with dismissal if he failed to report for duty. The plaintiff contended that he had been subjected to
psychological trauma, stress and financial prejudice and that he had incurred increased medical costs. The Labour
Court set
the transfer aside and the plaintiff then lodged a claim for common-law dam-
ages in the High Court based on the impairment of his dignity. A full bench held
that the Department of Education had acted wrongfully and that the action had
been carried out with the intention of harming the applicant ( animo injuriandi).
for a specific period, such as a month, a year or until the completion of a spe-
cific project, the contract terminates without further notice at the end of the
fixed term or on completion of the project. So, for example, the parties can
agree that a builder will be employed until the construction of a dam or road
by the effluxion of time when the employee reaches retirement age. Such con-
tracts are often erroneously referred to as ‘permanent’ contracts. This is not an accurate description, however,
because this subspecies of contract often makes
provision for the termination of the agreement, with or without notice, before retirement age is reached. Indefinite
contracts typically specify the agreed notification period and in most instances also provide that the prescribed
notice must
be given to the other party in writing. If an employee fails to give the required notice, the contract terminates at the
end of the notice period. By failing to
give the required notice, the employee breaches the contract thus entitling the
________________________
56 See Minister of Police v Mbilini 1983 (3) SA 705 (A); Minister of Justice v Hofmeyr 1993 (3) SA 131 (A).
57 Ndamse v University College of Fort Hare & another 1966 (4) SA 137 (E) at 139G–H.
100 Law@work
By its very nature, the contract of employment, which entails the rendering of
The BCEA and the LRA have each in their different ways adapted the common-
ployment. 61 Traditionally, the law of contract did not recognise the right not to be unfairly dismissed. However,
the LRA has changed this by requiring due pro-
warranted. The BCEA acknowledges this right and states that nothing in the Act
that makes provision for notice affects the right of a dismissed employee to dis-
pute the fairness of his or her dismissal in terms of the LRA. 64 Stated differently,
ployment by giving an employee the required notice, the existence of this right
does not preclude the employee from referring an unfair dismissal dispute to the
breaches of contract. A serious (or material) breach is one that relates to the
essential obligations of the contract. So, for example, the conduct of an em-
ployee who breaches the fiduciary duty of good faith by making secret profits
or fails without reason to report for duty for an extended period would go to the heart of the contract.
The distinction between material and less serious forms of breach is significant
in relation to the contractual remedies to which the aggrieved party to the con-
summarily (without notice) if one of the parties materially breaches the con-
tract. 65 Minor infringements relating to late-coming and the careless execution of ________________________
59 Vodacom (Pty) Ltd v Motsa & another [2016] 5 BLLR 523 (LC); Coetzee v Zeitz Mocaa Foundation Trust &
others [2018] 9 BLLR 909 (LC).
61 See s 37(1) of the BCEA and the discussion in ch 5 at para 6.2.4 ‘Termination of employment’.
63 S 185(a) states that every employee has the right not to be unfairly dismissed.
64 See s 37(6) of the BCEA and the discussion in ch 5 at para 6.2.4 ‘Termination of employment’.
101
instructions that do not cause the employer financial harm can be classified as
less serious breaches that do not justify the summary termination of the contract.66
Following a breach of the contract the aggrieved party may elect to claim
can combine one of these remedies with a claim for common-law damages. 67
An order for specific performance is one in terms of which the defaulting party is ordered to fulfil the contractual
obligations. For example, an employee who is
damages can be claimed only when the aggrieved party suffers actual loss. The
quantum of damages for breach of a fixed term contract is the actual loss suf-
fered represented by the sum due for the unexpired portion of the contract less
any sum that the employee earned or could reasonably have earned in that
cent party must make an election between them, and cannot approbate and
reprobate. 69
relationships for a number of reasons. First, for many years the courts doubted
as employment. 70 Secondly, it could be extremely difficult and time-consuming to prove actual damages suffered
as a result of the unlawful termination of, in
particular, indefinite contracts of employment. Finally, the common law did not
enforceable right that could attract the remedies associated with breach of
contract.
All of this changed with the enactment of the Constitution, with its fundamen-
tal right to fair labour practices, and with the implementation of the LRA, which codifies the law concerning unfair
dismissal and establishes statutory remedies for unfair labour practices and unfair dismissal. As discussed more
fully in chapter 9, ________________________
66 Holgate v Minister of Justice (1995) 16 ILJ 1426 (E).
67 WL Ochse Webb & Pretorius ( Pty) Ltd v Vermeulen [1997] 2 BLLR 124 (LAC). A claim for damages is
ordinarily pleaded in the alternative to a claim for specific performance.
68 Meyers v Abramson 1952 (3) SA 121 (C). Common-law damages do not equate to compensation that may be
claimed in terms of s 194 of the LRA. In KwaZulu-Natal Tourism Authority & others v Wasa [2016] 11 BLLR
1135 (LAC) at para 32 the court confirmed that an employee who claims common-law damages in terms of s 77(3)
of the BCEA, must
prove that the damages were suffered in consequence of such breach, as well as the quantum of such damages.
70 In Schierhout v Minister of Justice 1926 AD 99, the court initially adopted the English-law principle that the
only remedy available to an employee who had been wrongfully dismissed was an action for damages. This
changed when the court in National Union of Textile Workers v Stag Packing ( Pty) Ltd & another 1982 (4) SA
151 (T) held that there was no fixed rule prohibiting such an order and that it was in the court’s discretion whether
to order specific performance of duties in terms of a contract of employment.
102 Law@work
the LRA has elevated reinstatement as the primary remedy for unfair dismissal,
and caps have been placed on statutory compensation that can be awarded
to unfairly dismissed employees. Soon after the enactment of the LRA, the ex-
ance Ltd v Wolfaardt71 accepted the possibility that the Constitution might have imported into the common-law
contract of employment the right not to be
unfairly dismissed. 72 In this case, the employee was employed in terms of a five-
year fixed-term contract. When the employer prematurely terminated the con-
tract, the employee approached the High Court on the basis of a breach of
contract of employment rather than file a claim in the CCMA for unfair dismis-
sal. The court rejected the employer’s contention that the High Court lacked
jurisdiction. The court held that while the labour courts may have exclusive jurisdiction in respect of unfair
dismissals the LRA ‘does not expressly abrogate an
Makhanya v University of Zululand74 Nugent JA held that it is not unusual for two rights to be asserted from the
same facts. A claimant could, for example, on the
same facts, claim so-called ‘LRA rights’ in the CCMA and Labour Court and
time Safety Authority v McKenzie 76 Wallis AJA triggered what appears to be an ________________________
71 Fn 54.
72 S 23(1) of the Constitution recognises everyone’s right to fair labour practices and s 39(2) directs that when the
courts develop the common law they promote the spirit and
objects of the Bill of Rights. In his minority judgment, Froneman AJA held (at paras 42–44) that the right not to be
unfairly dismissed is a wider concept than the one based on lawfulness and that the first encompasses the second.
Because the LRA regulates the right not to be unfairly dismissed and deals fully with the consequences and
remedies for unfair dismissal, he concluded that the High Court should abstain from entertaining such disputes.
73 At 1306C. See also Old Mutual Life Assurance Co SA Ltd v Gumbi [2007] 8 BLLR 699 (SCA); Boxer
Superstores Mthatha & another v Mbenya [2007] 8 BLLR 693 (SCA); Pretorius and Myburgh ‘A Dual System of
Dismissal Law: Comment on Boxer Superstores Mthatha & Another v Mbenya (2007) 28 ILJ 2209 (SCA), (2007)
28 ILJ 2172; Van Eck ‘The Right to a Pre-dismissal Hearing in Terms of the Common Law: Are the Courts
Misdirected?’ (2008) 29
Obiter 339.
74 [2009] 8 BLLR 721 (SCA). See also Steenkamp and Bosch ‘Labour Dispute Resolution under the 1995 LRA:
Problems, Pitfalls and Potential’ in Le Roux and Rycroft (eds) Reinventing Labour Law: Reflecting on the First 15
Years of the Labour Relations Act and Future Challenges (2012) at 134.
75 In the United Kingdom, in Eastwood & another v Magnox Electric plc [2004] UK HL 35, the House of Lords
rejected arguments in favour of granting common-law damages in circumstances in which labour legislation
provides for the payment of compensation for unfair dismissal. The House of Lords was following an earlier
decision by the same court, Johnson v Unisys Ltd [2001] UK HL 31.
103
to include an implied or tacit term that gives an employee the right to a dis-
ciplinary enquiry prior to termination of the contract. The court held that, in so far as the LRA establishes a special
remedy for unfair dismissal, it is not necessary to imply terms into the common-law contract of employment to
protect dis-
missed employees.77 However, the court was at pains to explain that civil courts
tracts of employment. 78
Section 77(3) of the BCEA confirms the fact that common-law remedies have
not been altogether destroyed by the statutory remedies. The Act confers con-
current jurisdiction on the High Court and Labour Court to ‘determine any mat-
provides that the Labour Court has the power to make any appropriate order,
including:
award of compensation . . .
In Rand Water v Stoop79 the Labour Appeal Court had an opportunity to consider the interaction between an
employee’s right not to be unfairly dismissed
employee’s implied fiduciary duty to act in good faith. Rand Water dismissed
two of its employees after a disciplinary hearing found that they had defrauded
the employer of more than R8 million. The employees claimed that they had
been unfairly dismissed in terms of the LRA and Rand Water instituted a counter-
claim in terms of section 77(3) of the BCEA for their breach of the contract of
employment. The court relied on the principle that ‘it is an implied term of the
contract of employment that the employee will serve the employer honestly
and faithfully’80 and found that it had jurisdiction to award contractual damages against employees when claims
based on unfair dismissal and breach of contract relate to the same set of facts.
tions of employment that form the subject of agreed terms, and what might be
described as work practices, which may be varied without prior consent. So, for
________________________
78 At para 58 the court held that ‘[i]n the present case the issue is whether Mr McKenzie’s contract contains a term
implied by law as pleaded by him. That is a question within this Court’s jurisdiction and in my view the answer is
that it does not. What creates difficulties is when the merits of a claim are confused with the jurisdiction to deal
with it’.
104 Law@work
time to time.
The terms of a contract of employment may establish their own vehicle for
or withdrawal at any time, then the employer is entitled to effect any unilateral variation to those benefits in
accordance with the contract. The most obvious
In Monyela & others v Bruce Jacobs t/a LV Construction82 Zondo J expressed the following view:
In law an employer has no right to change the terms and conditions of employ-
ment of workers unilaterally. If the employer wants a change in the terms and conditions of employment of its
workers it can only change them if the workers consent to such a change. If the workers do not agree to such a
change, the employer
has to choose one of two options open to him. The one is to institute a lock-out
against the workers with the purpose of compelling the workers to accept the pro-
posed change to their terms and conditions of employment or it can lawfully and
fairly terminate the existing contracts of employment of the workers whereafter it can then ensure that whoever it
employs accepts terms and conditions of employment which include the changes it had sought to effect on the
dismissed
workforce. 83
The courts have held that even where a contract expressly or impliedly confers
held that an employer was not permitted to amend unilaterally the terms of a post-
Considering the evidence as a whole, the proposed changes were probably mo-
tivated by a desire on the part of Senwes to increase its profitability. There is nothing wrong with a desire to
increase profitability, but on the evidence before this court it is unreasonable for Senwes to seek to do so at the
applicants’ expense. In the context of the right to amend contractual terms, the reasonable exercise of discretion
must take into account the rights and interests of both (or all) parties to the ________________________
82 (1998) 19 ILJ 75 (LC). The second option referred to by Zondo J has since been called into question by the
amendment in 2014 to s 187(1)(c) of the LRA – see ch 10 at para 5 ‘Employee’s refusal to accept a demand in
respect of any matter of mutual interest’.
83 At 82C–E.
85 At 267C–H.
105
contract. It must balance those rights and interests, always bearing in mind the
The court concluded that Senwes had failed to consider the interests of the
care, and in so doing had breached the contract with its pensioners. The court
found support for its decision in section 23 of the Constitution, and in particular, the right to fair labour practices.
Collective agreements are discussed more fully in chapter 15. For present pur-
poses, it is sufficient to note that collective agreements, defined in the LRA to mean written agreements concluded
between registered trade unions and an
anism for the regulation of terms and conditions of employment. The LRA con-
fers binding force on collective agreements and provides that their terms vary,
employee who are both bound by the agreement. 86 In other words, collective
employment that waives these protections is invalid. 87 Unlike in many other juris-
6.1 Introduction
The principal statute giving effect to statutory minimum terms and conditions of
employment is the BCEA. The stated purpose of the Act is to advance economic
imum standards may be varied. The policy that underlines the Act is referred to
________________________
88 See Cheadle ‘Regulated Flexibility: Revisiting the LRA and BCEA’ (2006) 27 ILJ 663 at 668.
Cheadle suggests that employers have an interest in employment flexibility (the ability to change employment
levels quickly and cheaply), wage flexibility (the ability to determine wage levels without constraint) and
functional flexibility (the ability to alter work processes, terms and conditions of employment quickly and
cheaply). Employees, on the other hand, have an interest in labour market security, work security and security of
representation.
See also Van Eck ‘Regulated Flexibility and the Labour Relations Amendment Bill of 2012’
106 Law@work
family responsibility leave in their contract, or if the contract provides for only one day’s leave, the employee is
nonetheless entitled to three days’ family
these trump any minimum condition set by the BCEA. So, for example, while the
BCEA provides for 21 days’ annual leave in each leave cycle, 90 if a binding collective agreement provides for 25
days’ leave and payment of a leave bonus,
the employee is entitled to the more favourable terms – 25 days’ leave and
and conditions of employment. The BCEA applies in a residual sense, and must
mine the applicable terms. For example, a collective agreement may provide
for annual leave in excess of the minimum number of days provided by the
BCEA. It is not unusual in these circumstances for the agreement to place limits
on the right to accumulate annual leave, and there may even be a provision
regulating the forfeiture of non-statutory leave that is not used within a defined period. Here, the BCEA needs to
be read in conjunction with the collective
agreement in order to obtain an overall picture of the terms regulating the em-
came into operation. The NMWA establishes a minimum wage of R20 for each
ordinary hour worked. This translates to about R3 500 for those working 40 hours
per week and about R3 900 for those who work for 45 hours per week. The min-
imum wage for domestic workers is fixed at R15 per hour, and at R11 per hour
allowances are fixed for workers who have concluded learnership agreements
in terms of section 17 of the Skills Development Act. The NMWA also establishes
a National Minimum Wage Commission ('NMWC’). The functions of the commis-
sion are amongst other things, to review the national minimum wage and rec-
The NMWA applies to all workers and their employers, but does not apply to a
volunteer or a person who performs work for another person and who does not
receive or is not entitled to receive any remuneration for his or her services. 91 The NMWA is enforceable through
mechanisms established by the BCEA.
________________________
89 S 27 of the BCEA.
90 S 20 of the BCEA.
91 S 3 of the NMWA.
107
The NMWA operates in a similar fashion to the BCEA – section 4 of the NMWA
provides that every employer must pay a wage that is not less than the national
minimum wage, and that the national minimum wage constitutes a term of the
worker’s contract except to the extent that the contract, collective agreement
employer to unilaterally alter wages, hours of work or other conditions of employment in connection with the
implementation of the national minimum wage.
The BCEA applies to all employers and employees except for a number of
The BCEA uses the mechanism of a ‘basic condition of employment’ to fix min-
imum standards. These are defined as a provision of the Act (or of a sectoral
l the basic condition has been replaced, varied or excluded in terms of the
Act; or
below.
The provisions of the BCEA regulating working time do not apply to senior man-
agerial employees, employees engaged as sales staff who travel to the prem-
ises of customers and who regulate their own hours of work, and employees
who work less than 24 hours a month for an employer.97 In addition, employees
earning above a prescribed threshold98 are excluded from the statutory pro-
and weekly rest periods, pay for Sunday work, and night work.
________________________
92 S 4 of the NMWA. The National Minimum Wage Act Regulations 2018 (published in GN 1401
in GG 42124 of 19 December 2019) regulate the form and manner in which aplications for exemption from the
minimum wage must be made.
94 The General Intelligence Laws Amendment Act 11 of 2013 combined the National Intelligence Agency and the
South African Secret Service to form the State Security Agency.
95 Act 57 of 1951.
108 Law@work
more than 45 hours in any week, and nine hours in a day (if the employee works
5 days or fewer in a week) or 8 hours in a day (if the employee works on more
than 5 days a week). 99 Where employees serve members of the public, these
hours can be extended by up to 15 minutes a day, but not more than 60 minutes
The statutory minimum hours of work, and a goal to reduce these to 40 hours
a week and eight hours a day, are the subject of Schedule 1 to the BCEA. The
determinations.
Overtime work is work performed in excess of ordinary hours. An employer may not require or permit an
employee to work more than ten hours’ overtime
a week, and then only in accordance with an agreement. 101 The minimum rate to be paid for overtime is one and
a half times the normal wage, unless the
employee agrees to time off for overtime worked. A collective agreement may
extend overtime hours to 15 hours a week, provided that the agreement may
not apply for more than two months in any 12-month period. This provision is
designed to cater for those sectors, for example, retail and agriculture, that
uous hour after five hours of continuous work.103 By agreement, the meal interval can be reduced to 30 minutes,
or dispensed with if the employee works fewer
between ending and recommencing work, and a weekly rest period of at least
36 consecutive hours, which unless otherwise agreed, must include Sunday. 105
The BCEA contains two important flexibility measures in the form of the com-
pressed working week and the ability to average hours of work. An employer
and an employee can agree that the employee will work up to 12 hours in a
day, inclusive of a meal interval, without receiving overtime pay, provided that
the employee does not work more than 45 ordinary hours in any week, more
________________________
99 S 9(1).
100 S 9(2).
101 S 10.
102 See ss 16 and 18 of the BCEA. Employees who ordinarily work on Sundays and public holidays are paid on a
different basis. S 2(2) of the Public Holidays Act 36 of 1994, provides that a public holiday may be exchanged for
any other day agreed to by the employer and employee.
103 S 14.
104 S 14(5).
105 S 15.
109
than ten hours’ overtime in any week, or on more than five days in any week.
The compressed working week and averaging working hours permit work to be
6.2.2 Leave
has no right to be paid for any absence from work. The BCEA establishes min-
imum periods of paid leave to which all employees, irrespective of their earnings threshold or managerial status,
are entitled. The Act provides that every em-
Annual leave is accrued in a leave cycle, being the 12-month period after com-
agreement, an employee can be granted one day’s annual leave on full pay
for every 17 days worked. For example, a gardener who works every Monday
and Wednesday, will be entitled to two days’ paid leave after 17 weeks of
employment. Annual leave must be granted not later than six months after the
for any period of leave which accrued but was not taken during the previous
leave cycle.108 In Ludick v Rural Maintenance ( Pty) Ltd109 the Labour Court con-
firmed that the right to payment for unpaid leave applies only to leave accrued
ment are entitled to agree to a forfeiture provision in respect of leave not taken during the year preceding the last
leave cycle. Employees may be granted
occasional leave during the leave cycle, reducing the annual leave entitle-
ment accordingly.
After an employee has completed six months’ employment, sick leave is granted
in three-year cycles. In each cycle (a cycle starts when the employee com-
full pay, that the employee would work in a six-week period. So, for example, if
sick leave in every three-year cycle. In the first six months of employment, an
________________________
107 S 20(2). ‘Day’ is defined as a calendar day. Ch 3 of the BCEA, which confers rights to leave, does not apply to
employees who work less than 24 hours a month for an employer, nor does the chapter apply to leave granted in
excess of the statutory entitlement in terms of s 6(3). The terms on which non-statutory leave is granted are
typically regulated by agreement between the parties.
108 S 40(b).
109 [2014] 2 BLLR 178 (LC). Ludick followed the approach adopted in Jooste v Kohler Packaging Ltd [2003] 12
BLLR 1251 (LC) but disagreed with Jardine v Tongaat-Hulett Sugar Ltd
110 Law@work
employee accumulates one day’s sick leave for every 26 days worked. But that
does not mean that the sick leave cycle commences only after the employee
has been employed for six months. Rather, after the lapse of the first six months of employment, the employee
becomes entitled for the balance of the sick
leave cycle to the full number of days that the formula allows, less the number
If an employee has been absent from work for more than two consecutive
days or on more than two occasions in any eight-week period, the employer is
established by an Act of Parliament’. 112 This provision makes it clear that medical
certificates or letters issued by traditional healers who are not registered with a professional council will not suffice
as proof of absence for the purposes of sick leave. Nonetheless, the Constitutional Court in MEC for Education,
KwaZulu-Natal
& others v Pillay113 pointed out that diversity is something to be ‘celebrated and not feared’ and that recognition
should be given to bona fide cultural and religious practices. In Kievits Kroon Country Estate ( Pty) Ltd v Mmoledi
& others 114
the Supreme Court of Appeal followed this line of thought when it considered
the situation of an employee who was absent without permission because she
genuinely believed that she would fall ill if she did not attend training to become a traditional healer. Cachalia JA
concluded that the courts are entitled to grant relief to a dismissed employee if his or her failure to obey an order
was ‘justified or reasonable’. This being the case, the court accepted that the employee’s
absence without leave was to be excused even though the employee could
only produce a certificate from a traditional healer, which evidently did not
An employee is entitled to at least four months’ maternity leave, which she may
commence at any time from four weeks before the expected date of birth, or
An employee may not work for six weeks after the birth of her child. An em-
ployee who miscarries in the third trimester of her pregnancy or who has a still
born child, is entitled to six weeks’ leave after the miscarriage or still birth.
________________________
110 S 22.
111 S 23(1).
112 S 23(2).
116 S 25.
Common-law and statutory conditions of employment
111
The BCEA does not impose any obligation on employers to pay an employee
her remuneration during any period of maternity leave. The only statutory right
An employee who has been employed by an employer for longer than four
months and who works for four days a week for that employer is entitled to
three days’ paid family responsibility leave in every annual leave cycle. Family
responsibility leave may be taken when an employee’s child is born118 or is sick, or in the event of the death of an
employee’s spouse or life partner, parent,
employee may take leave for part of a day or for the whole day and the em-
certificate, before paying for such leave.120 No provision is made for leave in the event of the death of parents-in-
law.
prohibited practices
Employees must be paid in South African currency at the agreed interval and in
employee. 121 The employer must give the employee information in writing
amount and purpose of any deduction that is made and the calculation of the
The BCEA does not require that a written contract of employment be con-
cluded between employer and employee. Nonetheless, the Act does provide
ticulars of employment, setting out a number of details including the full name
and address of the employer, the date on which the employment began, the
________________________
117 See also s 187(1) of the LRA which provides that the dismissal of an employee on account of pregnancy or for
a reason related to pregnancy is automatically unfair. S 186 of the LRA defines a dismissal to include a refusal by
an employer to allow an employee to resume work after she has taken maternity leave.
118 The Labour Laws Amendment Act 10 of 2018, provides for parental leave, adoption leave and commissioning
parent leave. In terms of these provisions, an employee who is the parent of a child is entitled to ten consecutive
days parental leave. An employee who is an adoptive parent of a child below the age of two, or who is a
commissioning parent in a surrogate motherhood agreement, is entitled to at least ten weeks’ leave. At the time of
writing, these parental leave provisions had not yet been fully brought into operation (other than amending certain
provisions of the Unemployment Insurance Act 63 of 2001
that permit qualifying employees to apply for parental leave benefits through the Unemployment Insurance Fund).
See Behari ‘The Effect of the Labour Laws Amendment Bill 2017 on Shared Parental Responsibilities’ (2018) 39
ILJ 2149.
119 S 27(1)–(2).
120 S 27(4)–(5).
121 S 32.
112 Law@work
rate of pay, hours of work, deductions from remuneration, leave, the notice
period for termination of employment, and the like.122 The Act also provides that employers are required to keep
records, including the time worked by and
remuneration paid to each employee, for a period of three years from the date
of last entry in the record. 123 This obligation should be read in conjunction with
labour inspection.124
The BCEA sets requirements employers must meet before they may make
deductions from an employee’s remuneration.125 It differentiates between two main categories. First, section
34(1)(a) provides that an employer may not make
employer may deduct reimbursement for loss or damage only if the loss or dam-
age occurred in the course of employment and was due to the fault of the em-
the deductions should not be made. Further, the debt to be deducted must not
exceed the actual amount of the employer’s loss or damage and the debt
Section 33A(1) of the BCEA protects employees against the exploitative prac-
from a person nominated by the employer. For example, a farmer can no longer
prices. Such a practice will now be permitted only if it is included in a contract of employment or collective
agreement, if the price of the goods is fair and
reasonable and if the employee receives financial benefit from the scheme.
the following:126
l one week, if the employee has been employed for six months or less;
l two weeks, if the employee has been employed for more than six months
________________________
122 S 29.
123 S 31.
125 S 34(1)–(2).
126 S 37.
113
• is a farm worker or domestic worker who has been employed for more
Instead of the employer giving the employee notice, he may pay the employee
Notice of termination must be given in writing and does not affect the right of
must pay the employee severance pay equal to at least one week’s remuner-
ation for each completed year of continuous service with that employer. An
ment is not entitled to severance pay. 128 An employee who is justifiably engaged in consecutive fixed-term
contracts of longer than 24 months will, in terms of the LRA, also be entitled to receive severance pay of one
week’s remuneration for
vice that includes, at the employee’s request, the reason for termination of em-
The BCEA gives effect to international standards131 and to the provisions of the
and work that is inappropriate for their age. Section 43(1) of the BCEA stipulates that a person may not ‘require or
permit’
l a child’s well-being, physical or mental health, or spiritual, moral or social development to be placed at risk by
the performance of any work.
Children who are at least 15 years old and are no longer subject to compulsory
schooling in terms of any law are allowed to work in advertising, sporting, artistic and cultural activities but only
in terms of regulations or a sectoral determination ________________________
127 S 38.
128 See ch 12 at para 4.3 ‘Severance pay’. See also Astrapak Manufacturing Holdings ( Pty)
Ltd t/a East Rand Plastics v Chemical, Energy, Paper, Printing, Wood and Allied Workers Union [2013] 12 BLLR
1194 (LAC).
130 See ch 9.
131 The Minimum Age Convention, 1973 (No. 138) is one of the ILO’s eight core conventions.
132 S 28 of the Constitution.
133 Under the South African Schools Act 84 of 1996, education is compulsory for all South Africans from the age
of 7 (grade 1) to the age 15 or the completion of grade 9.
114 Law@work
issued by the Minister of Labour. 134 It is a criminal offence to permit a child to work in contravention of the
BCEA. 135
providing that no person may ‘demand or impose’ such labour on any per-
son.136 Any contravention of this section also constitutes a criminal offence. 137
have been investigated, a report has been prepared and the National Min-
imum Wage Commission (previously it was the function of the Employment Con-
ditions Commission (‘ECC’) established by the BCEA) has advised the Minister of
Employment and Labour. Sectoral determinations are made for those sectors of
the economy that are relatively unorganised, for example domestic workers,
A sectoral determination may be made only for a sector or area that is not
statutory council.139 Sectoral determinations regulate aspects such as minimum rates of remuneration, hours of
work, and overtime and may also regulate or
work in particular sectors. 140 Having taken into account section 21(8) of the LRA,
for a registered trade union to qualify automatically for organisational rights pertaining to the deduction of union
subscriptions and to access to the employer’s
premises.141
134 Ss 44(1), 50(2)(b) and 55(6). See, for example, Sectoral Determination 10, ‘Children in the Performance of
Advertising, Artistic and Cultural Activities’ (GNR 882, GG 26608, dated 29 July 2004). In terms of s 44(1A) the
minister may on the advice of the National Minimum Wage Commission make regulations to bring the Act in line
with international standards relating to work performed by children and to medical examination of children who
work.
135 Ss 43(3), 44(2) and 46. S 47 provides that the party who alleges that a person is of a certain age has to
establish that it was reasonable for that party to believe, after an investigation, that the person was not younger
than the permitted age.
136 S 48.
137 S 48(3).
140 S 55(4).
141 S 55(4)(o).
142 S 57.
115
The BCEA contemplates a number of ways in which statutory terms and con-
ditions of employment can be varied. First though, there are some terms that
These core rights aside, section 49 of the BCEA permits a collective agreement
the purposes of the Act. The scope for variation in terms of collective agree-
ments concluded outside of bargaining councils is more limited, and may
the Act itself or by a sectoral determination. The same provisions apply to con-
tracts of employment.
(i)
the
employer;
An example of a variation by the minister relates to hours of work. In terms of a ministerial determination,
employees earning in excess of R205 433,30 per annum
are excluded from section 9, which sets maximum ordinary hours of work, and
7.1 Contracts
Subject to the Constitution and unless the BCEA provides otherwise, the Labour
Court has exclusive jurisdiction ‘in respect of all matters’ in terms of the Act.144
________________________
144 S 77(1). S 77(1A) states that the Labour Court has exclusive jurisdiction to grant civil relief for breaches of the
prohibition against an employer’s requiring employees to purchase goods, services or products in return for work;
of the prohibition of work by children; of the prohibition of forced labour; of requirements of confidentiality
regarding financial and business information; and for obstruction, undue influence, and fraud in terms of the
BCEA.
116 Law@work
Labour Court. Section 77(3) confers concurrent jurisdiction on the Labour Court,
with the civil courts, ‘to hear and determine any matter concerning a contract
of employment, irrespective whether any basic condition of employment con-
Section 73A introduces the prospect of the contractual claims being deter-
mined by the CCMA. Provided an employee or worker earns less than a pre-
about a failure to pay any amount owing to the employee or worker in terms of
excess of the threshold may institute a claim for any failure to pay any of the
above amounts in the Labour Court, the High Court or subject to their jurisdic-
Section 63 of the BCEA provides for the appointment of labour inspectors, whose
main function is to promote, monitor and enforce compliance with the BCEA,
the NMWA and other labour legislation. Labour inspectors are given powers of
entry into workplaces, to question persons and inspect documents and records.
undertaking from that employer to comply with the provision concerned.146 The
inspector may seek to get an agreement between the employer and the em-
ployee about the amount owed and may arrange for payment to be made to
the employees concerned. 147 If the employer fails to comply with the order the
the compliance order to the CCMA within the time period stated in the order. 148
may apply to the CCMA to have the compliance order made an arbitration
award. The CCMA may issue an arbitration award if it is satisfied that the com-
pliance order was served on the employer and that the employer has not refer-
red a dispute concerning the compliance order.149 Once the compliance order is made an arbitration award, it can
be enforced as such in terms of section 143
of the LRA.
________________________
145 S 73A(3).
146 S 68.
147 S 73.
148 S 69(2A).
employment: non-discrimination
Page
1 Introduction
......................................................................................................
119
2.1 Origin
and
purpose
................................................................................
123
3.5 Establishing
discrimination
.....................................................................
136
3.6 Specific
defences
...................................................................................
139
3.7 Equal pay for equal work or work of equal value .............................. 147
117
118
Law@work
Page
4.1
The
EEA
......................................................................................................
158
4.2 Commission for Gender Equality ............................................................ 159
119
1 Introduction
characteristics. Personal characteristics may also be used as criteria for access to employment. For example,
applicants for employment might be excluded
of age or marital status, and employees who reach a particular age may be
required to retire. When are these personal characteristics relevant, and when
ployment-related decisions. These are the essential questions that equality laws
seek to address.
Aristotle thought that justice requires that people who are equal should be
treated equally and that those who are unequal should be treated unequally.1
Put another way, people who are similarly situated should be treated similarly,
and people who are not similarly situated should not be treated alike.2 This
whether people are similarly situated and what constitutes similar treatment for
those who are similarly situated.3 So, for example, when it comes to a minimum
working age, we justify the differential between persons younger than 15 and
those older than 15 because they are not in the same position (in other words,
they are not similarly situated) with respect to exposure to the physical risks of work and because those who are 15
or younger are under the legal minimum
school-leaving age.4 We might also think that employees with disabilities should
not be denied access to employment. But should they be accorded the same
treatment as that given to those employees who do not have disabilities? Or, if
equality demands that people who are not similarly situated should not be
treated similarly, should employers be required to take into account the particu-
dation for them by providing facilities not required by other employees? These
questions aside, the requirement that similarly situated people be treated simi-
based.
The right to equality cannot therefore preclude employers from drawing dis-
ferently. In other words, not every instance of different treatment in the work-
place is morally or legally wrong. The courts have distinguished between acts
that they have termed ‘mere differentiation’ (different treatment that is legitimate ________________________
3 Ibid.
4 S 43(1) of the BCEA prohibits the employment of children under the age of 15.
120
Law@work
and permissible) and ‘unfair discrimination’ (different treatment that is not legitimate and which is prohibited).
Much of this chapter focuses on how the labour
of hostility based on irrational, preconceived opinion, is obviously reprehensible, but it is not discrimination. The
Labour Court has held that discrimination occurs when people are not treated as individuals, or when
characteristics are assigned to people which amount to generalised assumptions about people or
groups of people. 5 The point is well illustrated by the English case of Hurley v Mustoe. 6 An employer refused to
consider for employment mothers with young children because, it asserted, they were unreliable. A mother with a
young child
applied for appointment. She was refused employment based on the employer’s
assumption. She contended that she had been discriminated against on the
grounds of her sex. The industrial tribunal upheld her claim. What the employer
had done was make a generalised assumption about a group of people (that
all mothers with young children are unreliable) and assign this characteristic to an individual applicant for a job.
Each applicant for the job should have been
assessed on the basis of her or his own reliability and not on the basis of the
assumption that the employer had made about the particular groups or cat-
ent Municipal & Allied Workers Union & another v City of Cape Town. 8 In this case, a diabetic whose medical
condition was under optimal control applied
to the city council for appointment as a fire-fighter. The council refused his
appointed as fire-fighters. This policy was premised on the assumption that the
employment of such people would pose an unacceptable risk to their life and
safety and to the life and safety of others. The Labour Court upheld a claim of
individual applicant for employment. What the council should have done was
an unacceptable safety risk. Had the council done so, it would have dis-
covered that the applicant’s medical condition was under optimal control and
that, on the available medical evidence, appointing him would not have pre-
dual applicants for the job according to criteria that were relevant to the
choice that had to be made and therefore discriminated against the appli-
________________________
5 See Leonard Dingler Employee Representative Council v Leonard Dingler ( Pty) Ltd (1998) 19 ILJ 285 (LC) at
289E–F.
6 [1981] ICR 490, referred to in Bourn and Whitmore Race and Sex Discrimination (1993) at 45.
7 Ibid.
121
tal purpose of equality legislation: the elimination of arbitrary decision-making in the workplace. Insisting that
decisions be made based on relevant criteria will
the best possible candidate is selected. Therefore, far from constituting an un-
Finally, it is not necessary to show intent to discriminate in order to establish discrimination. Intention and motive
may, however, be relevant when deciding
on the applicable remedy. The Labour Court has referred to the decision of the
House of Lords in James v Eastleigh Borough Council, 9 a case that neatly illustrates the point. Mr and Mrs James
used a council swimming pool. They were
both 61 years old. Mr James was charged an entrance fee, whereas Mrs James
was admitted free of charge because she was a pensioner. (At that stage,
English law provided a retirement age of 60 for women and 65 for men).
Mr James claimed that he had been discriminated against on the grounds of his
sex. The council defended the claim on the basis that it did not intend to dis-
fee was intended to benefit pensioners. The House of Lords held that the coun-
The test to be applied was a ‘but for’ test: would Mr James have received the
same treatment from the council but for his sex? Since Mr James would have
Section 1 of the Constitution states that the Republic of South Africa is founded on the values of ‘human dignity,
the achievement of equality and the advancement of rights and freedoms’. Section 9 gives expression to these
values and
provides not only that everyone is equal before the law and has the right to
equal protection and benefit of the law11 but also that equality ‘includes the full
________________________
10 Similarly, in South Africa, it was held in Pretoria City Council v Walker 1998 (2) SA 363 (CC) that requiring
proof of intention would be too onerous on applicants especially in cases of indirect discrimination. See also
Leonard Dingler Employee Representative Council v Leonard Dingler ( Pty) Ltd (fn 5); SA Transport & Allied
Workers Union obo Dlamini and Transnet Freight Rail & another (2009) 30 ILJ 1692 (ARB); Department of
Correctional Services & another v Police & Prisons Civil Rights Union & others [2011] 32 ILJ 2629 (LAC). In
Pharmaco Distribution (Pty) Ltd v EWN (2017) 38 ILJ 2496 (LAC), a case that concerned the dismissal of an
employee suffering from bi-polar disorder, the Labour Appeal Court confirmed that motive is irrelevant to a
determination of whether there has been discrimination.
11 S 9(1).
12 S 9(2).
122
Law@work
This formulation acknowledges that the concept of equality has two basic
dimensions. The first is equality as consistency, or, as it is sometimes called, formal equality or equality of
opportunity. Formal equality requires only that like be treated alike – in other words, that all persons be treated in
the same manner
dictions and embodies a notion of procedural justice rather than any substan-
tive outcome. Formal equality ignores economic and social disparities between
individuals and groups and treats any remedial measure as inimical to a right to
equality.
The Constitution unequivocally opts for substantive equality. In President of the Republic of South Africa v Hugo,
14 the Constitutional Court stated that: We need to develop a concept of unfair discrimination which recognises
that
although a society which affords each human being equal treatment on the basis
of equal worth . . . we cannot achieve that goal by insisting upon identical treatment in all circumstances before
that goal is achieved.
The court later affirmed this approach. In the majority judgment in Minister of Finance & another v Van
Heerden,15 the court noted the inadequacies of a
formal conception of equality and the positive duty to promote the achieve-
ment of equality that a substantive right to equality imposes. The court said the following:
[23] For good reason, the achievement of equality preoccupies our constitutional thinking. When our Constitution
took root a decade ago our society was
deeply divided, vastly unequal and uncaring of human worth. Many of the-
se stark social and economic disparities will persist for a long time to come.
In effect the commitment of the Preamble is to restore and protect the equal
worth of everyone, to heal the divisions of the past and to establish a caring
and socially just society. In explicit terms, the Constitution commits our society to ‘improve the quality of life of
all citizens and free the potential of each
person’.
[24] Our supreme law says more about equality than do comparable constitu-
tions. Like other constitutions, it confers the right to equal protection and
benefit of the law and the right to non-discrimination. However, it also im-
poses a positive duty on all organs of state to protect and promote the
________________________
13 See ch 7 below.
14 1997 (4) SA 1 (CC). See also Brink v Kitshoff NO 1996 (4) SA 197 (CC); National Coalition for Gay &
Lesbian Equality v Minister of Justice 1999 (1) SA 6 (CC); Bato Star Fishing ( Pty) Ltd v Minister of
Environmental Affairs & others 2004 (7) BCLR 687 (CC) where the Constitutional Court confirmed and expanded
on the notion of substantive equality.
123
ment to strive for a society based on social justice. In this way, our Constitu-
tion heralds not only equal protection of the law and non-discrimination but
also the start of a credible and abiding process of reparation for past exclusion, dispossession, and indignity within
the discipline of our constitutional framework. . . .
[31] The achievement of equality goes to the bedrock of our constitutional archi-tecture. . . . Thus the achievement
of equality is not only a guaranteed and
justifiable right in our Bill of Rights, but also a core and fundamental value; a standard that must inform all law
and against which all law must be tested
employment16
The principal statutory protection against discrimination in the workplace is established by the Employment Equity
Act (‘EEA’) which seeks to give effect to both
(a) Any distinction, exclusion or preference made on the basis of race, colour, sex, religion, political opinion,
national extraction or social origin, which has the
(b) such other distinction, exclusion or preference which has the effect of nullifying or impairing equality of
opportunity or treatment in employment or occu-
pation . . .
The EEA was introduced in 1998 and replaced the unfair labour practice as the
Section 2 of the EEA sets out the purpose of the Act as being the achieve-
(a) promoting equal opportunity and fair treatment in employment through the
________________________
16 Unfair discrimination in other spheres of life is prohibited by the Promotion of Equality and Prevention of
Unfair Discrimination Act 4 of 2000 (PEPUDA). See Cooper ‘The Application of the Promotion of Equality and
Prevention of Unfair Discrimination Act and the Employment Equity Act’ (2001) 22 ILJ 1532 for a discussion of
the relationship between these two statutes and a clarification of their respective areas of application.
18 S 9.
19 Previously, item 2(1)(a) of Sch 7 to the LRA, which regulated residual unfair labour practices, prohibited unfair
discrimination.
124
Law@work
Chapter II of the EEA prohibits unfair discrimination in employment. It applies to all employers, irrespective of
the size of the business. The term ‘employee’ is
defined for the purposes of the chapter as including applicants for employ-
Chapter III of the Act requires designated employers to take affirmative action
action as a defence to a claim of unfair discrimination is dealt with in paragraph 3.6.2 ‘Affirmative action measures
as a defence to discrimination claims’ below.
other arbitrary ground’.23 Section 6(2) establishes two specific defences against discrimination claims. Finally,
section 6(3) extends the definition of discrimination to include harassment on any of the grounds on which unfair
discrimination is
expressly prohibited.
6. Prohibition of unfair discrimination. —(1) No person may unfairly discriminate, directly or indirectly, against
an employee, in any employment policy or practice, on one or more grounds, including race, gender, sex,
pregnancy, marital status,
family responsibility, ethnic or social origin, colour, sexual orientation, age, disability,
________________________
20 S 9. Equality rights are also protected by the LRA, at least in respect of dismissal for a reason that amounts to
unfair discrimination. S 187 of the LRA establishes a number of automatically unfair reasons for dismissal some of
which concern equality rights. These include an employee’s pregnancy, or intended pregnancy, and any reason
related to her pregnancy (s 187(1)(e)). Dismissal that is a result of direct or indirect unfair discrimination against
an employee on any arbitrary ground, including gender, sex, ethnic or social origin, colour, sexual orientation, age,
disability, religion, conscience, belief, political opinion, culture, language, marital status or family responsibility, is
automatically unfair.
22 Comsec – Electronic Communications Security (Pty) Ltd – is a company owned by the National Intelligence
Agency. Its main aim is to protect government communications against unauthorised access and technical,
electronic and other threats.
23 This formulation accords with s 187(1)(f) of the LRA, which deals with discriminatory dismissals.
125
religion, HIV status, conscience, belief, political opinion, culture, language, birth or on any other arbitrary ground.
(a) take affirmative action measures consistent with the purpose of this Act; or (b) distinguish, exclude or prefer
any person based on an inherent requirement of a job.
ited on any one, or a combination of grounds of unfair discrimination listed in subsection (1).
the same employer performing the same or substantially the same work or work of
equal value that is directly or indirectly based on any one or more of the grounds listed in subsection (1), is unfair
discrimination.
(5) The Minister, after consultation with the Commission, may prescribe the cri-
teria and prescribe the methodology for assessing work of equal value contem-
the pejorative and benign meanings that attach to the term ‘discriminate’. The
use of the term ‘unfair discrimination’ rather than that of ‘discrimination’ demarcates a zone of justifiable
classification and differentiation between classes of persons. 25 This interpretation introduces a two-pronged test
for unfair discrimination, requiring a court to determine first whether a challenged differentiation
________________________
24 S 3(d) requires that the EEA be interpreted in compliance with South Africa’s international-law obligations,
particularly the obligations under ILO Convention 111. The Convention prohibits all discrimination against
employees. This requires that the term ‘unfair discrimination’ in s 6 of the Act mean no more than ‘discrimination’
as defined by the Convention.
In effect, since the Convention does not acknowledge ‘fairness’ as a qualifier in relation to ‘discrimination’, this
interpretation denies a general ‘fairness’-based defence to claims of discrimination but concedes that the term
‘unfair discrimination’ has a ‘venerable pedigree’ (see Du Toit ‘The Evolution of the Concept of Unfair
Discrimination in South African Labour Law’ (2006) 27 ILJ 1311 at 1340; Du Toit ‘The Prohibition of Unfair
Discrimination: Applying s 3(d) of the Employment Equity Act 55 of 1998’ in Dupper & Garbers (eds) Equality in
the Workplace: Reflections from South Africa and Beyond (2008) 139 at 151 et seq).
25 Davis, Cheadle and Haysom Fundamental Rights in the Constitution: Commentary and Cases (1997) at 56.
26 Harksen v Lane NO & others 1997 (11) BCLR 1489 (CC). See, however, para 3.5.1 below where it is explained
that while the first part of the test is the same for constitutional and discrimination cases under the EEA, the second
part differs in that the EEA must be interpreted in compliance with ILO Convention 111.
126
Law@work
any one or any combination of the grounds listed in section 6(1) of the Act.27 It would appear from this
formulation that fairness is not at issue – an act of harassment is an act of unfair discrimination.
‘Harassment’ is not defined in the Act but generally entails treating a person
in a manner that has the effect of violating that person’s dignity or of creating a degrading environment. The
PEPUDA (which may be used to deal with harassment outside the workplace), provides the following definition of
harassment in
section 1:
ates a hostile or intimidating environment or is calculated to induce submission by actual or threatened adverse
consequences and which is related to (a) sex, gender or sexual orientation; or (b) a person’s membership or
presumed membership
of a group identified by one or more of the prohibited grounds or a characteristic associated with such group.
duct in the EEA.28 Nonetheless, it has been argued that it could be viewed as a form of harassment or unfair
discrimination. 29 Harassment in the workplace
amounts to discrimination because it establishes arbitrary barriers to the full and equal enjoyment of a person’s
rights in the workplace and violates the dignity of
a person.30
________________________
27 See para 2 ‘Statutory prohibition of unfair discrimination in employment’. The Protection from Harassment Act
17 of 2011 (PHA) provides remedies against harassment such as attachment of the tools of harassment, eg, a laptop
or cell phone. The PHA defines sexual harassment as any ‘(a) unwelcome sexual attention from a person who
knows or ought reasonably to know that such attention is unwelcome; (b) unwelcome explicit or implicit
behaviour, suggestions, messages or remarks of a sexual nature that have the effect of offending, intimidating or
humiliating the complainant or a related person in circumstances, which a reasonable person having regard to all
the circumstances would have anticipated that the complainant or related person would be offended, humiliated or
intimidated; (c) implied or expressed promise of reward for complying with a sexually oriented request; or (d)
implied or expressed threat of reprisal or actual reprisal for refusal to comply with a sexually oriented request’. It
is not clear to what extent this Act applies in the workplace, if at all. See Landman & Ndou ‘The Protection from
Harassment Act and its Implications for the Workplace’ (2013) 22(9) CLL 82.
28 See Rycroft ‘Workplace Bullying: Unfair Discrimination, Dignity Violation or Unfair Labour Practice?’(2009)
30 ILJ 1431 and Whitcher ‘Workplace Bullying Law: Is it Feasible?’ (2010) 30 ILJ 43 for definitions of bullying
and for arguments for and against regulating such conduct in terms of existing legislation or new measures. So far,
no specific approach has been developed by the courts. See also Smit ‘Labour Law, the Queen Bee Syndrome and
Workplace Bullying: A Contribution to the Shattering of at Least One Glass Ceiling for Female Employees’ (2016)
37 ILJ 779. A new form of discrimination is also coming to the fore, namely ‘mobbing’. This entails bullying or
other attacks, usually in the form of emotional abuse, on the dignity of a person by a group in any context such as a
workplace or on-line.
30 For a comprehensive discussion on harassment, see Le Roux, Rycroft & Orleyn Harassment in the Workplace:
Law, Policies and Processes (2010). See also the definition of
127
Various kinds of harassment are found in the workplace, including, for ex-
ample, harassment based on religion,31 race, 32 sex,33 and non-disclosure of an employee’s pregnancy. 34 The
case law suggests that sexual harassment is the
continue unabated.36
Harassment Cases in the Workplace37 issued under the EEA is the elimination of
on defining sexual harassment, the various forms such harassment may take, a
________________________
31 See, eg, FAWU & others v Rainbow Chicken Farms [2000] 1 BLLR 70 (LC); SA Transport & Allied Workers
Union obo Dlamini and Transnet Freight Rail & another (fn 10); Strydom v Nederduitse Gereformeerde Gemeente
Moreleta Park (2009) 30 ILJ 868 (EqC); Lewis v Media 24 Ltd (2010) 31 ILJ 2416 (LC).
32 See, eg, Lebowa Platinum Mines Ltd v Hill [1998] 7 BLLR 666 (LAC); SA Transport & Allied Workers Union
obo Dlamini and Transnet Freight Rail & another (fn 10).
33 See, eg, J v M Ltd (1989) 10 ILJ 755 (IC); Intertech Systems ( Pty) Ltd v Sowter (1997) 18 ILJ
689 (LAC); Ntsabo v Real Security CC [2004] 1 BLLR 58 (LC); Brits v ABSA [2005] 2 BALR 167
(CCMA); Grobler v Naspers Bpk & another [2004] 5 BLLR 455 (C); Media 24 Ltd & another v Grobler (2005)
26 ILJ 1007 (SCA); Piliso v Old Mutual Life Assurance Co ( SA) Ltd & others (2007) 28 ILJ 897 (LC); Mokoena
& another v Garden Art ( Pty) Ltd & another (2008) 29 ILJ
1196 (LC); UASA obo Zulu and Transnet Pipelines (2008) 29 ILJ 1803 (ARB); SA Municipal Workers Union obo
Peterson v City of Cape Town & others (2009) 30 ILJ 1374 (LC); Mokone v Sahara Computers ( Pty) Ltd (2010)
31 ILJ 2827 (GNP); Motsamai v Everite Building Products ( Pty) Ltd [2011] 2 BLLR 144 (LAC); Department of
Correctional Services & another v Police & Prisons Civil Rights Union & others (fn 10); Makoti v Jesuit Refugee
Service SA (2012) 33 ILJ 1706 (LC); KO and Kuasa Commodities 332 t/a Twin Peak Spur Steak Ranch (2016) 37
ILJ 735 (CCMA) (where two males were involved); Ntsundu and Three Cities Inn on the Square ( Pty) Ltd (2016)
37 ILJ 1192 (LAC) (where guests harassed the applicant); Simmers v Campbell Scientific Africa ( Pty) Ltd (2014)
35 ILJ 2866 (LC); Campbell Scientific Africa ( Pty) Ltd v Simmers & others (2016) 37 ILJ 116 (LAC); Bandat v
De Kock & another (2015) 36 ILJ 979 (LC).
34 See Swart v Greenmachine Horticultural Services ( a division of Sterikleen ( Pty) Ltd) (2010) 31 ILJ 180 (LC).
35 See McGregor ‘“Do you want a lover tonight?” Do these words constitute sexual harassment? Simmers v
Campbell Scientific Africa ( Pty) Ltd & others; Campbell Scientific Africa ( Pty) Ltd & A Simmers’ (2016) THRHR
79(2) 322, which shows that sexual harassment against women in South African workplaces is a distressing
problem. Women are treated in a disrespectful manner and their self-worth and dignity are undermined. Moreover,
the harassment keeps intact a system of subordination to males and is essentially an expression of socially
entrenched gender inequality. A concern is that a large percentage of sexual harassment remains unreported,
including women who are caressed, pinched, grabbed at, stared at, flirted with and being subjected to sexual
advances and provocative comments. Moreover, a survey showed that 76 per cent of women in South Africa had in
fact experienced sexual harassment at work in some or other stage but stated that they ‘would rather resign than
make a fuss’.
36 Ibid.
37 Amended Code of Good Practice on the Handling of Sexual Harassment Cases in the Workplace, GN 1357, GG
27865, dated 4 August 2005.
128
Law@work
test for sexual harassment and workplace policies and procedures to deal
effectively with sexual harassment.
l physical conduct;
l non-verbal conduct.
Physical conduct of a sexual nature may range from touching to sexual assault
and rape and includes strip searches by or in the presence of members of the
opposite sex. Verbal conduct includes, inter alia, unwelcome innuendos, suggestions and hints, sexual advances,
comments with sexual overtones, sex-
related jokes, graphic comments about a person’s body, whistling, and sending
and constitutes a barrier to equity in the workplace, taking into account all of the following factors:
4.1 whether the harassment is on the prohibited grounds of sex and/or gender
l quid pro quo harassment, which occurs when a person such as an owner,
advances; and
l sexual favouritism, which occurs when a person in a position of authority in the workplace rewards only those
who respond to his or her sexual advances.
sexual harassment.
away from or not responding to the perpetrator, or seeking the assistance and
The long-standing debate about the test for sexual harassment – whether it is
the code which combines both objective and subjective elements. In other
words, it takes into account the perspectives of both the complainant and the
perpetrator.
129
An employer may be held liable for acts of sexual harassment by its employees.
Section 60 of the EEA stipulates the conditions under which an employer may
be held liable for such conduct by its employees and the conditions under
which liability may be avoided. These conditions are discussed in detail in para-
Two recent cases shed light on the nature of sexual harassment, namely Sim-
mers v Campbell Scientific Africa ( Pty) Ltd and Campbell Scientific Africa ( Pty) Ltd v Simmers & others.41 The
senior installation manager (S) of Campbell Scientific Africa, a contractor (C) and a female consultant (M)
travelled from South
Africa to Botswana on a work assignment and stayed at the same lodge. While
S and M were waiting in the parking lot when C settled the bill after supper one
night, S (25 years M’s senior) asked M whether she wanted a lover for the night.
M made clear that she was not interested and that she had a boyfriend. Here-
after, S asked further questions about her relationship with her boyfriend, sug-
gested that they ‘do something’ to which M responded that they should speak
to C. S lamented about him being lonely and asked if M wanted to go for a walk alone with him or go to his room
with him. When M refused again S once more asked if M would not want to spend time with him, which she
refused
again and said that she was going to bed. S repeated his offer to be M’s lover,
adding that if she changed her mind, she should come to his room during the
night. C then joined them and M left for bed. M obtained C’s cell number in
________________________
38 See Hendricks v Cape Peninsula University of Technology & others (2009) 30 ILJ 1229 (C) where the
employer was held contractually bound to follow its own harassment policy and disciplinary code because they
were viewed as part of the employment contract and not as mere guidelines; they provided important procedural
safeguards ensuring that sexual harassment was dealt with sensitively, proactively and in the best interests of all
parties concerned (at 1251D, 1255E–F).
39 For cases on conduct-related dismissal for sexual harassment, see, eg, UASA obo Zulu and Transnet Pipelines
(fn 33), Reddy v University of Natal [1998] 1 BLLR 29 (LC) and Grobler v Naspers Bpk & another (fn 33).
40 Broadly speaking, s 60 obliges employers to take the necessary steps to ensure compliance with the EEA.
Employers who fail to do so may incur liability for acts of harassment.
41 Fn 33.
130
Law@work
There was no touching between S and M and the advances and questions
the conversation the next day and he conveyed it to the company’s managing
director (MD) when back in South Africa, who then requested M to provide him
was upheld by the CCMA. On review to the Labour Court, S was reinstated with
a warning. On appeal to the Labour Appeal Court, the court used the now-
Cases42 (containing a cross reference to the Amended Code of the EEA), the
EEA, the EEA Amended Code of Good Conduct on the Handling of Sexual
Harassment Cases in the Workplace43 and found that the eight sexual advances
ment; it was not a matter of S just ‘trying his luck’. The Labour Appeal Court held that S had been fairly
dismissed.
The EEA prohibits both direct and indirect discrimination. Neither concept is
defined by the Act, but the courts have given some content to the meaning of
both.
are themselves unfair – for example, when an employer treats a woman less
favourably than it does or would treat a man. Motive or intent need not be
determination of an appropriate remedy. 44 Swart v Mr Video ( Pty) Ltd45 is a good example of direct
discrimination on the grounds of age. The employer in this
case sought to employ a shop assistant and stipulated that applicants should be
between the ages of 18 and 25. A 28-year-old applied and was refused em-
ployment because she did not meet the employer’s age requirements. The
CCMA held that by limiting the pool of applicants to those between the ages of
18 and 25 the employer had unfairly discriminated against the applicant on the
grounds of her age. She had been less favourably treated because of her age
and the employer could not justify the limitation it had placed on recruitment.
Indirect discrimination occurs when criteria that are fair in form produce in-
equitable results. Criteria that are, on the face of it, neutral, such as height, weight, educational requirements, full
or part-time status, and length of experience, can subtly differentiate between employees in a way that amounts to
________________________
42 GN 1367, GG 19049, dated 17 July 1998, issued in terms of the LRA (LRA Code).
43 Fn 37.
44 Leonard Dingler Employee Representative Council v Leonard Dingler ( Pty) Ltd (fn 5) at 289G. See para 1.1
‘The nature of equality’ above.
131
discrimination. The classic example is the American case Griggs v Duke Power
rating in aptitude tests. These criteria were, on the face of it, neutral, but their application had a disparate impact on
Black people in the community. The US
In other jurisdictions, legislation generally requires an applicant to demonstrate that a smaller proportion of the
protected group is able to comply with the requirement in question than would be the case with people who are not
mem-
bers of that group. The EEA does not specifically establish a test in those terms,
but it has been applied by South African labour courts.47 In Leonard Dingler Employee Representative Council v
Leonard Dingler ( Pty) Ltd48 the Labour Court held that a rule restricting membership of a benefit fund to
monthly paid employees discriminated on the grounds of race because the restriction had a dis-
were monthly paid and eligible for membership of the fund, only 8 were Black.
The definition of ‘employment policy or practice’ in the EEA defines the scope
of the prohibition against unfair discrimination and extends the statutory prohib-
ition to every aspect of the employment relationship.49 The scope is defined as including, but is not limited to, the
following:
l recruitment procedures;
l job assignments;
________________________
47 See, eg, Adriaanse / Swartklip Products [1999] 6 BALR 649 (CCMA); SADTU obo Makua v Mpumalanga
Education Department [1999] 5 BALR 638 (IMSSA); POPCRU & others v Department of Correctional Services
& another [2010] 10 BLLR 1067 (LC); Department of Correctional Services & another v Police & Prisons Civil
Rights Union & others (fn 10).
48 Fn 5.
49 S 1 of the EEA. See, eg, MIA v State Information Technology Agency ( Pty) Ltd (2015) 38 ILJ
1905 (LC) where it was found that the employer’s maternity leave policy unfairly discriminated against the
applicant (a male who would be the ‘mother’ in a same-sex couple) who had a baby in terms of a surrogacy
agreement. It was found that the applicant was entitled to the same maternity leave as a natural mother.
132
Law@work
l promotion;
l transfer;
l demotion;
l dismissal.
This definition is significant because an applicant in a discrimination claim must be able to establish that the
discrimination alleged exists in an employment
the definition makes it clear that it is open-ended and that policies and pro-
Section 6(1) of the EEA contains a list of 19 grounds on which unfair discrimin-
ation is prohibited. The list corresponds to that in the Constitution but adds three more grounds, namely family
responsibility, HIV status and political opinion.50 The
19 grounds referred to are broadly constitutive of human identity.51
The list of grounds is not exhaustive – the use of the word ‘including’ indicates that the specified grounds are not
conclusive of the scope of the prohibition. In 2014, section 6(1) was amended to include the words ‘or on any
other arbitrary ground’. 52
likely to prove controversial, especially given the close link drawn by the courts between discrimination and the
concept of dignity. 53 For example, relevance
‘arbitrary’ grounds – to the extent that they would ordinarily not affect a per-
son’s dignity – but may well be irrational or capricious and therefore arbitrary. 58
________________________
51 See Mangena & others v Fila South Africa ( Pty) Ltd & others [2009] 12 BLLR 1224 (LC).
157 at 170; Ndlela & others and Philani Mega Spar (2016) 37 ILJ 277 (CCMA).
56 Duma v Minister of Correctional Services & others (2016) 37 ILJ 1135 (LC) and para 3.7
133
However, in Gumede and Crimson Clover 17 ( Pty) Ltd t/a Island Hotel, 59 a bar-
having a bad body odour, in contrast to the rest of his roommates who had not
been judged in such a manner, was found to have been unfairly discriminated
against on account of the deep offence caused and the impairment of his
dignity. In terms of section 60 of the EEA, the respondent was held accountable
the specified grounds in the context of the application of section 6 of the EEA or section 187 of the LRA. In terms
of these sections, dismissal for discriminatory
reasons is automatically unfair. 60 The courts have also recognised claims for discrimination on what have been
termed ‘unspecified grounds’. Most discrimination cases concern the specified or listed grounds. This is so not
only
because the list in the EEA is extensive but also because of the requirement that the listed grounds be interpreted
generously. 61 A review of the case law shows that most cases concern discrimination on the grounds of race, 62
sex and ________________________
59 (2017) 38 ILJ 702 (CCMA). See also para 3.10 ‘Employer’s liability for the conduct of an employee’ below.
60 See ch 10 below.
61 In National Coalition for Gay & Lesbian Equality v Minister of Justice (fn 14) at para 21 the Constitutional
Court stated that the term ‘sexual orientation’ as used in s 9(3) of the Constitution must be given a ‘generous’
interpretation: ‘It applies equally to the orientation of persons who are bisexual, or transsexual and it also applies
to the orientation of persons who might on a single occasion only be erotically attracted to a member of their own
sex’.
62 See, eg, Crown Chickens ( Pty) Ltd t/a Rocklands Poultry v Kapp & others [2002] 6 BLLR 493
(LAC); SATAWU obo Finca v Old Mutual Life Assurance Company ( SA) Ltd & another
[2006] 8 BLLR 737 (LC); Stojce v University of KZN ( Natal) & another [2007] 3 BLLR 246 (LC); Raol
Investments ( Pty) Ltd t/a Thekwini Toyota v Madlala (2008) 29 ILJ 267 (SCA); Mangena
& others v Fila South Africa ( Pty) Ltd & others (fn 51); Mutale v Lorcom Twenty Two CC
(2009) 30 ILJ 634 (LC); SA Transport & Allied Workers Union obo Dlamini and Transnet Freight Rail & another
(fn 10); Reynhardt v University of South Africa (2008) 29 ILJ 725 (LC); University of South Africa v Reynhardt
(2010) 31 ILJ 2368 (LAC); Solidarity obo Barnard v SA Police Service (2010) 31 ILJ 742 (LC); SA Police Service
v Solidarity obo Barnard ( Police & Prisons Civil Rights Union as amicus curiae) (2010) 31 ILJ 742 (LC); South
African Police Services v Solidarity obo Barnard [2013] 3 BCLR 320 (LAC); Solidarity obo Barnard v SA Police
Service ( Vereeniging van Regslui vir Afrikaans as amicus curiae) (2014) 35 ILJ 416 (SCA); South African Police
Service v Solidarity obo Barnard ( Police and Prisons Civil Rights Union as amicus curiae) 2014 (10) BCLR 1195
(CC); Minister of Safety & Security & another v Govender (2011) 32 ILJ 1145 (LC); Modikwa Mining Personnel
Services v CCMA & others (2013) 34 ILJ 373 (LC); Mbana v Shepstone & Wylie (2015) 36 ILJ 1805 (CC); SA
Breweries ( Pty) Ltd v Hansen & others [2016] 5 BLLR 516 (LC) holding that the test for racist language is
objective; and SA Equity Workers Association obo Bester v Rustenburg Platinum Mine & another (2017) 38 ILJ
1770 (LAC) where potentially racist words used as merely descriptive was found to be neutral. In City of Cape
Town v Freddie & others (2016) 37 ILJ 1364 (LAC), the Labour Appeal Court found that the dismissal of the
respondent (a Coloured male) was fair. After insubordination to his senior (also a Coloured male), the respondent
sent a series of unprovoked emails with false racial slurs calling him, eg, worse ‘than Verwoerd’.
134
Law@work
gender, 63 pregnancy,64 and marital status.65 There are also a number of cases
63 See, eg, Collins v Volkskas Bank ( Westonaria Branch) , a division of ABSA Bank Ltd [1994] 12
BLLR 73 (IC); Association of Professional Teachers & another v Minister of Education & others (1995) 16 ILJ
1048 (IC); Ehlers v Bohler Uddeholm Africa ( Pty) Ltd (2010) 31 ILJ 2383
(LC); Atkins v Datacentrix ( Pty) Ltd [2010] 4 BLLR 351 (LC); Minister of Safety & Security & another v
Govender (fn 62); Police & Prisons Civil Rights Union & others v Minister of Correctional Services & another
(2013) 34 ILJ 690 (LC); Department of Correctional Services v Police & Prisons Civil Rights Union (fn 10);
Media 24 Ltd & another v Grobler (fn 33); Motsamai v Everite Building Products ( Pty) Ltd (fn 33); Gaga v Anglo
Platinum Ltd & others (2012) 33 ILJ 329 (LAC); Mbana v Shepstone & Wylie (fn 62); SA Municipal Workers
Union & another v Nelson Mandela Bay Municipality (2016) 37 ILJ 1203 (LC); MIA v State Information
Technology Agency ( Pty) Ltd (fn 49). See also McGregor ‘The Legal Emancipation of Transsexual People: From
Living in Closets During the Dark Ages to Recognition of an Altered Sex and Zero-Tolerance for Unfair
Discrimination in the 21st Century – Atkins v Datacentrix ( Pty) Ltd [2010] 4 BLLR 351 (LC), Ehlers v Bohler
Uddeholm Africa ( Pty) Ltd [2010]
JOL 26216 (LC), (2013) 6 THRHR 233. See also Mkhwanazi and Rycroft ‘Obligations of an Employer to a
Transgender Employee’ (2017) 38 ILJ 2201.
64 See, eg, Collins v Volkskas Bank ( Westonaria Branch) , a division of ABSA Bank Ltd [1994] 12
BLLR 73 (IC); Sheridan v The Original Mary-Ann’s at the Colony ( Pty) Ltd (1999) 20 ILJ 2952
(LC); Whitehead v Woolworths ( Pty) Ltd (1999) 20 ILJ 2133 (LC); Woolworths ( Pty) Ltd v Whitehead (2000) 21
ILJ 571 (LAC); Stokwe v MEC, Department of Education, Eastern Cape Province & another [2005] 8 BLLR 822
(LC); Swart v Greenmachine Horticultural Services ( a division of Sterikleen ( Pty) Ltd) (fn 34).
65 See, eg, Association of Professional Teachers & another v Minister of Education & others (fn 63); George v
Western Cape Education Department & another (1995) 16 ILJ 1529 (IC); Western Cape Education Department &
another v George (1996) 17 ILJ 547 (LAC); Sheridan v The Original Mary-Ann’s at the Colony ( Pty) Ltd (fn 64).
66 See, eg, Langemaat v Minister of Safety & Security & others (1998) 19 ILJ 240 (T); Minister of Home Affairs v
Fourie ( Doctors for Life International & others amici curiae) ; Lesbian and Gay Equality Project & others v
Minister of Home Affairs 2006 (1) SA 524 (CC); Strydom v Nederduitse Gereformeerde Gemeente Moreleta Park
(fn 31).
67 See, eg, Masondo v Crossway (1998) 19 ILJ 171 (CCMA); Co-operative Workers Association v Petroleum Oil
& Gas Co-operative of SA [2007] 1 BLLR 55 (LC) where the court investigated international and national laws
which recognised workers with family responsibilities or dependants as a vulnerable category of people deserving
special protection or assistance; Mangena & others v Fila South Africa ( Pty) Ltd & others (fn 51).
68 See, eg, Stojce v University of KZN ( Natal) & another (fn 62); Department of Correctional Services & another
v Police & Prisons Civil Rights Union & others (fn 10) .
69 See, eg, Singh v Minister of Justice & Constitutional Development ( SA National Council for the Blind as
amicus curiae) (2013) 34 ILJ 2807 (EqC) (being blind); Ngwabe and Imvula Quality Protection ( Pty) Ltd (2017)
38 ILJ 724 (CCMA) (where the employee had a single-eye); Mbhele and Fidelity Services v SA Municipal Workers
Union & another (2016) 37 ILJ
1935 (CCMA); Smith v Kit Kat Group ( Pty) Ltd (2017) 38 ILJ 483 (LC) (facial disfigurement and speech
disability); Gumede and Crimson Clover 17 ( Pty) Ltd t/a Island Hotel (fn 59) (body odour), Jansen v Legal Aid
(2018) 39 ILJ 2024 (LC) (depression). See also para 3.10
religion, 70 political opinion,71 nationality or ethnic origin, 72 birth,73 belief,74 cultural belief, 75 conscience,76
or HIV/AIDS. 77
filed by persons who, despite attempts by their employers to force them to retire, want to continue working. 78
Claims of discrimination based on appearance ________________________
70 See, eg, FAWU & others v Rainbow Chicken Farms (fn 31); Department of Correctional Services & another v
Police & Prisons Civil Rights Union & others (fn 10); Dlamini & others v Green Four Security [2006] 11 BLLR
1074 (LC); Lewis v Media 24 Ltd (fn 31); TDF Network (Pty) Ltd v Farris (2019) 40 ILJ 326 (LAC). See also
McGregor ‘Employees’ Right to Freedom of Religion versus Employers’ Commercial Interests: A Balancing Act
in Favour of Religious Diversity – A Decade of Cases’ (2013) 25(2) SA Merc LJ 223.
71 See, eg, Harmse v City of Cape Town [2003] 6 BLLR 557 (LC); Germishuys v Upington Municipality (2000)
21 ILJ 2439 (LC); Walters v Transitional Local Council of Port Elizabeth & another (2000) 21 ILJ 2723 (LC);
Jansen v Minister of Correctional Services of the Republic of South Africa (2010) 31 ILJ 650 (LC); Minister of
Safety & Security & another v Govender (fn 62).
72 See, eg, Chizunza v MTN ( Pty) Ltd & others (2008) 29 ILJ 2919 (LC).
73 See, eg, Mangena & others v Fila South Africa ( Pty) Ltd & others (fn 51).
74 See, eg, Zabala v Gold Reef City Casino [2009] BLLR 94 (LC); Jansen v Minister of Correctional Services of
the Republic of South Africa (fn 71); Department of Correctional Services
& another v Police & Prisons Civil Rights Union & others (fn 10).
75 Department of Correctional Services & another v Police & Prisons Civil Rights Union & others (fn 10);
Motaung v Department of Education & others (2013) ILJ 1199 (LC).
76 See, eg, Naude v Member of the Executive Council, Department of Health, Mpumalanga (2009) 30 ILJ 910
(LC); Department of Correctional Services & another v Police & Prisons Civil Rights Union & others (fn 10);
Jansen v Minister of Correctional Services of the Republic of South Africa (fn 71). See also Singlee ‘Conscience
Discrimination in the South African Workplace’ (2014) 35 ILJ 1851.
77 See, eg, Hoffmann v SA Airways (2000) 21 ILJ 891 (W); Hoffmann v SA Airways (2000) 21 ILJ
2357 (CC); Bootes v Eagle Ink Systems KwaZulu-Natal ( Pty) Ltd (2008) 29 ILJ 139 (LC); Allpass v Mooikloof
Estates ( Pty) Ltd t/a Mooikloof Equestrian Centre (2011) 32 ILJ 1637 (LC); Brink v Legal Aid SA (2015) 36 ILJ
1020 (LC) where the applicant could not show that his non-appointment was due to him campaigning against
AIDS; Khumalo and Enforce Security Services ( Pty) Ltd (2017) 38 ILJ 711 (CCMA) where the applicant
complained of his supervisor disclosing that he was HIV positive but the commissioner found that the claim should
have been referred to the Labour Court.
78 See, eg, HOSPERSA obo Venter v SA Nursing Council [2006] 6 BLLR 558 (LC); Evans v Japanese School of
Johannesburg (2006) 27 ILJ 2607 (LC); Datt v Gunnebo Industries ( Pty) Ltd (2009) 30 ILJ 2429 (LC); Karan t/a
Karan Beef Feedlot & another (2010) 31 ILJ 2449 (LC); SA Metal & Machinery Co ( Pty) Ltd v Gamaroff [2010]
2 BLLR 136 (LAC); Jansen van Vuuren v SA Airways ( Pty) Ltd (2013) 34 ILJ 1749 (LC); South African Airways (
Pty) Ltd v GJJVV [2014]
8 BLLR 748 (LAC) confirmed in the latter but with a reduction in the amount of compensation; Hibbert v ARB
Electrical Wholesalers ( Pty) Ltd (2013) 34 ILJ 1190 (LC) with the Labour Appeal Court confirming in ARB
Electrical Wholesalers ( Pty) Ltd v Hibbert (2015) 36 ILJ 2989
(LAC) that Hibbert could claim compensation both under the LRA (as an automatically unfair dismissal) and the
EEA on the same facts. Where damages had been suffered, this may be claimed under the EEA. See also ch 10
below and Moodley & Whitear-Nel ‘Some Thoughts on Claims for Compensation and Damages for Automatically
Unfair Dismissals and Discrimination’ (2015) 36 ILJ 907. See also BMW SA (Pty) Ltd v National Union of Metal
Workers of SA & another (2019) 40 ILJ 1159 (LAC).
136
Law@work
have begun to emerge.79 More often than not they are coupled with claims based on other grounds, especially
when appearance and dress are linked to
framework.
have also been brought before the courts. These grounds include citizenship, 80
grounds of discrimination
so, . . .
________________________
79 Such discrimination has been based on physical attractiveness, obesity, weight, uniforms, tattoos, piercings,
having a youthful/‘Prada’/’Gucci’/‘Bieber’ look, and hair colour. Cases like Department of Correctional Services
& another v Police & Prisons Civil Rights Union & others (fn 10) and Dlamini & others v Green Four Security (fn
70) may be examples of appearance-based discrimination coupled with discrimination based on another (listed)
ground.
80 See Larbi-Odam v Members of the Executive Committee for Education ( North-West Province) & another 1998
(1) SA 745 (CC). In this case it was found that a provincial regulation stipulating that no person who was not a
South African citizen could be appointed permanently as an educator in a state school was discriminatory and
could not be justified.
Although the decision was not couched in these terms, the exclusion of permanent residents on the basis that they
did not hold citizenship was found to be analogous to exclusion on the grounds specified in the interim
Constitution and based on attributes that had the potential to impair the dignity of non-citizens affected by the
regulation.
82 See, eg, McPherson v University of KwaZulu-Natal & another (2008) 29 ILJ 674 (LC).
83 See, eg, Naude v Member of the Executive Council, Department of Health, Mpumalanga (fn 76).
84 See Marsland v New Way Motor & Diesel Engineering ( Pty) Ltd [2009] 30 ILJ 169 (LC), upheld on appeal in
New Way Motor & Diesel Engineering ( Pty) Ltd v Marsland [2009] 12 BLLR
1181 (LAC); EWN v Pharmaco Distribution ( Pty) Ltd (2016) 37 ILJ 449 (LC).
85 See, eg, Jansen v Minister of Correctional Services of the Republic of South Africa (fn 71); Nombakuse v Dept
of Transport (2013) 34 ILJ 671 (LC).
87 Ntsundu and Three Cities Inn on the Square ( Pty) Ltd (fn 33).
137
(b) Does the differentiation amount to unfair discrimination? This requires a two-stage analysis:
(i) Firstly, does the differentiation amount to ‘discrimination’? If it is on a specified ground, the discrimination will
have been established. If it is not on a
teristics which have the potential to impair the fundamental human dignity
serious manner.
(ii) If the differentiation amounts to ‘discrimination’, does it amount to ‘unfair discrimination’? If it has been
found to be on a specified ground, then unfairness will be presumed. If on an unspecified ground, unfairness will
have
If, at the end of this stage of the enquiry, the differentiation is found not to be unfair, then there will be no violation
...
(c) If the discrimination is found to be unfair then a determination will have to be made as to whether the provision
can be justified under the limitations clause
...
The labour courts have adopted this approach for years, but it has been sug-
gested that it is incorrect.90 While the first part of what has become known as
the Harksen test can be applied to discrimination cases under the EEA, the EEA must be interpreted in accordance
with ILO Convention 111 which does not
provide for a ‘fairness’ qualification. This would affect the second stage of the Harksen enquiry since any enquiry
into unfairness would be eliminated.
Discrimination occurs when differentiation is made on illegitimate grounds. As to what constitutes illegitimate
grounds, there are three possibilities under the EEA: the ‘specified’ or ‘listed’ grounds, the ‘unspecified’ or
‘analogous’ grounds and, after the recent amendment to section 6, ‘arbitrary’ grounds. Once the claimant
has been laid.91 Thereafter, a link between that differentiation and a specified ground, or an unspecified ground
that affects the claimant’s dignity, or some
other, arbitrary ground must be established.92 The claimant must show that the
specified, unspecified or arbitrary ground is the ‘reason’ for the differentiation or that the disparate treatment is
‘because of’ the ground. A ‘bold averment’ or
‘mere allegation’ of discrimination is insufficient to require the employer to justify the alleged discrimination. 93
________________________
90 See, eg, Du Toit ‘Protection against Unfair Discrimination: Cleaning up the Act?’ (2014) 35
91 See McGregor (fn 53) at 173 et seq on whether the impermissible ground must be the sole reason for the
differentiation.
92 See, eg, Mangena & others v Fila South Africa ( Pty) Ltd & others (fn 51) at 1226F–I; Chizunza v MTN ( Pty)
Ltd & others (fn 72) at 2928B–2929B; Mbana v Shepstone & Wylie (fn 62).
93 See Mangena & others v Fila South Africa ( Pty) Ltd & others (fn 51) at 1229F–1233C, referring to Louw v
Golden Arrow Bus Services ( Pty) Ltd (2000) 21 ILJ 188 (LC) at 197B; TGWU v Bayete Security Holdings (1999)
20 ILJ 1117 (LC) at 1119A–B; Mbana v Shepstone & Wylie (fn 62).
138
Law@work
Section 11 of the EEA regulates the onus of proof, and seeks to align the EEA
with the equivalent provisions of the PEPUDA.94 Section 11 distinguishes between
11. Burden of proof. —(1) If unfair discrimination is alleged on a ground listed in section 6(1), the employer
against whom the allegation is made must prove, on a
In interpreting the onus provision, subsection (1) requires the employer to dis-
prove the factual basis of the complainant’s claim (by disproving any nexus
between the listed ground alleged by the complainant and the measure under
attack) or to justify the measure concerned on grounds including but not limited
to rationality and fairness. When the measure at issue is alleged to be discriminatory on an arbitrary ground
(subsection (2)), it is for the claimant to prove not only that the measure is not rational but also that it is
discriminatory and unfair.95
________________________
94 Cl 3.6 of the Memorandum of Objectives of the Employment Equity Bill in GG 35799, dated 19 October 2012
and the Regulatory Impact Assessment of Selected Provisions of the Labour Relations Amendment Bill, 2010,
Basic Conditions of Employment Amendment Bill, 2010, Employment Equity Amendment Bill, 2010 and
Employment Services Bill, 2010 prepared for the Department of Labour and the Presidency by Paul Benjamin
(9/09/2010) stated that the onus accorded with the corresponding provisions of the PEPUDA while the
Commission for Employment Equity (‘CEE’) Annual Report 2013–2014 (at 51) states that the onus was reversed
to rest on the party alleging the discrimination. Neither of these statements is completely correct.
95 As Du Toit (fn 24) observes, if a measure is shown to be both irrational and discriminatory, it can hardly be fair.
What additional ‘unfairness’ the complainant must prove will have to be determined by the courts. In Department
of Correctional Services & another v POPCRU & others [2012] 2 BLLR 110 (LAC) the court stated (at para 24)
that: ‘The test of unfairness focuses upon the impact of the discrimination, any impairment of dignity, and the
question of proportionality’.
97 See Kadiaka v Amalgamated Beverage Industries (fn 55), where Landman J (at para 42) defined ‘arbitrary’ as
meaning ‘capricious or proceeding merely from whim and not based on reason or principle’.
139
Section 6(2) of the EEA provides that it does not amount to unfair discrimination to:
l take affirmative action measures consistent with the purpose of the Act; or
l ‘distinguish, exclude or prefer any person on the basis of an inherent requirement of a job’.
In South African Airways ( Pty) Ltd v GJJVV98 the court held that, while the two
defences outlined above were ‘complete’, section 11 of the EEA also recog-
the fairness of discrimination, according to the court, is therefore not confined to the impact of the discrimination
on an employee or to moral concerns but
the proportionality of the measure, the nature of the discrimination, the nature
of the right infringed and the relationship between the discriminatory measure
siderations other than the specified defences in the EEA is, of course, very similar to that implicit in the (wider)
limitation provision of the Constitution.
The notion of ‘inherent requirements’ of a job has been adopted from Article 2
of the ILO Convention 111 which has been ratified by South Africa. Article 2 pro-
vides that ‘any distinction, exclusion or preference in respect of a particular job based on the inherent requirements
thereof shall not be deemed to be discrimination’.
The Labour Court dealt with this matter in a contradictory way in Whitehead v Woolworths ( Pty) Ltd, 100 a case
where the court had to determine whether continuity of employment was a ‘necessary’, ‘reasonable’ and
‘indispensable’ re-
quirement for the job. The applicant’s claim was that the company had refused
to employ her because of her pregnancy. One of the defences raised by the
company was a ‘continuity requirement’ – that the nature of the job was such
that continuity was an inherent requirement of the job. On appeal, the Labour
was available on the facts of the case.101 In Kadiaka v Amalgamated Beverage Industries,102 ABI refused to
employ or consider applications for employment
of its business justified its actions. The court held that the company’s refusal did not constitute discrimination
within the meaning of item 2(1)(a) of Schedule 7 to the LRA in that it was not ‘arbitrary’ and there was a ‘ bona
fide commercial or ________________________
98 Fn 78 .
99 At para 45.
100 Fn 64.
101 Ibid.
102 Fn 55.
140
Law@work
operational reason for it being put in place’.103 This approach takes into account the interests of employees or
prospective employees, the employer and the
public. The approach based on ‘necessity’ gives very little weight to the em-
ployer’s interests.
In Independent Municipal & Allied Workers Union & another v City of Cape Town,104 the Labour Court noted
that the inherent requirements of a job required a policy of individual assessment rather than a blanket ban. In that
case, the council had a policy in terms of which diabetics were not employed, irrespective of the degree of control
over their condition. The proper approach is
not to evaluate the degree of risk emanating from the condition that is the
subject of scrutiny but to assess the degree of risk in relation to the individual concerned in carrying out an
inherent requirement of the job. In other words,
In Dlamini & others v Green Four Security105 the applicants – security guards who were dismissed after refusing
to shave their beards – claimed that they
were unfairly discriminated against on the basis of their religious beliefs. They all belonged to the Baptised
Nazareth Group which, they submitted, did not allow
them to shave their beards. The applicants based their claim on section 187(1)(f) of the LRA. With regard to the
first stage of the test (whether the applicants had proved that they had been discriminated against) the evidence of a
Nazarene
priest did not prove that the rule against shaving was a ‘central tenet’ of the
Nazarene faith. In addition, it was clear that the employees had been selective
about which religious rules they chose to follow. On the other hand, the rule
and was consistently applied. On this basis, the applicants were found not to
have passed the first leg of the test. Nonetheless, concerned that it might have
applied too high a standard of proof, the court considered the next leg of the
test – whether the rule was justified. It held that, although the employees were
performance of the job and not to the individual. If compliance with the rule is
job, however, it may still be discriminatory if its impact is not ameliorated by reasonable accommodation or
modification of the rule or, where applicable,
The court found that the employer was entitled to require a uniform dress
________________________
104 Fn 8.
105 Fn 70.
141
reasons related to the nature of the job – for example, to promote a certain
image. Here, the rule against wearing beards was set by the ‘practical and in-
herent need to be neat, to look like security guards and to project the respond-
ent as a security company with a distinctive image’. In the added stage of the
the religious beliefs of its employees. This did not mean, however, that the em-
ployer had to suffer ‘undue hardship’. While the employer bore the onus of
failure to do so in this instance was not a ground on which the applicants had
In Jansen van Vuuren v SA Airways ( Pty) Ltd107 and South African Airways ( Pty)
Ltd v GJJVV108 the court held that a retirement age of 60 was not an inherent requirement for the job of a pilot.
The relevant consideration was the pilot’s fitness to fly.
As mentioned above, section 6(2) provides that it is not unfair discrimination to take affirmative action measures
consistent with the purpose of the EEA. An
________________________
106 At paras 63, 69 and 70. For further examples where the court did not find inherent requirements of the job, see
Wallace v Du Toit (fn 86) where an au pair’s dismissal for falling pregnant constituted unfair discrimination
because not being pregnant or a parent was not an inherent requirement of the job; and Stojce v University of KZN
( Natal) & another (fn 63); Strydom v Nederduitse Gereformeerde Gemeente Moreleta Park (fn 31) decided under
the PEPUDA where the complainant was an independent contractor who taught
music at the art academy of the church for five hours per week. He was not a member of the church and did not
participate in church activities. His contract was terminated when it became known that he was involved in a
homosexual relationship. The court sought to balance the church’s right to freedom of religion and the
complainant’s right to equality. It stated that difference should not be the basis for exclusion, marginalisation and
stigma but should rather be celebrated for the vitality that it brings to society.
Awards were made for impairment of dignity, emotional and psychological suffering and for loss of earnings. The
church was also ordered to tender an unconditional apology to Strydom. An example where the court indeed found
a code 15 license for the post of a municipal police sergeant to be an inherent requirement of the job was found in
Ethekwini Metropolitan Municipality: Durban Metropolitan Police Services v Khanya & others (DA9/2012)
[2014] ZALAC 48 (18 September 2014). See, however, Rycroft ‘Inherent requirements of the job’ (2015) 36 ILJ
900 who argues that adjudicators have a duty to
‘interrogate very carefully’ whether a particular requirement is essential for the proper fulfilment of the particular
job description. He argues convincingly that in the Ethekwini case the court had incorrectly interpreted the defence
of an inherent requirement for a job. It could not be said that in this case the code 15 license (a capacity) which
affects a small part of the job, can be regarded as an inherent requirement because it indirectly discriminates
against disabled people and women. Contrast this to clear vision or the absence of colour blindness for a pilot,
which are fair inherent requirements for that job.
107 Fn 78.
108 Ibid. See Smit ‘Age Discrimination and Labour Law in South Africa: Intersectional and Intergenerational
Challenges’ ch 20 at 379 in Numhauser-Henning and Rönnmar (eds) Age Discrimination and Labour Law –
Comparative and Conceptual Perspectives in the EU and Beyond (2015).
142
Law@work
people from designated groups have equal employment opportunities and are
nated employer.109 This formulation raises more questions than it answers, and it is necessary to refer to other
sections in Chapter III of the EEA to fully appreciate the nature and extent of legitimate affirmative action
measures.
there is no causal nexus between, on the one hand, the exclusion that is the
subject of the claim for discrimination and, on the other, the adverse effect on
the complainant’s rights or expectations. 110 In other words, there is no need for
Secondly, the courts have required that affirmative action measures be applied
fairly and rationally.111 Mlambo J stated in Independent Municipal and Allied Workers Union v Greater Louis
Trichardt Transitional Local Council112 that affirma-
[19] There appears to be no doubt therefore that for affirmative action to survive judicial scrutiny the following is
relevant:
is to be effected;
[20] In the Court’s view there are good reasons for these requirements. These
unfair practices occur under the guise of affirmative action. They also ensure
full knowledge and participation in establishment and implementation of the
programme.
In Minister of Finance & another v Van Heerden113 (the first case on affirmative
action to reach the Constitutional Court), the court set out a test for affirmative action measures (see chapter 7
below). The court held that affirmative action
measures that ‘properly fall’ within the requirements of section 9(2) of the Con-
ality test to determine this. The rationality test asks the following questions:114
________________________
110 Eg, in University of Cape Town v Auf der Heyde [2001] 12 BLLR 1316 (LAC), the Labour Appeal Court held
that the defence of affirmative action should fail when the applicant, whose complaint was that he had not been
appointed to a position for which he had applied on account of his race, was not the best applicant for the job. In
these circumstances, his failure to be appointed was not the consequence of any unfair discrimination.
111 See also Naidoo v Minister of Safety & Security & another (2013) 34 ILJ 2279 (LC) discussed in ch 7 below;
Munsamy v Minister of Safety & Security & another (2013) 34 ILJ 2900 (LC).
113 Fn 15.
114 At para 37. See ch 7 at para 2.2 ‘A test for affirmative action’ below.
143
l Do the measures target people or categories of people who have been dis-
of people?
This test is similar to but more comprehensive than the guidelines set out in Independent Municipal and Allied
Workers Union v Greater Louis Trichardt Tran-
sitional Local Council115 and may be useful in adjudicating affirmative action measures under the EEA. Criticism
of the test is discussed in chapter 7. 116
In Stoman v Minister of Safety & Security & others 117 the High Court affirmed that, in the context of the public
sector, the constitutional imperative of an efficient administration does not mean that affirmative action or the
demand for representativeness justifies the appointment of a candidate who is not suitably
qualified and incapable of doing the job required of her or him. However, the
sentativeness.
The same approach was followed in Coetzer & others v Minister of Safety & Security & another118 where failure
to promote competent White applicants,
which failure was justified based on affirmative action, constituted unfair dis-
tive action plan for the business unit in which the applicants were engaged,
and the refusal to promote the applicants was based purely on the imperative
In PSA obo Karriem v SAPS & another119 the court upheld the respondent’s de-
cision to promote a White woman (and not the applicant, a Coloured woman)
on the basis that the skills required for the particular job had been properly
weighed up and that the appointment of the White woman was objectively
appointed person could immediately do the job as required, the plaintiff needed
up to 36 months to acquire the skills needed for the post. The court held that this delay might have had
‘catastrophic’ consequences for service delivery and the
efficiency of the respondent. The determining factor was that the operational
person who could immediately perform the functions required by the post.
In Willemse v Patelia NO & others,120 the applicant had been overlooked for
________________________
Law@work
instance, there was evidence that the employer’s affirmative action targets
had been reached and that the applicant was clearly the best candidate for
Similarly, in Reynhardt v University of South Africa, 121 the Labour Court found
that because the university’s targets for the number of Black deans over the
number of White deans had already been surpassed in terms of its own employ-
and experienced than the applicant, a White male, who was the most suitable
candidate, was a contravention of section 15(4) of the EEA and violated the
university’s own employment equity measures.122 When targets have been met,
the most suitable candidate should be appointed and affirmative action prin-
ciples do not apply. 123 The applicant had accordingly been unfairly discrimin-
ated against based on race in not being appointed dean. The court also held
that the applicant had been treated in a humiliating way and his right to human
dignity and equality violated. The respondent was ordered to pay the applicant
both compensation and damages in terms of section 50(2) of the EEA. Com-
substantial amount in damages for financial loss suffered was also awarded.124
discrimination is found in Solidarity obo Barnard v SA Police Service. 125 Barnard (a White woman) had
progressed through the ranks of the South African Police
equity plan (EEP) was in place. One of its many objectives was ‘service delivery
improvement’ across all sectors of the police. Barnard applied for promotion to
a new post of superintendent. Two rounds of interviews were held in which Barnard obtained the highest score, but
on both occasions the post was not
filled. Barnard claimed that her employer’s refusal to appoint her to the vacant
________________________
121 Fn 62.
122 The reason the most suitable candidate was not appointed was that university officials presented incorrect
statistical information on the demographic profile of deans to the selection committee, the human resource
committee and, by implication, to the council, which made the final decision. They all relied on this
misinformation when they insisted that the respondent’s EEP apply, which resulted in the other candidate being
recommended for the post. The court held that whether the misrepresentation was intentional or innocent was not
significant to the case.
123 See ch 7 for the debate on continuing with affirmative action measures but in terms of criteria other than those
stipulated by the EEA.
124 The applicant had not sought reinstatement but compensation and damages. The decision was confirmed by
the Labour Appeal Court in University of South Africa v Reynhardt (fn 62).
125 Fn 62.
145
The Labour Court found that no consideration had been given to any prin-
ciples other than racial representation and that the decision not to appoint
The SAPS successfully appealed to the Labour Appeal Court. 126 Barnard, in
turn, successfully appealed to the Supreme Court of Appeal.127 The latter court
emphasised the specific facts of the case and made it clear that its decision
should not be viewed as a ‘Merlin-like incantation’ for future affirmative action cases. It took into consideration a
variety of factors such as the purpose of the EEA – the achievement of an egalitarian society, provision of equal
opportunities for all, and levels of representativeness, which should not be used as ‘an absolute criterion’ or with
‘mechanical application of formulae and numerical
targets’. While it was true that the national commissioner had the power to
leave the post vacant, the court considered it illogical that the fact that the
only suitable person for the position was from a non-designated group should
________________________
126 SA Police Service v Solidarity obo Barnard ( Police & Prisons Civil Rights Union as amicus curiae) (fn 62).
The Labour Court found that the fact that Barnard had not been appointed and the fact that other suitable
designated candidates had also been denied promotion an irrational way of implementing the EEP. While the aim
of affirmative action measures is to enhance representativeness in the workplace, an attempt should have been
made to strike a balance between this goal and other factors relevant to the SAPS
and its employees such as efficient service delivery. In essence, representativeness should have been weighed up
against the affected individual’s right to equality and a fair decision then made. No consideration was given to
Barnard’s constitutional rights to equality and dignity or to her particular circumstances (including her
commitment to contribute to service delivery and her passion both of which made her most suitable for the job).
The implementation of the EEP was thus found to be unjust, inequitable, biased and prejudiced. The judgment
required employers not to deny people promotion or appointment on the pretext that their promotion or
appointment would not enhance representation.
When a post cannot be filled by a suitable applicant from an under-represented category, promotion to that post
should not be denied to a suitable candidate from another group.
appointment of suitable Black candidates did not change the fact of discrimination nor did it render Barnard’s non-
appointment fair. The national commissioner’s opinion that leaving the post open would not affect service delivery
added weight to the conclusion that there was not a rational connection between the decision and the overall
objects of the plan. The commissioner’s disregard for the constitutional duty of efficiency and leaving posts vacant
in the interests of representativeness (when other suitable candidates are available) hamper the ability of the police
to deliver an ‘efficient’ service and are not rational. Apart from the affected person who is denied a position,
ordinary South Africans of all colours are adversely affected by non-delivery or poor delivery of services.
127 Fn 62.
128 Other factors considered (at para 68 et seq) were that nowhere in any law relating to any post in the SAPS was
the term ‘critical’ found and that the relevant provisions of the Constitution (ss 195(1), 205(2) and (3)) dealing
with the governance, establishment and objects of the SAPS envisaged a professional, efficient SAPS that made
effective use of resources. In the absence of motivation by the national commissioner, the explanation that the post
was left vacant because it was not ‘critical’ was ‘contrived’, and failure to continued on next page
146
Law@work
The SAPS then appealed to the Constitutional Court. 129 The majority judgment recalled the fundamental
constitutional values of dignity and equality under the
rule of law, the transformative mission of the Constitution, and in particular the aim of realising substantive
equality. The court observed that restitutionary
designed to protect and enhance that class of person and promote the
achievement of equality. In addition, the principle of legality requires that any restitutionary measure be applied
rationally – in other words, in such a way as to advance its legitimate purpose. This is to be done in terms of the
employer’s
EEP, ultimately to ensure that suitably qualified people from designated groups
are equitably represented in all occupational categories and levels. In so far as Barnard had not attacked her
employer’s EEP but the manner of its implementation, the majority held that, on the facts, the national
commissioner had act-
ed rationally and with due regard to the criteria set out in the plan and that the decision not to promote Barnard did
not bar her from future promotions. The
ments arrived at the same result but via different conceptual routes. The first
was concerned with the fairness of the national commissioner’s decision and
sought to determine whether the plan had been implemented in a fair manner.
On the facts, the national commissioner’s decision passed the fairness test. The
second approach was based on considerations of human dignity and the effi-
ciency of the SAPS. On this analysis, there was nothing on the facts to suggest
that it was disproportionate for the national commissioner to have ranked repre-
The above judgments serve to highlight the fact that the courts will not in-
terpret the affirmative action defence in an unlimited fashion. The starting point is that the Constitution embodies a
substantive conception of equality – one that recognises that the right to equality extends beyond mere non-
discrimination.
Both the Constitution and the EEA recognise that affirmative action measures
are consistent with this conception of equality. In this context, the courts have been called on to balance efficiency
and safety with representivity. But efficiency is not generally recognised as a matter to be considered separately
from or in opposition to representivity. While the requirement of representivity is often linked to efficiency, they
are not competing or opposing aims. If there is
any tension between these ideals, the courts will attempt to strike a balance.
________________________
appoint Barnard led to the conclusion that service delivery must have been affected. It has been stated that this case
reinforced the need for employers to make long-term plans for employment equity as part of their key strategic
plans; they should develop the necessary capacity and skills for their workplaces, and HR and skills development
policies should be aligned with employment equity targets (CEE Annual Report 2013–2014 at 52).
129 South African Police Service v Solidarity obo Barnard ( Police and Prisons Civil Rights Union as amicus
curiae) (Constitutional Court) (fn 62). This case is discussed in more detail in ch 7 at para 2.2 ‘A test for
affirmative action’ below.
147
work or work of equal value. Nonetheless, as early as 2000, the Labour Court in
Louw v Golden Arrow Bus Services ( Pty) Ltd130 stated that it was an unfair labour practice to pay different wages
for equal work or work of equal value if the
reason or cause for doing so was direct or indirect discrimination based on spe-
cified or other arbitrary grounds which had the potential to impair the dignity of people in terms of item 2(1)(a) of
Schedule 7 to the (then) LRA which prohibited
unfair discrimination and held it to constitute an unfair labour practice. In other words, the court recognised in
principle that the general provision regarding
unfair discrimination was wide enough to accommodate claims for equal pay
for equal work or work of equal value. The court found that the fact that a
(White) warehouse supervisor had received a higher salary than the (Black)
notion of equal pay for work of equal value, had not been proven and that,
Few cases of this nature had been reported until the issue was addressed
comprehensively in Mangena & others v Fila South Africa ( Pty) Ltd & others.131
based on, inter alia, their race or colour, birth, family relations and union membership. The Labour Court held that
payment of remuneration is an employment
policy or practice in terms of sections 1 and 6(1) of the EEA and that paying an
employee less than another for performing the same or similar work on a spe-
cified or an unspecified ground constitutes less favourable treatment. Therefore, any claim for equal pay for work
that is the same or similar fel to be determined in terms of the EEA. Similarly, the terms of section 6 are
sufficiently broad to incorporate claims for equal pay for work of equal value.
To claim equal remuneration for work that is the same or similar, the claimant
must:
l identify a comparator;
l establish that the work done by the comparator is the same as or similar to
Where the clam is for equal pay for work of equal value, the claimant must:
l identify a comparator;
________________________
130 Fn 93. See Co-operative Workers Association v Petroleum Oil & Gas Co-operative of SA (fn 67) where the
court found that the basis for paying different salaries to employees was unrelated to the work the employees did
or to the quality of their work performance.
The second respondent paid more to employees with dependants as a legal and moral response to the social needs
of this vulnerable group of employees.
131 Fn 51.
148
Law@work
l establish that the jobs of the comparator and claimant, while different, are
of equal value, having regard to the required degree of skill, physical and
mental effort, responsibility and other relevant factors;132 and l lay a proper factual foundation to enable the court
to assess the value to
be attributed to the work in question and to the tasks associated with it.
The claimant must then establish a link between the differentiation complained
of (being the difference in remuneration for the same work or work of equal
section 11 of the EEA requires the employer to show that the discrimination is not unfair.
of equal pay for the same or similar work and of work of equal value. Section
employees of the same employer performing the same or substantially the same
work or work of equal value that is directly or indirectly based on one or more of the grounds listed in subsection
(1), is unfair discrimination’. This means that
casual, on contract) will enjoy equal pay and equal terms and conditions in all
respects.
The minister may prescribe the method and criteria for assessing work of
equal value. These assessment guidelines were established by way of the Regu-
lations134 and a Draft Code of Good Practice on Equal Pay for Work of Equal Value (which has subsequently
been replaced). 135 Before prescribing such guide-
experts137 and give guidance on establishing the equal value of work. They pro-
vide extensive guidelines on the meaning of the ‘same work’ and ‘work of
equal value’ to include work that is the same, substantially the same or of the
________________________
132 Van Niekerk J extended the ILO’s Equal Remuneration Convention No. 100 of 1951 on equal pay between
men and women to equal pay between races. He held that the
court was required to interpret the EEA in compliance with South Africa’s obligations in terms of public
international law. This interpretation would be consistent with the substantive conception of equality that the
Constitution and EEA adopted (see para 1.2 ‘The constitutional dimension’ and ch 2). In particular, a systematic
approach to the elimination of ‘structural’ inequality was necessary because race had historically played a role in
the value attributed to jobs.
133 The Regulations define ‘temporary employees’ as employees who are employed to work for fewer than three
months (reg 1). This definition probably refers to three consecutive months’ employment with the same employer.
135 GN 746, GG 38031, dated 29 September 2014. This has been replaced with the (final) Code of Good Practice
on Equal Pay/Remuneration for Work of Equal Value – GN 448, GG 38837, dated 1 June 2015.
136 S 6(5).
149
The same work means simply that the work of two employees of the same
employer:139
l is identical or interchangeable; or
l is substantially the same or is so sufficiently similar that the employees can reasonably be considered to be doing
the same job (even if their work is not
identical or interchangeable).
Work of equal value is found when two employees at the same employer do
different jobs, but their respective jobs are objectively accorded the same value140 in terms of certain factors
namely:141
material;
l the skills, qualifications (including formal and informal prior learning and experience) required to perform the
work;
psychological conditions, the time at and place where work is done); and
The Regulations include an extensive list of factors that may justify different pay
in terms of which the pay of the affected employee is not reduced but fixed
at this level until the salaries of employees in the same job category reach
________________________
142 Reg 7(1)(g). Such assessment must be done free from bias based on race, gender, disability, any other listed
ground or any arbitrary ground that is prohibited in terms of s 6(1) (reg 6(3)). See s 55 of BCEA. Employers may
also justify the value of a job by reference to a ministerial sectoral determination (reg 6(4)).
144 See Pioneer Foods ( Pty) Ltd v Workers against Regression & others (2016) 37 ILJ 2872 (LC) where length of
service was held not to be irrational and not unfairly discriminatory on an arbitrary ground.
150
Law@work
cation; and
l any other relevant factor that is not unfairly discriminatory in terms of section 6(1) of the EEA.
Moreover, the employer may justify the value assigned to a job with reference
Differentiation in pay and other terms based on one or more of the listed
grounds will be fair and rational if it is established that its application is not biased against an employee or group
of employees based on race, gender,
disability or any ground in section 6(1) of the EEA and has been applied propor-
tionately. 146 Employers must take steps to eliminate differences in the terms and
differences are directly or indirectly based on a listed ground and must also
ensure that employees are not paid differently for work of equal value on the
basis of their race, gender or disability. 147 A designated employer may use the
personal information obtained in Form EEA1 when doing an analysis for purpos-
The Code of Good Practice on Equal Pay for Work of Equal Value149 aims to
provide practical guidance on how to apply the principle of equal pay for work
code must be read with the Regulations and the Code of Good Practice on the
the BCEA.151 It repeats the basic criteria used to evaluate the value of jobs (but adds more examples) and the
criteria justifying differing remuneration that are
found in the Regulations. It adds little extra and leaves uncertainties.152 It does, however, emphasise
discrimination in remuneration based on sexual stereo-typing of women's work, traditional job evaluation methods
designed on the
The use of job evaluation, in itself, does not ensure the absence of dis-
crimination.153 The Code, like the Regulations, suggests that employers may be ________________________
147 Reg 3.
152 Item 5. For example, the Code does not make explicit provision for a ‘comparator’; it omits the notion ‘market
value’ which may be used frequently as a defence to justify differentiation; the median and average earnings are
unclear as it is obscure who would be included in such an exercise. See Robertson ‘Does the New Code of Good
Practice on
“Equal Pay for Equal Work” Justify its Existence?’ (2015) 36 ILJ 2522 for more uncertainties.
153 Item 6.
151
jobs in order to ascertain whether particular jobs have been undervalued and
organisation.154
or arbitrary ground;
l ensure that job profiles/descriptions exist and are current before evaluating
jobs;
l utilise a job evaluation and/or grading system that is fair and transparent
and does not have the effect of discriminating unfairly on any listed or arbi-
trary ground;
l compare jobs that are the same, similar or of equal value in the employer’s
in the relevant jobs: this can be done by using either the average or median
l where differentiation is found not to be justifiable, determine how to address inequalities identified, without
reducing the pay/remuneration of employees
The courts will likely prefer to rely on the Regulations where there are differences
In a recent case on equal pay, NEHAWU obo Zuma & KZN Legislature, 157 it was
common cause that two employees did work of equal value and that there
was a pay disparity between them. The commissioner found that the reason for
this was not arbitrary but rational due to an organisational restructure and sub-
________________________
154 Ibid. See para 5.4 of the Code ‘The right to equality in employment: employment equity and affirmative
action’.
155 Reg 8.
156 It appears that in at least some instances the Code’s contents have not been well considered.
152
Law@work
compromised the integrity of the job evaluation. The respondent’s ‘caution and
insistence’ that its HR policies be followed was within the bounds of universally accepted salary administration
practice. Although the applicant found her situation difficult, this did not make the respondent’s conduct unfair
discrimination.
In another matter, Govender and Umgungundlovu District Municipality, 158 the applicant requested that her post
be re-evaluated to a higher level, namely to
that of the manager of revenue who was paid more. The terms and conditions
as well as the functions of the applicant and the manager differed greatly (in
terms of regulation 6(4)) but the complainant alleged that her treatment was
based on an arbitrary ground. The applicant had to prove that she was differ-
entiated against on an arbitrary ground, that she was discriminated against and
that the discrimination was unfair, which proved impossible to do. The commis-
sioner found that the respondent’s conduct was rational as the jobs had been
graded by the respondent’s job evaluation section and there was no evidence
that the evaluation was irrational, even if the jobs were graded incorrectly. The commissioner found that the
grading was ‘endowed with reason; sensible; sane
or moderate’. Moreover, the applicant had not established a specific arbitrary ground which could constitute a
reason or link for the difference in the grading.
To find discrimination, differentiation had to be shown to be based on attributes that have the potential to impair
the dignity of people. Put differently, the post and not the employee was graded. Thus, her dignity could not be
impaired and unfair discrimination could not be proved.
‘Medical testing’ is defined in section 1 of the EEA as including ‘any test, question, enquiry or other means
designed to ascertain, or which has the effect of
l such testing is justifiable in the light of medical facts, employment conditions, social policy, the fair distribution
of employee benefits or the inherent requirements of a job.
If medical testing cannot be justified on one of the grounds, then testing may
In EWN v Pharmaco Distribution ( Pty) Ltd,160 a pharmaceutical sales representative refused to undergo a
psychiatric examination for bipolar disorder which
known in the company, the chairperson only at that stage became aware of it and gave the instruction for
psychiatric examination under the pretence of
establishing her fitness for work. The court held that section 7(1)(a) was not
________________________
160 Fn 84.
153
was fit for work, did not fit neatly under section 7(1)(b) when analysing the wording of the subsection; the
applicant suffered from bipolar disorder, was under-
going regular therapy, was using medication but her psychologist was of the
opinion that her condition would not affect her ability to work effectively. The
respondent had further not made out a ‘threshold health qualification’ that it
Further, there was no objective basis to doubt the employee’s ability to do the
job, and singling her out while she was functioning well at work was found to
have a stigmatising effect on her and to be unfairly discriminatory.162 The employee was awarded compensation
equivalent to 12 months’ remuneration for
the automatically unfair dismissal and general damages for unfair discrimin-
ation. 163
The question of HIV is dealt with separately.164 In this regard, the EEA provides
that the testing of an employee to determine his or her HIV status is prohibited
unless the Labour Court determines in terms of section 50(4) of the Act that such testing is justifiable.
Unfortunately, the Act does not stipulate the grounds upon which the Labour
Court may authorise the medical testing of an employee to determine his or her
HIV status. Section 50(4) merely records the conditions that the court can im-
pose when it grants an order authorising the medical testing of the employee.
The interpretation of section 7 of the EEA has been a matter of some controversy.
In Joy Mining Machinery, a division of Harnischfeger ( SA) ( Pty) Ltd v NUMSA & others165 the Labour Court
pointed out that section 7(2) ‘is not happily worded’
________________________
161 S 187(1)(f) of the LRA. See ch 10, para 8 ‘Unfair discrimination’ below.
162 EWN v Pharmaco Distribution ( Pty) Ltd (fn 84) at para 49.
163 At para 59. See also Landman & Ndou ‘Some Thoughts on Developments regarding the Recovery of
Damages for Pure Psychiatric or Psychological Injury Sustained at Work’
164 S 7(2).
165 (2002) 23 ILJ 391 (LC). The following factors were stipulated in determining the circumstances under which
testing would be justifiable: the prohibition of unfair discrimination; the need for HIV testing (when, eg, the
employer wants to determine the extent of HIV at the workplace in order to place itself in a better position to
evaluate its training and awareness programmes and to formulate future plans); the purpose of the test (when the
employer needs to know the prevalence of HIV at its workplace in order to be proactive in HIV prevention
amongst its employees, to treat the symptoms and to plan for contingencies including the fair distribution of
employee benefits, medical aid and the training of replacement labour); medical facts; employment conditions;
social policy; the fair continued on next page
154
Law@work
but appeared to hold that its sanction was necessary even if the proposed test-
ing was voluntary and anonymous. The employer in Irvin & Johnson Ltd v Trawler
& Line Fishing Union & others166 applied to the Labour Court for an order declaring that the testing in question,
which was to be both voluntary and anony-
mous, did not fall within the ambit of section 7(2). As a precaution, an order was sought in the alternative that the
testing was justifiable as contemplated in the subsection, subject to certain conditions set out in the application.
The applicant submitted that it required information on HIV prevalence in its workforce to assess the potential
impact of HIV/AIDS and to help it engage in appropriate
human resource planning and to facilitate the proactive steps to prevent em-
ployees from becoming infected with HIV/AIDS. The proposed testing was both
test counselling.
The court dealt first with anonymous testing and noted that section 7 of the
EEA forms part of a chapter dealing with the prohibition of discrimination in em-
ployment. The main purpose of the Act is to achieve equity in the workplace by
unfair discrimination:167
should not unfairly discriminate against an employee on the basis that the latter suffers from some or other medical
condition. One of the ways of reducing the
likelihood of such discrimination is to limit the circumstances in which an employer may ascertain the employee’s
medical condition through testing.
When employees are tested in such a way that the employer is unable to iden-
tify which of them are suffering from the medical condition in question, the risk of discrimination based on
medical condition is absent. It would not be surprising, therefore, to find that anonymous testing falls outside the
ambit of section 7.
Regarding voluntary testing, the court noted that in view of its conclusion on
the anonymous nature of the proposed testing, it was perhaps not necessary to
consider whether a test that would enable an employer to ascertain the HIV
status of an identifiable employee is permissible without a court order if the testing is voluntary. The court
nevertheless dealt with the issue comprehensively and drew a distinction between compulsory and voluntary
testing in the following
terms:168
Compulsory testing is not limited to the case of taking a sample from an employee by physical force. In the
absence of consent, such conduct would amount to an
assault, and it would not require any statutory provision in order to render it unlawful. By compulsory testing is
meant, in this context, the imposition by the employer of a requirement that employees (or prospective employees)
submit to testing on
the pain of some or other sanction or disadvantage if they refuse consent. This is to ________________________
distribution of employee benefits; the inherent requirements of the job; and the categories of employees or jobs
concerned.
155
be contrasted with voluntary testing, where it is entirely up to the employee to decide whether he or she wishes to
be tested and where no disadvantage attaches
could not have intended that before an employer can offer its employees med-
ical assistance at medical or nursing facilities it has provided it must be decided in each case whether the
undertaking of a medical investigation is objectively
justifiable on one of the grounds set out in section 7(1)(b). The court concluded that the anonymous and voluntary
testing the applicant wished to arrange for
its employees did not fall within the ambit of section 7(2) and that the applicant did not require the authority of the
Labour Court before allowing its employees
Although the Code of Good Practice: Key Aspects of HIV/AIDS and Employ-
requested a test:
Clause 7.1.5(b) of the code stipulates that such testing may take place only:
(iii) With informed consent and pre- and post-test counselling as defined by the Department of Health’s National
Policy on Testing for HIV; and
(d) has been certified by the Health Professions Council of South Africa . . . or any
For the purposes of this section ‘employee’ includes an applicant for employment.
________________________
169 See PFG Building Glass ( Pty) Ltd v CEPPWAWU & others [2003] 5 BLLR 475 (LC) for an application of the
Irvin & Johnson case (fn 166).
170 The Code of Good Practice on HIV and AIDS and the World of Work was published in GN 451, GG 35435,
dated 15 June 2012.
171 In terms of the Health Professions Act 56 of 1974. The Amendment Act inserted this prerequisite.
156
Law@work
duct that, if engaged in by his or her employer, would constitute such a contra-
vention, the conduct must immediately be brought to the attention of the em-
ployer. 172 ‘The employer must consult all relevant parties and must take the
necessary steps to eliminate the alleged conduct and comply with the pro-
visions of [the EEA]’.173 If the employer fails to take the necessary steps and if it is
proved that the employee has indeed contravened the provision concerned,
the employer must be deemed also to have contravened that provision.174 The employer is not liable for the
conduct of an employee if that employer is ‘able
to prove that it did all that was reasonably practicable to ensure that the em-
ployee would not act in contravention’ of the Act. 175 In other words, an employer may escape liability for the
conduct of its employees if it can prove that reasonable steps were taken to ensure that an employee would not
contravene the EEA in a particular instance.
the elimination and prevention of unfair discrimination: they cannot simply sit
Some judgments illustrate the liability of employers for the conduct of their
employees. For example, in Ntsabo v Real Security CC177 the Labour Court awarded an employee 12 months’
remuneration as compensation for unfair dismissal in terms of the LRA, damages in terms of the EEA in the sum
of R20 000 for future medical costs and R50 000 for general damages after finding that she
had been subjected to sexual harassment. This would appear to be the first
case in which the Labour Court awarded damages under the EEA. The award
was made on the basis that the actions of the employee’s supervisor had con-
travened the provisions of the EEA and that although his actions had been
brought to the attention of the respondent company it had turned a blind eye
and, by doing so, contravened the EEA. The respondent’s failure to deal with
________________________
172 S 60(1).
173 S 60(2).
174 S 60(3). See, eg, the discussion in Future of SA Workers Union obo AB & others v Fedics ( Pty) Ltd & another
(2015) 36 ILJ 1078 (LC); Liberty Group Ltd v M (2017) 38 ILJ 1318 (LAC).
175 S 60(4). See Pillay and Old Mutual Property ( Pty) Ltd (2015) 36 ILJ 1961 (CCMA).
176 See Piliso v Old Mutual Life Assurance Co ( SA) Ltd & others (fn 33) at para 35; Potgieter v National
Commissioner of the SA Police Service & another (2009) 30 ILJ 1322 (LC); Hendricks v Cape Peninsula
University of Technology & others (fn 38).
177 Fn 33.
178 Grobler v Naspers Bpk & another (fn 33) raises the prospect of strict liability at common law for acts of
harassment committed by employees. The court rejected the employer’s arguments that, because the employee had
not been acting in the course and scope of his duties, had been motivated by a personal agenda and had not acted in
the interests of the employer when he harassed the plaintiff, the employer could not be held liable for the
harassment perpetrated by him. The first and second respondents (a manager-in-training and head of the planning
section of production) were held jointly and severally continued on next page
157
In a case that dealt with racism, SATAWU obo Finca v Old Mutual Life Assur-
ance Company ( SA) Ltd & another, 179 a White employee had refused to have
her workstation close to Black co-employees. The court held that the employer’s
failure to take proper steps to prevent the perpetration of racism at the work-
In Gumede and Crimson Clover 17 ( Pty) Ltd t/a Island Hotel, 180 the applicant’s
case was that in calling him unclean, smelly, untidy and having a bad odour, his
respondent’s view was that the applicant lacked good personal hygiene, which
was a requirement as the applicant served food and beverages to patrons. The
single eye as ‘one-eye,’ either to identify him, or possibly as a joke in poor taste.
This reference was found not to constitute unfair discrimination as the per-
petrator had offered an apology and admitted that it was wrong of him to
address the person in those terms. The employee had also been disciplined and
issued with a written warning. It was held that even if the term was a ‘mild’ form of discrimination, the employer
had taken the necessary steps to address the
Any liability on the part of the employer in terms of section 60 is on account of the acts of its employees. In
Shoprite Checkers (Pty) Ltd v Samka & others182 the ________________________
liable for general damages, medical costs and compensation to be paid to the com-
plainant. In Media 24 Ltd & another v Grobler (fn 33), the Supreme Court of Appeal confirmed that an employer
has a common-law duty to create and maintain a safe working environment and that the employer’s failure to take
reasonable and practicable steps to prevent sexual harassment of its employees is a negligent breach of that duty. In
such circumstances, the employer is vicariously liable for sexual harassment committed by an employee. See also
NK v Minister of Safety & Security (2005) 26 ILJ 1205 (CC) where the Constitutional Court held that it was
obliged to expand common-law principles of vicarious liability to accord with the Constitution. In this case, the
court held the state liable for the conduct of a group of police officers who, without authorisation and contrary to
standing instructions, had offered a woman a lift home and then raped her. In contrast, see also Erasmus v Ikwezi
Municipality & another (2016) 37 ILJ 1799 (ECG) where common law vicarious liability of an employer was
developed to hold the employer liable for its employee’s sexual harassment towards a co-employee. See ch 5
above.
179 Fn 62.
180 Fn 59. The arbitrator held at para 16 that he had ‘no doubt that the treatment meted out to the applicant was
insulting and offended his dignity as a human being. It is deeply humiliating for any person to be called unclean,
smelly and untidy’ and at para 23 ‘the applicant was being victimised by the respondent on arbitrary grounds,
being allegations of perspiring whilst on duty, having a bad body odour, and having poor personal hygiene.
These are judgmental statements that undoubtedly impaired the dignity of the applicant and demeaned his worth as
a human being’.
181 Fn 68. See also para 3.10 ‘Employer’s liability for the conduct of an employee’ below.
158
Law@work
Labour Court held that an employer could not be liable in terms of the section
workplace. In Biggar v City of Johannesburg ( Emergency Management Services)183 the Labour Court held that a
black employee and his family who had been subjected to racial abuse by white employees in a residence provided
by
The court found that the employer had failed to appreciate the gravity of the
racial slurs and their effect and deal with a complaint of racial harassment in a decisive manner.
six months after the act or omission that allegedly constitutes unfair discrimin-
ation’. 184 If a dispute remains unresolved after conciliation, any party to the dispute may refer it to the Labour
Court for adjudication. All the parties may, how-
It would therefore seem that the parties may agree to private arbitration of a
have a right of appeal to the Labour Court. Moreover, employees who earn less
than the amount stated by section 6(3) of the BCEA may also refer disputes
about unfair discrimination to the CCMA for arbitration, with a right of appeal to the Labour Court. Moreover, any
party may refer the dispute to the CCMA for
An award made by the CCMA hearing a matter in terms of its extended juris-
diction may, as appropriate, include any order which the Labour Court may
________________________
ployee’s claim of unfair discrimination is primarily based on the failure of the respondent to comply with its EEP,
the enforcement mechanisms of Ch V of the EEA have to be exhausted before the claim can be referred to the
Labour Court. See also Masango v Liberty Group Ltd (2012) 33 ILJ 414 (LC) where the court held that such
referral had to be done within a ‘reasonable’ time.
185 S 10(6).
159
make. An award of damages, however, may not exceed the amount stated by
The Labour Court has wide jurisdiction to determine disputes. It may, for ex-
the continuing with its discriminatory actions. In terms of section 50(2) of the EEA, if the Labour Court decides
that an employee has been unfairly discriminated
against it may make any appropriate order that is just and equitable in the cir-
cumstances, including:
(c) an order directing the employer to take steps to prevent the same unfair discrimination or a similar practice
[from] occurring in the future in respect of
other employees;
ply with Chapter III [of the EEA] as if it were a designated employer;
(e) an order directing the removal of the employer’s name from the register referred to in section 41; or
In Ditsamai v Gauteng Shared Services Centre,188 the applicant who was not appointed permanently (unlike other
employees) lodged a grievance demanding that he be so appointed. He was dismissed on the same day. He
successfully
claimed compensation for unfair dismissal in terms of the LRA. Thereafter, he successfully claimed damages for
unfair discrimination in terms of the EEA. The court held that the remedies were located in two different statutes
and that the first-mentioned action under the LRA did not preclude a further claim under the EEA.
for Gender Equality Act. 189 The Commission was established ‘to promote gender
other legislature with regard to any laws or proposed legislation which affects
The Commission for Gender Equality Act gives the Commission extensive powers
l monitor and evaluate the policies and practices of state organs at any level,
tion of gender equality and the role and activities of the Commission;
________________________
160
Law@work
l evaluate any Act of Parliament, system of personal and family law or custom,
system of indigenous law, customs or practices, or any other law, and make
complaint and endeavour to resolve any dispute or rectify any act or omis-
Chapter 7191 deals with monitoring of and compliance with Chapter II of the
EEA. The minister may in a code of good practice set out factors that must be
of the EEA.192
The next chapter will deal with affirmative action measures, which have to
________________________
191 See paras 8 ‘Monitoring and enforcement’ and 9 ‘Powers of the Labour Court’.
192 S 53(5). This section will now be promulgated to expedite transformation (CEE Annual Labour Report 2016–
2017 at 4). See also ch 7 ‘The right to equality in employment: employment equity and affirmative action (Chapter
III of the EEA)’, para 11 ‘State contracts’
below.
employment: employment
Page
1 Introduction
......................................................................................................
163
1.2
Origin
and
purpose
..................................................................................
163
2.1
Defining
affirmative
action
measures
....................................................
164
4.1
Designated
employers
.............................................................................
174
4.2.1
Designated
groups
.........................................................................
175
4.2.2
Citizenship
.......................................................................................
176
4.2.3
Group
membership
........................................................................
176
5.1
General
......................................................................................................
179
5.4
Analysis
....................................................................................................... 180
161
162
Law@work
Page
5.7
Other
duties
............................................................................................
183
6 Income differentials
.......................................................................................
183
8.1
Inspections
.............................................................................................. 185
8.4
Assessment
of
compliance
..................................................................
187
1 Introduction
affirmative action
As discussed in chapter 6, section 1 of the Constitution states that the Republic of South Africa is founded on, inter
alia, the value of the ‘achievement of equality’.
Section 9 acknowledges that the concept of equality has two dimensions. The
first is formal equality, which prohibits unfair discrimination against all persons and requires the equal treatment of
people. The second – substantive equality –
South Africa v Hugo 2 and Minister of Finance & another v Van Heerden.3 This
chapter is largely concerned with the meaning of substantive equality and with
ment and Occupation) Convention 111, 4 provides for affirmative action in the workplace. The relevant article of
the Convention reads as follows:
5(2) Any Member may, after consultation with representative employers’ and
workers’ organizations, where such exist, determine that other special measures
designed to meet the particular requirements of persons who, for reasons such as
sex, age, disablement, family responsibilities or social or cultural status, are generally recognized to require special
protection or assistance, shall not be deemed to be discrimination.
Taking its cue from ILO Convention 111 and section 9 of the Constitution, section 2(b) of the EEA describes the
Act’s second purpose as being ‘to achieve equity’
________________________
1 As mentioned in ch 6, the EEA has been amended by the Employment Equity Amendment Act 47 of 2013
(‘Amendment Act’). Moreover, Draft Employment Equity Regulations published early in 2014 (GNR 124, GG
37338, dated 28 February 2014) had been withdrawn.
Subsequently, new Employment Equity Regulations were published (GNR 595, GG 37873, dated 1 August 2014)
(Regulations) and came into operation on 1 August 2014. These Regulations repealed the General Administrative
Regulations (GNR 736, GG 32393, dated 14 July 2009).
2 1997 (4) SA 1 (CC). See also Brink v Kitshoff NO 1996 (4) SA 197 (CC); National Coalition for Gay & Lesbian
Equality v Minister of Justice 1999 (1) SA 6 (CC); Bato Star Fishing ( Pty) Ltd v Minister of Environmental
Affairs & others 2004 (7) BCLR 687 (CC) where the Constitutional Court confirmed and expanded on the idea of
substantive equality.
164
Law@work
force’. (See chapter 6 above for a discussion of the EEA’s first purpose as set out in section 2(a).)
ployers’, ‘designated groups’, ‘suitably qualified’, ‘equitable representation’ and other terms used in the EEA.
people from designated groups have equal employment opportunities and are
equitably represented in all occupational levels in the workforce of a designated employer. 5
(a) measures to identify and eliminate employment barriers, including unfair discrimination, which adversely
affects people from designated groups;
(b) measures designed to further diversity in the work-place based on equal dig-
order to ensure that they enjoy equal opportunities and are equitably repre-
a job or to the working environment that will enable a person from a desig-
The Act also introduces measures8 (which may include preferential treatment
(i) ensure the equitable representation of suitably qualified people from desig-
________________________
5 S 15(1). Remember that affirmative action measures may be used as a defence to a claim of unfair
discrimination. See ch 6.
6 S 15(2).
7 S 1. See National Education Health & Allied Workers Union obo Lucas v Department of Health ( Western Cape)
(2004) 25 ILJ 2091 (BCA) and Abels and Dialogue Group ( Pty) Ltd (2009) 30 ILJ 2167 (CCMA) for an
interpretation of the notion ‘reasonable accommodation’ and the extent of the employer’s duty to make such
accommodation.
8 S 15(2)(d).
9 S 15(3). Quotas contain fixed numbers. See Mgolozeli v Gauteng Department of Finance
& another (2015) 36 ILJ 1602 (LC) where no plan was in place and the respondent applied quotas to achieve
gender representation. It was held that the female applicant’s non-appointment constituted unfair discrimination
and the respondent was ordered to appoint her to the position for which she had applied. See Solidarity & others
and Department of Correctional Services & others (2016) 37 ILJ 1995 (CC),which confirmed that the nature of
numerical targets compared to quotas lies in its flexibility.
(ii) retain and develop people from designated groups and to implement appro-
The EEA also stipulates that a designated employer need not take any decision
people from non-designated groups. 11 This implies that employers may not, for
or promoted.12
Affirmative action measures are thus a tool or means by which ‘equitable rep-
and should be used by the courts (and employers) to assist in social trans-
formation. 13
whether they:
l remain necessary; 14 or
________________________
10 See ch 18.
11 S 15(4).
12 Du Preez v Minister of Justice and Constitutional Development & others [2006] 8 BLLR 767
(SE), decided under the PEPUDA, illustrates this well. In this case, a White male applicant –
a well-qualified and experienced magistrate in the district court – was not short-listed for vacant magistrate posts
in the regional court because applicants for these senior posts were selected solely on the basis of race and gender.
The complete exclusion of experience and other relevant factors in the selection process was found to be irrational
and unfair in that it raised an ‘insurmountable obstacle’ and created an absolute barrier for the applicant to the
appointment to the post of regional-court magistrate. See also Solidarity obo Van der Walt & others v SA Police
Service & others (2013) 34 ILJ 2943 (LC).
13 See Rycroft ‘Obstacles to Employment Equity? The Role of Judges in the Interpretation and Implementation of
Affirmative Action Policies’ (1999) 20 ILJ 1411 generally; Rycroft
‘Transformative Failure: The Adjudication of Affirmative Action Appointment Disputes’ in Dupper and Garbers
(eds) Equality in the Workplace: Reflections from South Africa and Beyond (2008) at 325.
14 See CEE Annual Report 2014–2015 which states that the pace of transforming workplaces in relation to the
EAP was moving ‘very slowly’ (at 58) and continued to be racialised and gendered ( ibid). Similarly the CEE
Annual Report 2015–2016 stated that the pace of transformation was moving ‘very slow’ and that it will take
‘many years’ to attain equitable representation in the labour market (at 79). It was reiterated that the labour market
continued to be racialised and gendered ( ibid). In the CEE Annual Report 2016–2017 the Report again
emphasised ‘a very slow pace of transformation’ and that ‘not much has changed’ (at 1). The Public Service and
Administration Minister announced in 2013 that the public service was fully transformed in relation to the
demographics of the country (see McGregor ‘Blowing the Whistle: The Future of Affirmative Action in South
Africa? (Part II)’
(2014) SA Merc LJ 282 at 291 referring to ‘Public service fully transformed – Minister’ Legal-brief Today (28 June
2013)). However, affirmative action in the public sector is still implemented. In this regard it has been stated that
government was ‘poisoned with a toxic mix of affirmative action, cadre deployment, and impunity . . . [these]
mean that appointments to government jobs are very often made on grounds of race and/or political allegiance
continued on next page
166
Law@work
the EEA, or whether the criteria for designated groups should be changed. 15
It is clear that affirmative action measures16 are not the only measures that
considered in order to achieve the objectives set out in section 15(1) of the EEA.
In chapter 6 above we noted that Minister of Finance & another v Van Heerden17
________________________
to the ruling party . . . Requisite skills and/or experience are subordinate criteria’ ( ibid at 292). McGregor argues
(at 305) that South Africans have to ask themselves whether they have the collective political will to address the
high levels of inequality in the country and, if they do not, whether they are prepared to live with the consequences
of their failure to do so, to watch and experience continuing poverty, unfulfilled socio-economic rights and to be
part of a non-egalitarian society and see inequality increase.
15 It is apposite to note that during the early debate on the EEA, commentators argued for factors other than race
to determine the beneficiaries of affirmative action. See, eg, Brassey ‘The Employment Equity Act: Bad for
Employment and Bad for Equity’ (1998) 19 ILJ
1359 at 1365 who asks whether poverty should not be tackled directly. He argues that the true beneficiaries in
terms of the EEA would be the already over-represented Black middle class and not the poor. Similarly, Adam
‘The Politics of Redress: South African Style Affirmative Action’ (1997) 35 J of Modern African Studies 231 at
239 argues that class would be a better criterion for affirmative action since South African society is polarised in
terms of race. He argues that in South Africa the demands for restitution stemming from a racist society could be
met through an emphasis on household income and personal or family wealth. Such criteria would enable Blacks
to become the major beneficiaries of affirmative action but also assist members of other racial groups. See also
McGregor ‘Categorisation and Affirmative Action’ (2007) 70(4) THRHR 596 for the shortcomings of the criteria
currently used for beneficiaries of affirmative action by the EEA. See also Dupper ‘Affirmative Action: Who, How
and How Long?’ (2008) SAJHR 425 at 439–442 who argues that, while the gap between Blacks and Whites has
decreased in recent years, there has been a sharp increase in the level of inequality within racial groups especially
among Africans.
Affirmative action has empowered the top level of Black people but lower levels – ie, poor and unemployed Black
people with limited access to opportunities – have been left largely untransformed. Although the creation of a
Black elite might have been an important moral and strategic imperative, the process of creating this elite has
highlighted the limits of race-based measures. It has created a small group of increasingly multi-racial
‘insiders’ who participate in and benefit from South Africa’s prosperity, while a large group of ‘outsiders’ who are
poor, unemployed and disproportionately rural and young remains almost exclusively Black. Dupper submits that
these continuous shifts in South Africa’s social and economic relations as a consequence of current race-based
affirmative
action strategies demand a re-evaluation of race as a basis for affirmative action measures. As apartheid left South
Africa a class structure that is largely racially defined, the broad overlap between race and class creates a situation
in which affirmative action strategies with class objectives would have the effect of addressing historical racial
disparities without reinforcing racial identities and aggravating racism. Moreover, measures phrased in anti-
poverty terms would be more effective and have the strategic advantage of generating less resistance particularly
from White South Africans.
17 Fn 3.
Affirmative action measures that ‘properly fall’ within the requirements of sec-
tion 9(2) of the Constitution are not presumptively unfair. The enquiry therefore is primarily one in terms of
section 9(2) rather than section 9(3) and can be expressed as follows:18
l Do the measures target people or categories of people who had been dis-
of people?
With regard to the first stage of the test, the Constitutional Court held that the measures of redress must favour a
group designated in section 9(2) of the Constitution. The beneficiaries must ‘be shown to be disadvantaged by
unfair dis-
crimination’.19 The court pointed out, however, that it is often difficult, impractical or undesirable to devise an
affirmative action scheme with
‘pure’ differentiation demarcating precisely the targeted classes. Within each class
That[, however,] is not sufficient to undermine the legal efficacy of the scheme.
The distinction must be measured against the majority and not the exceptional
With regard to the second stage of the test – whether a measure is designed to
come’. If they are ‘arbitrary, capricious or display naked preference they could
protecting the disadvantaged. Moreover, if it is clear that such remedies are not
‘reasonably likely’ to achieve the end of advancing the interests of the dis-
The court held that measures which carry a ‘reasonable likelihood’ of meeting
this end are sufficient: precise prediction of a future outcome is not required.21
With regard to the third stage of the test – whether the measure promotes the
achievement of equality – the court held that this determination requires ‘an
appreciation of the effect of the measure in the context of our broader society’.22
The court held that ‘the long-term goal of [South African] society is a non-racial, non-sexist society in which each
person will be recognised and treated as a
human being of equal worth and dignity’. In assessing whether a measure will in
the long term promote equality, this constitutional vision of ‘diversity, and our ________________________
18 At paras 36–37.
19 Para 38. The approach adopted by the majority that disadvantage need be ‘shown’ may be useful when it is
unclear that a particular group has been disadvantaged or when the causes of such disadvantage are unclear.
20 Para 39.
21 Paras 41–42. Such a test would render the remedial measure stillborn and would defeat the objective of s 9(2).
22 Para 44. The court cautioned that the achievement of this goal might often come at a price for those who were
previously advantaged.
168
Law@work
equality as citizens within it,’ must be kept in mind. A measure should not, how-
ever, ‘constitute an abuse of power or impose such substantial and undue harm
on those excluded from its benefits’ that the country’s ‘long-term constitutional goal would be threatened’.
equality that includes measures to redress existing inequality and therefore does not constitute unfair
discrimination. 23 However, if the measure fails the test (ie, if
it does not fall within the ambit of section 9(2)) and constitutes discrimination on a prohibited (listed) ground, then
it will be necessary to resort to the test established in Harksen v Lane NO & others 24 to consider the measure in
the light of section 9(3), to determine whether it unfairly discriminates, directly or indirectly, against the
complainant. This approach has been criticised because it excludes
every equality claim in its own right, keeping in mind the situation of the com-
plainants in society, their history and vulnerability, the history, nature and purpose of the discriminatory practice
and whether the measure under scrutiny
light of the constitutional values. Courts must ‘balance’ all these factors in determining the fairness or otherwise of
the discriminatory practice. 26 The importance of context and proportionality as elements of this test is clear. Put
differently, the limitation of a right for a purpose that is reasonable and necessary involves the weighing up and
balancing of competing values in the context of the Constitution ‘as a whole’ and essentially entails an evaluation
based on proportion-
ality. 27 This approach suggests that, to give proper effect to the EEA, affirmative
________________________
23 Minister of Finance & another v Van Heerden (fn 3) at para 30: ‘Such measures are not in themselves a
deviation from, or invasive of, the right to equality guaranteed by the Constitution. They are not “reverse
discrimination” or “positive discrimination” as argued by the claimant in this case. They are integral to the reach of
our equality protection. In other words, the provisions of section 9(1) and section 9(2) are complementary; both
contribute to the constitutional goal of achieving equality to ensure “full and equal enjoyment of all rights”.
A disjunctive or oppositional reading of the two subsections would frustrate the foundational equality objective of
the Constitution and its broader social justice imperatives’.
24 1997 (11) BCLR 1489 (CC) at para 54. The Harksen approach has been adopted under the EEA but with a
slight difference. While the first part of the test is the same for discrimination cases under the EEA, the second part
differs in that only the two justifications found in s 6(2) of the EEA are relevant. See Rautenbach ‘Riglyne om die
Reg op Gelykheid toe te Pas’ (2012) 9(2) LitNet Akademies 229 for a critique of the Harksen test.
25 See Pretorius ‘Fairness in Transformation: A Critique of the Constitutional Court’s Affirmative Action
Jurisprudence’ (2010) SAJHR 537; Pretorius ‘Accountability, Contextualisation and the Standard of Judicial
Review of Affirmative Action: Solidarity obo Barnard v South African Police Services’ (2013) SALJ 3; McGregor
‘Affirmative Action on Trial – Determining the Legitimacy and Fair Application of Remedial Measures’ (2013)
(4) TSAR 650 at 652–653.
action must be applied rationally, proportionally and fairly which requires the
weighing up of all competing interests (including efficient service, safety and individual rights).
On this basis, the rationality test is regarded as too restrictive and deferential for there to be a reasoned debate
about relevant decisions behind the implementation of affirmative action measures. The rationality test does not
contain
elements of fairness and proportionality; it merely relies on an ‘intuition-based classification’. 28 Some writers
have stated that the rationality test effectively
reasonableness’, does not provide a framework for looking into the interests of
their context, cannot add to the framework for judging equality disputes by
terms of the EEA) where fairness, rationality and proportionality were not evident is found in Naidoo v Minister of
Safety and Security & another. 30 In that case the EEP had an exclusionary effect on Indian people (only 2,5 per
cent per the EEP
target) exacerbated by the fact that only 30 per cent of posts earmarked for
managerial post and was rigidly enforced and would continue to be so applied
for years to come. Rather than present her with an equal opportunity, the EEP
denied her any opportunity. Shaik AJ held that ‘it can be argued that the [EEP]
. . . notwithstanding its modest targets for [women and Indians] . . . is still an affirmative action measure as
envisaged by section 9(2) . . . and the Equity Act, and for that reason, demand deference, . . . its effects in the
context of our
the judge found that the plan created ‘a perverse competition within the des-
ignated [groups] on the basis of their race and gender’; created degrees of
abuse of power; and ‘imposed substantial and undue harm’ on those excluded
________________________
30 (2013) 34 ILJ 2279 (LC). In this case, the EEP disclosed targets based on the 2001 census of the general
population (79 per cent Africans, 9,6 per cent Whites, 8,9 per cent Coloureds and 2,5 per cent Indians) and not on
the national and regional economically active population (‘EAP’) as required by the EEA. Moreover, in terms of
the EEP, 30 per cent of all posts had to be allocated to females in their race groups and 70 per cent to males. This
was not in accordance with the EEA or with a Cabinet decision of 2009 that gender representation should be
50:50. The ‘ideal’ target for Indians was restricted to 2,5 per cent of the whole group. The target for Indian females
was therefore 30 per cent of 2,5 per cent (or 0,75 per cent of the total workforce, rounded off to zero).
31 Paras 178–179.
170
Law@work
from its benefits. Moreover, the targets presented themselves as quotas and the
The EEP itself had a negative effect on employment equity and on the pursuit
a legitimate purpose of government.33 Since the differentiation did not fall within
laic, mechanistic one.35 Reading the Constitution as a whole, the court found that the EEP treated African males
as a favoured class within the designated
groups, and that this ‘naked preference’ lacked any sense of proportionality, 36
did not take diversity into account and had a punishing effect on Indian
females. The plan had as its focus too narrow a definition of the designated
groups and its flawed design excluded rather than included females. It excluded
Indian females entirely, thus setting them a barrier to employment. 37 The applicant was found to have been
unfairly discriminated against. The national com-
missioner was ordered to appoint her to the post she had applied for and to
pay her a year’s compensation.38 On appeal in Minister of Safety and Security & others v Naidoo, 39 the Labour
Appeal Court found that there was no basis to
find that the targets in terms of the EEP created an ‘absolute barrier’ for Indian women. The plan required the
SAPS to allocate posts based on demographic
goals; the EEP had not in fact prohibited the appointment of Indian women. If
there had been more posts available in KwaZulu-Natal at that particular level,
the selection process might have had a different outcome. The court took note
of the fact that in other provinces Indian females had been appointed because
the EEP required it. It held that the national panel’s conclusion that to appoint Naidoo would not advance
employment equity was neither capricious nor irra-
tional. Nor would service delivery have been enhanced.40 The appeal was upheld.
In Solidarity v Minister of Safety & Security ( Police & Prisons Civil Rights Union as amicus curiae)41 two issues
were addressed, namely the manner in which the ________________________
32 See Louw ‘The Employment Equity Act, 1998 (and other myths about the pursuit of “equality”,
“equity” and “dignity” in post-apartheid South Africa)) (Part 1)’ (2015) 18(3) PER/PELJ 594; Louw ‘The
Employment Equity Act, 1998 (and other myths about the pursuit of “equality”,
“equity” and “dignity” in post-apartheid South Africa) (Part 2)’ (2015) 18(3) PER/PELJ 669.
33 Paras 128–227 under the rubric ‘Secondly, is the measure designed to protect or advance such persons or
categories of persons within the designated group?’.
34 Para 223.
36 Ibid.
37 Para 209.
40 See also Gaibie ’The Constitutional Court Decision in Barnard: A Sequel to the Van Heerden Judgment’ (2015)
36 ILJ 80.
41 (2016) 37 ILJ 1012 (LC). See also McGregor ‘Determining the Validity of an Employment Equity Plan:
Guidance from the Labour Court – Solidarity v Minister of Safety & Security continued on next page
validity of an EEP in terms of the EEA has to be determined and whether both
the Constitution and the EEA, or only the EEA, should be used for interpreting the law on affirmative action. It
was argued that, generally, a litigant may not bypass ordinary laws which give effect to a constitutional right (here
equality) and directly rely on the Constitution without challenging such law as falling short of the constitutional
standard. With regard to the former, it was held that ‘absolute targets’ based on national demographics only, would
not result in a provincial
racial profile which was broadly representative of the racial composition of the
EAP of the SAPS in the province of the Western Cape. Both the national and
regional demographics of the EAP had to be taken into account. Put differently,
the EEP should promote the achievement of equality, and it should not impose
In South African Police Service v Solidarity obo Barnard ( Police and Prisons Civil Rights Union as amicus
curiae), 42 the Police Service’s EEP was not chal-
lenged, only its implementation was at issue. Moseneke ACJ (for the majority)
stressed that the Constitution had a ‘transformative mission’ which ‘[e]njoins us to take active steps to achieve
substantial equality, particularly for those who
done well to equalise opportunities for social progress, past disadvantage still
abounds’.43 The court held that an employer may refuse to appoint/promote a White female where the specific
level she had applied for, was already over
represented44 (the so-called Barnard principle). Moreover, he stated that measures that are directed at remedying
past discrimination must be formulated with
‘due care not to invade unduly the dignity of all concerned’. He cautioned us
to remain vigilant and ensure that remedial measures do not become an end in
In conclusion, it was held that for a valid EEP to be put to use lawfully:
[38] . . . It may not be harnessed beyond its lawful limits or applied capriciously or for an ulterior or impermissible
purpose.
[39] As
bare minimum, the principle of legality would require that the imple-
mentation of a legitimate restitution measure must be rationally related to the terms and objects of the measure. It
must be applied to advance its
________________________
( Police & Prisons Civil Rights Union as amicus curiae) (2016) 37 ILJ 1012 (LC)’ (2016) 79(4) THRHR 698.
42 2014 (10) BCLR 1195 (CC). See also Le Roux ‘The Barnard decision – what it means: Differences in the
decisions of the Constitutional Court in key judgments on affirmative action’
(2014) CLL 24(2) 11 and the discussion of this case in ch 6 at para 3.6.2 ‘Affirmative action measures as a defence
to discrimination claims’ above.
43 Para 29.
44 In Solidarity & others and Department of Correctional Services & others (fn 9) the Constitutional Court held
that the Barnard principle discussed in para 8.4 below was not limited to White people; all Black people, as well as
women and men, were subject to the principle to attain broad representation and give effect to the diversity of the
South African people.
45 Para 30.
172
Law@work
legitimate purpose and nothing else. Ordinarily, irrational conduct in implementing a lawful project attracts
unlawfulness. Therefore, implementation of
In addition, although these are the minimum requirements for affirmative action
measures, Moseneke ACJ stated that it was not necessary to define the stand-
ard ‘finally’. 47 This implies that the standard may be revisited in future to include
cism of the rationality test for failing to incorporate an element of fairness, nonetheless held that the courts would
be reluctant to ‘second-guess’ affirmative
action policies that pass the test established by Van Heerden. This is so because the latter test considered strict
scrutiny an ‘inappropriately high standard’ for reviewing affirmative action measures. 48 He cautioned that
measures should not
a constitutional objective. 49
his employer, the city council, not to shortlist him for any of the three posts for which he had applied. He alleged
that his exclusion from the shortlist constituted discrimination against him on the grounds of his race, his political
beliefs, his lack of relevant experience or on other arbitrary grounds. In addition, he alleged
that he had been unfairly discriminated against because the council had
failed, in considering his application for shortlisting, to apply certain of the provisions of section 20 of the EEA.
(Section 20 deals with the concept of suitable
In relation to the claim for discrimination on the grounds of race, the council
alleged that certain essential averments had not been included in the appli-
cant’s statement of claim. The court decided that the applicant had, in effect,
pleaded that he had not been shortlisted but that two White people had been
shortlisted instead and that he had thus been unfairly discriminated against on
the ground of race. It was not necessary for the applicant to claim that any dis-
crimination against him had been direct or indirect because this was a matter to
be proved at trial. Although the pleadings were perhaps not elegantly drafted,
________________________
46 Paras 38–39.
48 Para 160.
49 Ibid.
the court found that they were not unintelligible and the necessary allegations
had been sufficiently pleaded for the council to know the case that it was
The court noted that in terms of Chapter II of the EEA, and section 6 in particu-
lar, taking affirmative action measures consistent with the purpose of Chapter III of the Act does not amount to
unfair discrimination. Section 6 obliges every
observed that one of the ways in which an employer can eliminate unfair dis-
crimination is by taking affirmative action measures consistent with the purposes of the Act. If regard was had
only to section 6, then the conclusion might be
‘affirmative action’ in section 15, the court held that affirmative action had a
role that went beyond ‘the passivity of its status as a defence’. Affirmative
hierarchy of elements that make up the content of the concept and specifically
singles out ‘relevant experience’ for special attention. To the extent that he was suitably qualified for the post for
which he had applied and that the council
had failed to comply with its obligations to review all relevant factors in determining whether he was in fact
suitably qualified, the applicant’s claim could
conceptually be said to be for unfair discrimination. The requirements in section 20 are an integral part of steps to
promote equal opportunity by eliminating
The Labour Court in Dudley v City of Cape Town 51 rejected the approach adopted in Harmse. It held that on a
proper interpretation of the Act the distinction between Chapters II and III of the EEA should be maintained
because a
claims for enforcement under Chapter III but not to claims for unfair discrimin-
ation under Chapter II. In particular, it was found that there was no sound basis on which section 20 should be read
together with the provisions of Chapter II and, likewise, no basis on which that section can establish a right to
affirmative action.
section 20(4) concerning whether a person is ‘suitably qualified’ for the purposes of appointment under an EEP.
Contravention of section 20(5) is a matter for the
enforcement procedures prescribed in Chapter V of the Act.52 It does not give rise to a claim in terms of Chapter
II nor does it bring about an individual right to
affirmative action.53
________________________
53 In Dudley v City of Cape Town & another (2008) 29 ILJ 2685 (LAC), the reasoning of the Labour Court was
upheld and the appeal dismissed, although the court stated that it had not decided the question of whether court
proceedings could be instituted after the enforcement procedures in Ch V of the EEA have been exhausted (at
2708A–B). Similarly, in Minister of Safety & Security & another v Govender (2011) 32 ILJ 1145 (LC) the Labour
continued on next page
174
Law@work
This approach was upheld in Thekiso v IBM South Africa ( Pty) Ltd54 where the Labour Court held that an
applicant could not rely on Chapter III of the Act to
between Chapters II and III of the Act – a claim of unfair discrimination under
l an employer who employs fewer than 50 employees but whose annual turn-
l a municipality;
l an organ of state other than the South African National Defence Force, the
National Intelligence Agency and the South African Secret Service;55 and
in the agreement.
The affirmative action provisions may apply to an employer who employs fewer
than 50 employees if the business of the employer has a total annual turnover
The EEA provides that an employer that is not a designated employer may
it intends to comply voluntarily with the relevant provisions of the Act as if it were
a designated employer.57 In terms of section 50(2)(d) of the EEA, the Labour Court may, if it decides that an
employer has unfairly discriminated against an
employee, order the employer to comply with the affirmative action provisions
________________________
Court upheld a special plea that the enforcement mechanisms of Ch V of the EEA have to be exhausted before an
employee’s claim for unfair discrimination primarily based on the failure of the respondent to comply with its EEP
can be referred to the court.
54 [2007] 3 BLLR 253 (LC) . See also Cupido v GlaxoSmithKline SA ( Pty) Ltd (2005) 26 ILJ 868
(LC); PSA obo Karriem v SAPS & another [2007] 4 BLLR 308 (LC); Makibinyane v Nuclear Energy Corporation
of SA & another (2009) 30 ILJ 2731 (LC) where the approach of Dudley was confirmed.
55 Local spheres of government are no longer excluded as designated employers in terms of the Amendment Act.
56 See Sch 4 to the EEA.
57 S 14.
‘designated groups’, 58 being Black people, women59 and people with disabilities,
in order to achieve employment equity. The EEA provides that ‘Black people’
physical or mental impairment which substantially limits their prospects of entry into, or advancement in,
employment’. 61
________________________
58 A factor complicating the categorising of groups is that, apart from being subjected to a main ground of
discrimination – so-called ‘main-effects’ discrimination – a person might also suffer ‘multiple’ discrimination. The
intensity or severity of the disadvantage a person may experience depends on the number of and interplay between
personal characteristics that generate discrimination against a person (Report of the Director-General ‘Time for
Equality at Work: Global Report under the Follow-up to the ILO Declaration on Fundamental Principles and
Rights at Work’, International Labour Conference, 91st Session, Report I(B) (2003) at 36–37). In this regard, it has
been argued that (a) there is a need to understand that complex forms of disadvantage based on race, gender and
geographic location form ‘distinct categories’ of disadvantage that cannot be reduced to the sum of their parts; and
(b) the intersectional nature of disadvantage creates different and multiple forms of inequality which cannot be
explained or understood simply with reference to one ground of discrimination such as gender (Albertyn and
Goldblatt ‘Facing the Challenge of Transformation: Difficulties in the Development of an Indigenous
Jurisprudence of Equality’ (1998) SAJHR 14 at 248). A bill on Women Empowerment and Gender Equality (B50-
2013, GN 701, GG 35637, dated 29 August 2012) focussing on economic empowerment, protection, advancement,
gender mainstreaming and equal representation of women in some decision-making structures, has been published
but withdrawn. The purpose of the bill was to fight poverty, inequality and unemployment experienced by women
in organs of state, national, provincial and local spheres of government, national and provincial government
enterprises, and companies, non-profit organisations, public and semi-public entities, and private bodies. Women
fell behind again.
59 For a number of years it was claimed that White women had benefited disproportionately from affirmative
action measures (see, eg, Annual Report of the Commission for Employment Equity 2009–2010). It appears
logical that White women would have generally benefited from affirmative action because of their fairly high
educational qualifications compared to those of Black women who, for historical reasons, have not been in a
position to obtain qualifications or qualifications of quality. Moreover, in practice, it has been found that
affirmative action aimed at women often benefits White middle-class women more than it does lower-class women
from other ethnic backgrounds (UNESC ‘Prevention of Discrimination: The Concept and Practice of Affirmative
Action’ Final Report (2002) at para 11).
It is noteworthy that during the debate preceding the EEA it was argued that Black women generally, and African
women in particular, were the most disadvantaged members of South African society and that specific attention
must be paid to their position. While the EEA did not heed this argument, it was hoped that the Broad-Based Black
Economic Empowerment Act 53 of 2003 would assist these women. However, organisations that receive good
BBBEE rating scores continue to perform poorly on employment equity under their B-BBEE codes.
60 See the definitions of ‘designated groups’ and ‘Black people’ in s 1.
61 Ibid.
176
Law@work
After many years of lobbying, Chinese people who are South African citizens
have been declared as falling within the ambit of the definition of ‘Black
people’ in section 1 of the EEA. 62 They are thus also entitled to the benefits of affirmative action. However, no
mention is made of Chinese people in the
to complete the form or provides inaccurate information, the employer may use
reliable historical and existing data to determine the status of the employee.
4.2.2 Citizenship
While the EEA is silent on the citizenship of members of the designated groups as a requirement for benefiting
from affirmative action, the recent amendments to
the Act make it clear that the following people are designated groups:
(ii) after 26 April 1994 and who would have been entitled to acquire citizenship by naturalisation prior to that date
but who were precluded by apartheid
policies . . . 65
After a longstanding debate on whether the EEA requires past personal dis-
whether membership of a designated group would suffice, the issue was put to
rest by the Constitutional Court in a minority judgment in Minister of Finance & another v Van Heerden.66
Mokgoro J held that as apartheid had categorised
people, and attached consequences to those categories with no regard to the
now allows for affirmative action measures which target ‘whole’ categories of
________________________
62 See Chinese Association of South Africa & others v Minister of Labour & others case 59251/
65 People who are foreign nationals or who become citizens after April 1994 will not count towards affirmative
action targets even though they are reported on. This is consistent with the B-BBEEA.
66 Fn 3. For a discussion of the development of this issue from the first case that dealt with affirmative action,
George v Liberty Life Association of Africa Ltd (1996) 17 ILJ 571 (IC), which supported past personal
disadvantage as a requirement for benefiting from affirmative action, to Stoman v Minister of Safety & Security &
others (2002) 23 ILJ 1020 (LC), which supported a group-based approach, see McGregor ‘The Concept of
“Disadvantage” in
people for advancement on the basis of membership of a group. Thus, in order for someone to benefit from a
measure enacted in terms of section 9(2), it suffices for him or her to be a member of a group ‘previously targeted
by the apart-
The EEA does not recognise degrees of disadvantage (in other words, it does
not recognise that all the designated groups and their subgroups were not
through affirmative action. The Act does, however, provide that a code of
groups.68
The notion of degrees of disadvantage was established in case law when the
High Court held that Indian and Coloured people were ‘less’ disadvantaged
than Blacks under apartheid in the context of education. 69 A few years later and in the context of employment,
the Labour Court accepted that African
people had been ‘very severely’ discriminated against under apartheid, more
severely than had other non-White groups, but held that in practice it was
group.70
The notion of degrees of disadvantage has since been emphasised with more
vigour. In Fourie v Provincial Commissioner of the SA Police Service ( North West Province) & another,71 for
example, the court focussed on the difference in disadvantage between Black people and White women. In this
instance the appli-
cant (a White female) complained that she had been unfairly discriminated
against by being refused a promotional post for which she had applied. While
the court accepted that White women had been discriminated against under
apartheid, it held that they had not been as disadvantaged as Black people,
particularly African people, who bore the brunt of apartheid (White women had
access to, for example, better educational and other facilities). It is noteworthy that the applicant conceded that
while she was a member of the designated
group ‘women’ she should not be treated on the same level as her African
________________________
67 Para 85.
69 See Motala & another v University of Natal 1995 (3) BCLR 374 (G) at 383C–D.
70 Stoman v Minister of Safety & Security & others (fn 66) at 1035F–H. The court accepted that the detailed
circumstances of individual members of any group may differ in that some individuals might have had access to
good educational and other facilities while others might have been subjected to the worst possible discriminatory
practices during a particular era.
178
Law@work
African history, the imbalances of the past, the fact that the apartheid system
was designed to protect White people, that Black and African employees
suffered the brunt of discrimination and of the purpose and objectives of the
EEA. 72 Although the applicant was suitably qualified for the job, the fact that she was not promoted was found to
be rational, justifiable and fair in the circumstances in that there were no Black officers at the police station in
question and the target for White women had already been exceeded.
(a Coloured male) scored the highest points at the interview for a promotional
appoint an African male candidate who complied with the minimum require-
ments for the post. The arbitrator found on the evidence that the level of under-
unfair discrimination.
the workplace. In terms of this approach, the nature of the position, the demo-
the qualifications and work experience of the candidates should all be relevant
fied on this basis (but not on any arbitrary ranking of the groups).75
Only suitably qualified people from designated groups may benefit from affirm-
l formal qualifications;
l prior learning;
l relevant experience; or
________________________
72 At 1736A–B.
73 (2006) 27 ILJ 1291 (ARB). See also Henn v SA Technical ( Pty) Ltd (2006) 27 ILJ 2617 (LC).
74 See Pretorius ‘Legal Evaluation of Affirmative Action in South Africa’ (2001) 26(3) JJS 12; Rycroft ‘Obstacles
to Employment Equity? The Role of Judges and Arbitrators in the Interpretation and Implementation of
Affirmative Action Policies’ (fn 13); McGregor ‘The Concept of “Disadvantage” in Affirmative Action’ (fn 66).
75 Ibid. For an example where the EEP was designed to address the under-representation of specifically Africans
in the police force in KwaZulu-Natal, see Munsamy v Minister of Safety
& Security & another (2013) 34 ILJ 2900 (LC) and SA Police Service v Public Service Association of SA & others
(2015) 36 ILJ 1828 (LAC).
76 S 20(3).
People whose services have been procured for a client (employer) by a tem-
Such employees who are employed for longer than six months will be deemed
5.1 General
managers to take responsibility for monitoring and implementing its EEP.82 The
requires in the EEA Regulations that these managers must be permanent em-
ployees and report directly to the chief executive officer on employment equity
matters. The employer is required to provide the managers with the authority
and the means to perform their functions and to take reasonable steps to ensure
a manager does not relieve the employer of any duty imposed by the Act.84
A designated employer must take reasonable steps to consult and reach agree-
ment with a representative union or, in the absence of such a union, with its em-
________________________
77 S 57.
78 S 16.
80 S 20.
81 S 21.
82 S 24.
83 S 24(1). These include an appropriate budget and access to other required sources.
84 S 24(2).
85 Ss 16 and 17.
86 S 19.
87 S 20.
88 S 21.
180
Law@work
Section 16(2) of the EEA provides that employees or their nominated represen-
tatives with whom the employer consults must reflect the interests of employees
groups.
The Act does not affect the right of a workplace forum established in terms of
To enable trade unions and employees to enforce rights in terms of the EEA, the
Act provides that the employer must disclose to the consulting parties ‘all rele-
vant information that will allow those parties to consult effectively’.89 In the
LRA must be applied. The LRA generally requires disclosure of all relevant information that will allow a party to
engage meaningfully in the process in question.
5.4 Analysis91
analysis of its employment policies, practices, procedures and working environment in order to identify
employment barriers that adversely affect people from
designated groups. The analysis must include a profile of the employer’s work-
must be read with section 15 which requires employers to ensure that suitably
ties and are equitably represented at all occupational levels in their work-
force. 93
Once the employer has conducted the analysis, the employer must prepare
and implement an employment equity plan (‘EEP’) ‘which will achieve reason-
Section 20(2) sets out details which the EEP must contain. These include the fol-
lowing:
l the objectives to be achieved for each year of the plan;
________________________
89 S 18(1).
90 S 16 of the LRA.
95 S 20(1).
section 15(2);
l where it has been identified that people from designated groups (Black
suitably qualified people from those groups within each occupational cat-
egory and level in the workforce, together with the timetable within which
these goals are to be achieved and the strategies by means of which they
are to be achieved;
l the timetable for each year of the plan for the achievement of goals and
l the duration of the plan, which may not be shorter than one year or longer
l the procedures that will be used to monitor and evaluate the implemen-
tation of the plan and whether reasonable progress is being made towards
employment equity;
l the internal procedures for resolving any dispute about the interpretation or
The courts have given contrasting decisions on whether a formal plan is a pre-
MWU v Eskom, 97 Eskom’s lack of detailed and individualised plans for each of its operating systems was found
not to be in line with an affirmative action policy in terms of the then item 2(2)(b) of Schedule 7 to the LRA. In
NEHAWU obo Thomas
v Department of Justice 98 the appointment of an Indian male before the Directorate’s equity plan had been
finalised was found not to be haphazard or ad
hoc as the Directorate had relied on departmental policy and the public-
imperative of promoting equality and transforming the public service, but with
no specific departmental plan, it was held permissible but set aside in Gordon v Department of Health: KwaZulu-
Natal. 100
________________________
96 In Monyakeni and SA Police Service & others (2008) 29 ILJ 3111 (BCA) it was found that the respondent acted
in bad faith and committed an unfair labour practice when it failed to promote an African male who had been
recommended as the best candidate
by the evaluation panel but instead appointed Coloured and White women from cat-
egories that were already over-represented. The employer did not comply with its own EEP or with the SAPS’s
national instruction. In terms of the plan, priority was to be given to African males because they were under-
represented.
182
Law@work
‘go a long way’ towards satisfying the rationality requirement that plans be
pointment was an ad hoc and arbitrary act and neither a ‘measure’ in itself to achieve equality (within the meaning
of section 8(3)(a) of the interim Constitution or section 9(2) of the Constitution) nor a ‘practice’ within the
meaning of
the then item 2(2)(b) of Schedule 7 to the LRA. In Willemse v Patelia NO & others101
the court held that while the absence of an EEP made it difficult to determine
whether refusal to promote the applicant was rational and fair, the absence of
such a plan did not in itself preclude the employer from taking affirmative
action measures. In this instance, however, evidence showed that the employer
and targets, which made it possible for the court to assess whether the conduct
of the employer was fair. Recently the ‘staffing policy’ of the Tshwane Munici-
pality102 was found not to comply with the EEA’s requirements for affirmative
action measures as it did not comply with the Van Heerden test or any of the requirements set by the EEA (see
paragraph 2.2 ‘A test for affirmative action’
above).
not exempt from compliance with its duties to prepare an EEP as set out in sec-
tion 20.
The Director-General may apply to the Labour Court to impose a fine if a des-
accordance with Schedule 1 which sets out the maximum fines applicable in
various instances.103
electronically, on progress made in implementing their EEP. 105 Reports are limited to levels of employees and
thus do not cover both levels and categories.
Every designated employer must submit its first report to the Director-General
within 12 months after the commencement of the EEA or within 12 months after
________________________
102 Solidarity obo Pretorius v City of Tshwane Metropolitan & another (2016) 37 ILJ 2144 (LC).
103 S 20(7). See Solidarity obo Labuschagne v Commissioner of the SA Revenue Service (JS732/2011 dated 14
May 2015) where it was held that a designated employer may extend its existing EEP and use it as a guideline until
such time when a new plan is adopted.
104 Ss 13(2)(d) and 21 read with Form EEA2. See also Form EEA9 which indicates the occupational levels within
different organisations, which levels were developed by using different job-grading systems. Organisations without
such grading systems should use the ones in the form.
105 The forms provided by the Regulations provide templates for the sensible gathering of all information. The
minister may also make regulations for simplified and separate forms and procedures in respect of ss 19
(consultation), 20 (EEP), 21 (reporting), 22 (publication of report), 25 (duty to inform) and 26 (duty to keep
records) for employers who have fewer than 150 employees (s 55).
the report must be furnished annually on the first working day of October. The
report must be signed by the chief executive officer of the employer and is a
A designated employer who cannot submit a report in time must give the
Director-General written reasons for its inability to do so. 107 To promote com-
fine on a designated employer who does not submit a report, gives no reasons
for not submitting the report, or gives false or invalid reasons for not submitting
it.108
minister. 110 Any employee may request such an employment equity report from
Every designated employer must display a notice at its workplace informing em-
ployees of the provisions of the EEA. 112 It must also ‘place in prominent places that are accessible to all
employees’ its most recent report to the Director-General, 113 make a copy of its EEP available to its employees,
114 and establish
6 Income differentials116
Section 27 of the EEA requires every designated employer furnishing its report in terms of section 21(1) to submit
a statement to the Employment Conditions
occupational level of that employer’s workforce.118 When the statement reflects disproportionate income
differentials or unfair discrimination in terms and con-
ditions of employment,119 the designated employer must take measures to reduce such differentials progressively,
subject to ‘such guidance as may be
________________________
108 S 21(4B).
109 S 22(1).
110 S 22(2).
112 S 25(1).
113 S 25(2)(a).
114 S 25(3).
115 S 26.
118 See Form EEA4. See also Form EEA9 which indicates the occupational levels within different organisations.
In due course, the National Minimum Wage Commission will replace the ECC.
184
Law@work
given by the Minister [of Labour] as contemplated in [section 27(4)]’. Subsection (4) requires the ECC to ‘research
and investigate norms and benchmarks for proportionate income differentials and advise the Minister on
appropriate meas-
on the benefits of employees at each occupational level of the workforce. In terms of section 27(2), designated
employers must also take measures to reduce
Failure to comply with these obligations may lead to a fine or to refusal or can-
of nine people: the chairperson, and two representatives for each of organised
labour, organised business, the state, and organisations of community and de-
The functions of the CEE are, as set out in section 30(1), to advise the minister on the following:
(a) codes of good practice issued by the Minister in terms of section 54;
(b) research and report to the Minister on any matter relating to the application of the Act, including appropriate
and well-researched norms and benchmarks
The CEE reports annually on the progress made towards the equitable represen-
The EEA provides for monitoring by employees and trade unions by empowering
the Act to the attention of another employee, the employer, a trade union, a
________________________
122 S 34.
tions by labour inspectors123 and reviews by the Director-General; 124 and l legal proceedings – in other words,
referral to the Labour Court of an employer’s non-compliance with a request or recommendation by the Director-
General.125
8.1 Inspections
In order to monitor and enforce compliance with the Act, labour inspectors have
the power to enter, question and inspect.126 In terms of section 36, an inspector
to comply with’ the provisions of the Act if there are reasonable grounds to be-
lieve that, amongst other things, the employer has failed to:128
If the designated employer fails to comply with the undertaking within the spe-
make the undertaking, or any part of it, an order of the Labour Court.129 To prevent delaying tactics, appeals and
objections are no longer allowed. The path
who fail to comply with section 16 (consultation), section 17 (matters for consultation), section 19 (analysis),
section 22 (publication of report), section 24 (assignment of a manager), section 25 (duty to inform) or section 26
(duty to keep
records) of the EEA.130 If the employer does not comply within the period stated, the Director-General may apply
to the Labour Court to make the compliance
court will determine a fine in terms of Schedule 1 for failure to comply with a
compliance order.
________________________
125 See para 8.3 ‘Application by the Director-General to the Labour Court for an order directing the employer to
comply’.
126 S 35.
127 In the format of Form EEA5 or in a format that includes the information required by that form.
128 S 36.
129 S 36(2).
130 S 37(1).
131 S 37(6).
186
Law@work
is complying with the EEA. In the course of the review, the Director-General may
request the employer to submit a copy of its current analysis or EEP and any
with the Director-General to discuss its EEP, and the implementation thereof,
union consulted in terms of section 16 of the Act or with any workplace forum or
After conducting the review, the Director-General may approve the desig-
mendation may state the steps the employer must take in connection with its
EEP, or the implementation of that plan, or with any other relevant matter.133
General for a copy of the employer’s analysis or EEP or for other documentation
for the purposes of a review in terms of section 43 or fails to attend the meeting as requested, the Director-General
may apply directly to the Labour Court for
an order directing the employer to comply with the request or, should the em-
ployer fail to justify its failure to comply, for the imposition of a fine in terms of Schedule 1. 134
If the employer notifies the Director-General in writing within the specified
period that it does not accept the request or recommendation, the Director-
General may institute proceedings within certain time limits. Should proceedings
________________________
133 S 44.
134 S 45. In Director-General of the Department of Labour v Jinghua Garments ( Pty) Ltd [2007]
JOL 19127 (LC), a compliance order issued by a labour inspector was made an order of court. A fine of R200 000
(half of which was suspended for a period of three years) was imposed. An appropriate amount for the fine was
decided on only once the court had decided that the basis for the fine should be non-compliance with the order
(and not contravention of the individual sections of the EEA, which would have yielded completely different
results). The fine was in the upper range of the maximum fine allowed and was intended to have a punitive and
preventative effect to deter the respondent and other would-be offenders. In Director-General, Department of
Labour v Win-Cool Industrial Enterprise ( Pty) Ltd [2007] 9 BLLR 845 (LC), the court held that even if an
employer’s staff is entirely composed of members of the designated groups the employer is not exempt from
complying with the provisions of the EEA.
Director-General: Department of Labour & another v Comair Ltd135 the Labour Court held that the Director-
General’s decision is subject to review. It found that, since the powers exercised by the Director-General in terms
of sections 43, 44 and 45 are public powers, the Director-General must apply her or his mind
and make a proper attempt to consider all the factors listed in section 42 in determining compliance with the EEA.
The factors listed in section 42 are not
must be taken into account apart from the affirmative action measures (as de-
(a) the extent to which suitably qualified people from and amongst the different designated groups are equitably
represented within each occupational level
(b) reasonable steps taken by a designated employer to train suitably qualified people from the designated groups;
(c) reasonable steps taken by a designated employer to implement its employment equity plan;
(d) the extent to which the designated employer has made progress in elimin-
groups;
________________________
136 S 42.
137 In contrast to the previous wording ‘must’, which signalled an obligation to do so.
138 However, reg 3 of the Draft Regulations (fn 1), dealing with designated employers setting targets,
controversially suggested that in EEPs for designated employers with 150 or more employees the national EAP be
used as a guide for setting goals and targets for the upper three levels and an average of the national and regional
EAPs be used for the lower levels. Designated employers with fewer than 150 employees should use the
national EAP for the upper two levels and the regional EAP for the lower levels as a guide in setting targets in
their EEPs. The notion of ‘regional’ was not defined. This controversial suggestion would have had the effect of
favouring Africans over Coloureds and Indians in top positions, skewing representation in provinces with large
region-based minorities (ie, Coloureds in the Western Cape and Northern Cape and Indians in KwaZulu-Natal).
These were contentious issues because Coloureds and Indians feared that they would have been excluded from top
positions. The suggested regulation received severe criticism and was omitted in the subsequent version of the
Regulations.
188
Law@work
In only the third case on affirmative action to reach the Constitutional Court so far, Solidarity & others and
Department of Correctional Services & others 139
( Solidarity CC), the Constitutional Court had decided that both regional and national demographics in terms of
section 42(a) had to be used in drafting an
EEP under the unamended EEA. Section 42(a) then read as follows:
applying this Act must, in addition to the factors stated in section 15 take into account all of the following:
(a) The extent to which suitably qualified people from and amongst the different designated groups are equitably
represented within each occupational level
(i) demographic profile of the national and regional economically active population; . . .
The court held that the national EEP of the Department of Correctional Services
did not comply with the obligatory requirements of section 42(a) as it only took
the national demographics of the EAP into account. Moreover, while the EEP
contained a deviation clause it was not used. The Constitutional Court held that
In the Western Cape (WC), Coloured people constituted a majority by far but
the Coloured and female applicants had not been appointed or promoted due
to the fact that there was over-representation at the specific levels for which
they had applied. Accordingly, the Constitutional Court set aside the Depart-
ment’s refusal to appoint them and provided them with individual effective
remedies (which neither the Labour Court nor the Labour Appeal Court has
done). It distinguished between those applicants who had applied for posts that
remained unfilled and those where the posts had, in fact, been filled. Appli-
cants in the first category had to be appointed to those vacant posts with retro-
in the second category had to be placed on the particular post levels they
applied for and were awarded the difference between what they would have
been paid and benefits, as if they had been appointed to such posts. 140
The court also decided three other issues: First, whether the Barnard principle (that is, whether an employer may
refuse to appoint or promote a White female
where the specific level she has applied for was already over represented with
the majority) held that the Barnard principle was not limited to White people; all Black people and both women
and men were subject to the principle. The principle applies because in transforming the workforce it should
become ‘broadly
________________________
139 Fn 9. Ten employees (nine of whom were Coloured and one who was White) had been denied promotion or
appointment in the Department of Correctional Services (DCS) in the WC in 2010. The DCS had a 2010–2014
EEP in place which used national demographics only to set targets for affirmative action. No provisions were made
for different targets in the various provinces.
representative’ of the diversity of the South African people. This could not be
a workforce that consists of only White and Indian managers and, thus, excludes
. . . and Coloured people only and excludes White . . . and Indian people or a
If the workforce has to include all racial groups and both genders, it should
also be asked whether there was a specific level of representation for each
group or whether it was sufficient if each group only had to have a presence at
all levels ‘no matter how insignificant their presence may be’. Zondo J held that the level of representation of each
group has to ‘broadly accord’ with its level
of representation amongst South African people.142 The EEA was read together with the relevant provisions of
the Constitution (section 195(1)(i)), which deals with, inter alia, the public administration, the Public Service
Act143 (PSA) (section 11(2)(b)) and the Correctional Service Act 111 of 1998 (CSA) (section 96(3)(c)), al which
use the notion ‘broadly representative’ but without defining same.
and its sub-groups are not found in the EEA. This was incorporated into work-
place case law after Motala & another v University of Natal144 used this notion
people) suffered the worst under apartheid145 (see also paragraph 4.2.4 ‘De-
Africa’s huge diversity and stressed the fact that the EEA sought to achieve the
the people of South Africa and all sub-groups that fell under ‘Black people’
ficient to have one or two groups only and to exclude other group(s) on the
basis that the high presence of one or two groups made up for the absence or
Third, regarding the difference between numerical targets and quotas, the
Constitutional Court held that the primary distinction between quotas and
numerical targets lies in the flexibility of the standards.146 (Over and above this,
________________________
142 Paras 40–41. Zondo J used an example where a designated employer who has a workforce of 500 people of
whom 50 held senior management positions, but only five of those senior positions were held by African people,
20 were held by White people, 15 by Coloured people and 10 by Indian people, would not be able to argue that
such a workforce could ‘conceivably’ be broadly representative of the South African people.
144 Fn 69.
146 Despite further arguments on quotas, the majority found that once it was accepted that the EEP contained
deviation provisions, then, in their view, the targets, viewed in a holistic way, could not be said to be rigid. This
was the first difference between the majority and the minority. The latter held the targets to constitute quotas.
190
Law@work
Solidarity argued that the targets in the EEP based on the mid-year population
estimates of 2005 were rigid quotas and were also applied strictly. The minority
pointed out that with regards to the statistics which the DCS allegedly used
there were problems as it, inter alia, did not reflect the composition of the economic active population (EAP) but
that of the population as a whole.)
It seemed that it was only a matter of time before the Department of Correc-
tional Service’s EEP using only the 2005 mid-year national population estimates,
would have been found not to comply with the EEA. The Constitutional Court
made it crystal clear that both national and regional demographics had to be
taken into account when drafting an EEP. This is so as section 42(a) did not
into account both regional and national demographics in the provinces with its varied racial compositions and, of
course, section 42 has now been amended.
When drafting an EEP, targets should be set mindful of the existing tension in
the Constitution which both recognises and wants to redress the past, and
which has a vision of an inclusive society being non-racial and non-sexist. 148
________________________
147 Du Toit IRNetwork Today Weekly comment ‘Much ado about – what exactly?’ 1 (25 July 2016) (accessed on
25 July 2016) (Du Toit) 1).
l it would be sensible where regional demographics differ greatly from national demographics, to use the former in
a nuanced, practical and rational manner;
l the argument in favour of the use of regional demographics is further supported because of the uneven
distribution of sub-groups of (particularly) Black people in provincial populations;
l the EEA surely does not want to sidestep the varied racial composition of Blacks in the recruitment area(s) from
which designated employers would ‘reasonably’ be expected to obtain employees;
l the EEA does not aim for members of designated groups to move/relocate to other provinces to find work in the
public sector, either provincially or nationally – statistics cannot be manipulated in such a manner;
l it will be rational and logical always to pay attention to larger regional populations (compared to the national
population) for all sub-groups of designated groups despite the wording being changed to ‘may’ in the amended
EEA;
l each case should be judged in terms of its own facts in a ‘situation-sensitive’ manner and both the national and
regional demographics must be taken into account when drafting and implementing an EEP;
l recent statistics from reliable sources must be obtained to set practical targets and address relative disadvantage
effectively; and
l a contextualised approach is recommended with attention being paid to relative importance of different degrees of
disadvantage in every workplace.
It has been stated that the majority judgment was ‘a text of its time’ and goes
action measures from constitutional attack.149 Solidarity CC will probably make it difficult to overrule affirmative
action measures unless ‘unqualified candidates
[are appointed] or [the measures] are implemented in a corrupt or nepotistic
manner’. 150 Other important issues are that contravention of section 20 (prep-
of reports), section 23 (successive EEPs) or section 44 (refusal or failure to comply with a recommendation by the
Director-General) may attract a fine linked to
the employer’s annual turnover. 151 This may have serious financial implications
Further, the minister, after consultation with NEDLAC, may issue regulations that
determined with reference to the demographic profile of either the national economically active population or the
regional economically active population’
(our emphasis).152
The minister may also in a code of good practice set out factors that must be
taken into account by any person assessing compliance with Chapters II and III
of the EEA.153
When an employer’s compliance with the EEA is being assessed or in any court
Maximum fines for non-compliance with the Act have been increased signifi-
cantly. The fines in Schedule 1, as increased by the Amendment Act, may have
ecting that steps be taken to prevent the same unfair discrimination or similar
practices.157
________________________
149 Whether one refers to constitutional attack or scrutiny seems irrelevant in this context, see also Smit
‘Transformative constitutionalism, equity, fairness and the workplace’ in Rönnmar
150 De Vos ‘Constitutional Court: Addressing redress’ Daily Maverick (20 July 2016), available
at http://www.dailymaverick.co.za/opinionista/2016-07-20-constitutional-court-addressing-
redress (accessed on 16 August 2016) at 5.
151 See Sch 1 on maximum permissible fines and ch 4 on turnover thresholds applicable to designated employers
in different sectors.
152 S 42(2) and (3) read with Form EEA8 to source information on the EAP.
153 S 53(5).
154 S 42(4).
155 Ss 59(4); 64A. Maximum fines and total annual turnover thresholds may be amended by the minister to
counter the effects of inflation.
156 S 48(2).
157 Ibid. An award of damages may not exceed the amount set by the minister in terms of s 6(3) of the BCEA.
192
Law@work
The Labour Court has extensive powers in terms of the EEA. 158 These include making an order:
l imposing a fine159 in accordance with Schedule 1 to the Act for contraventions of certain provisions of the EEA;
The Labour Court has exclusive jurisdiction to determine any dispute about the
interpretation or application of the EEA except where the Act provides other-
wise.161
11 State contracts
The EEA requires the minister to keep a register of designated employers who
document.163
In terms of section 53, every designated employer who offers to conclude a
contract with any organ of state for the furnishing of supplies or services to that organ or for the hiring or letting of
anything must comply with Chapters II and III of the Act (dealing with the prohibition of unfair discrimination and
affirmative action). Attached to the employer’s offer must be a certificate which is conclusive evidence that the
employer complies with the relevant provisions of the Act
or a declaration that it complies with the relevant chapters of the Act which,
terms of section 53(4), failure to comply with the relevant provisions of the Act is sufficient grounds for rejecting
any offer to conclude an agreement or for
________________________
158 S 50.
159 S 50(5). The fine is payable into the National Revenue Fund in terms of s 213 of the Constitution.
160 S 50(1)(h). This review wil be conducted in terms of the Promotion of Administrative Justice Act 3 of 2000.
161 S 49.
162 S 41(1).
provisions of the Act or with both those provisions and the affirmative action
provisions.
In addition, the minister may in a code of good practice ‘set out factors that
must be taken into account by any person assessing whether an employer com-
plies with Chapter II or Chapter III’ of the EEA in relation to state contracts.164
Section 53 dealing with a code (which has so far not been operative), will soon
________________________
164 S 53(5).
Page
1 Introduction
....................................................................................................
197
1.1 Historical overview of the concept of unfair labour practice .......... 197
1.2 Codification of unfair labour practices in the current LRA ............... 198
1.2.1 The definition of ‘unfair labour practice’ in section 186(2) .... 198
1.2.3 Only employees can claim an unfair labour practice .......... 199
1.2.5 Is the list of unfair labour practices a closed list? .................... 201
1.3 The interplay between the Constitution and the LRA ....................... 203
2 Promotion
.......................................................................................................
203
3 Demotion
........................................................................................................
206
4 Probation
........................................................................................................
207
5 Training
............................................................................................................
209
6 Benefits
............................................................................................................
210
7.1
Suspension
..............................................................................................
215
9.1
Introduction
............................................................................................
222
9.2
Key
concepts
.........................................................................................
223
9.2.1
Occupational
detriment
...........................................................
224
9.2.2
Disclosure.....................................................................................
224
9.2.3
Protected
disclosure
..................................................................
225
197
1 Introduction
Prior to 1979, no legal recourse was available against unfair labour practices in any form. Lawfulness and fairness
do not always sit comfortably together, and
was only after the introduction of the statutory concept of the unfair labour practice that the courts began to
develop a labour jurisprudence based on equity
and fairness. By 1994 the concept had become sufficiently well-established for
the right to fair labour practices to be included in the interim Constitution. The current ‘residual’ unfair labour
practices were introduced into the LRA in 1995,
and the guarantee that ‘everyone has the right to fair labour practices’ was
The original definition of unfair labour practice2 in section 1 of the 1956 LRA defined an unfair labour practice
widely as any labour practice which in the
opinion of the Industrial Court, was an unfair labour practice.3 For the first time,
the courts were tasked with looking at not only the lawfulness of the conduct of
employers and employees but also the fairness of that conduct. The only guide-
lines given to the court by this very broad and open-ended definition were that
there must be a labour practice and that the practice must, in the opinion of
The original definition of ‘unfair labour practice’ was amended in 1982.4 The
definition was to form the foundation for the unfair labour practice jurispru-
Unfair labour practice means any act or omission, other than a strike or a lock-out, which has the effect that –
(i) any employee or class of employees is or may be unfairly affected or that his or their employment opportunities,
work security is or may be prejudiced or
jeopardised thereby;
(iv) the labour relationship between employer and employee is or may be detri-
________________________
1 The LRA, the BCEA and the EEA were enacted, in part, to give legislative effect to this constitutional right. See
ch 3.
2 See Le Roux and Van Niekerk The South African Law of Unfair Dismissal (1994) at 1–2. The authors submit: ‘In
what might constitute one of the supreme ironies of apartheid, it would seem that the legislation which gave rise to
the law of unfair dismissal in South Africa was enacted with the underlying purpose of protecting the job security
of Whites in the face of the abolition of job reservation’.
3 A quick reading of the constitutional right of everyone ‘to fair labour practices’ in s 23
would seem to be equally wide and subject to interpretation – this time by the Constitutional Court.
4 The definition was amended by the Industrial Relations Amendment Act 95 of 1982.
198
Law@work
Both the original and amended definitions were broad enough to encompass
individual and collective labour practices. There must have been unfair con-
an employer and employee(s). Significantly, the definition of ‘unfair labour practice’ applied to both employees
and employers: an employee was also capable
excluded from the ambit of the definition, but other collective labour law prac-
The main focus was on the unfairness of the act or omission and the effect
in this sense was thought to be conduct that was arbitrary and inconsistent. The
negative effect that the conduct may have on the business of the employer, or
the possibility of creating or promoting labour unrest. Some of the practices that were held to fall within the
original definition of an ‘unfair labour practice’ included the following: dismissals that were substantively unfair
or had a pro-
cedural flaw; a failure to renew a fixed-term contract; the dismissal of strikers during a lawful strike; selective re-
employment; and discrimination and victimisation for trade union activities.
codified some of the jurisprudence that had emerged from the Industrial Court’s
interpretation of it. Many of the unfair practices mentioned above have been
codified in various other sections of the LRA (for example, unfair dismissal) and as such, continue to be viewed as
unfair conduct but no longer fall under the
definition of an ‘unfair labour practice’. Consistent with the voluntarist nature of the statute, 5 the definition
excludes any conduct relating to the process of collective bargaining and is limited to individual employment
relationships.
This chapter is primarily concerned with the current definition of unfair labour
(2) ‘Unfair labour practice’ means any unfair act or omission that arises between an employer and an employee
involving –
fits to an employee;
________________________
5 See ch 1 above.
199
The definition requires that there is a labour practice that arises between an employer and an employee, and that
the conduct (whether an act or omission) is
unfair. The specific unfair labour practices in paragraphs (a) to (d) all occur during the currency of employment. 7
Unlike the EEA, the definition of ‘employee’ in
this instance does not extend to applicants for employment.8 When an employee is an applicant for a job, usually
when seeking promotion with the exist-
Sections 186(2)(a) to (d) define unfair labour practices by reference to employer acts or omissions. It is, therefore,
only an employee who may be the victim of an unfair labour practice as defined in the LRA. 10
In NEWU v CCMA & others,11 the scope of the definition was considered. The employer, a trade union, referred a
dispute about an unfair labour practice to
the CCMA. The employee (a union official) had resigned without giving notice
and the employer claimed that this was an unfair labour practice. The CCMA
found that it lacked jurisdiction as the definition did not allow for it to determine an unfair labour practice
committed by an employee. The Labour Court was
view of the fact that section 23(1) of the Constitution enshrined the right of
‘everyone’ to fair labour practices. The court held that the unfair conduct of the employee could conceivably
breach the employer’s constitutional right to fair
labour practices. It was held, however, that the employer had other remedies
at its disposal and since the LRA was not required to regulate unfair labour
________________________
7 The reference to selective re-employment in s 186(2)(c) indicates that former employees are covered at least for
the purposes of that paragraph.
8 S 9 of the EEA.
10 See Pretorius & another v Transnet Pension Fund & others [2018] 7 BLLR 633 (CC) where the Constiutional
Court suggested that a person not defined as an employee in the LRA but engaged in an employee-employer
relationship, may rely on such relationship with regard to the constitutional right to fair labour practices. The court
held that ‘Contemporary labour trends highlight the need to take a broad view of fair labour practice rights in
section 23(1). . . . More and more people find themselves in the “twilight zone” of employment as supposed
‘independent contractors’ in time-based employment subject to faceless
multinational companies who may operate from a web presence. . . . Though the facts of this case do not involve
these considerations, they provide a compelling basis not to restrict the protection of section 23 to only those who
have contracts of employment’ (at para 48).
200
Law@work
practices comprehensively, and as the conduct of the employer was not em-
braced by the statutory definition of unfair labour practices, the failure to in-
The identity of the employer may be an issue in unfair labour practice claims.
In MEC for Transport: KwaZulu-Natal & others v Jele, 12 an employee in one pro-
ment. In response to the employee’s allegation that the employer had commit-
ted an unfair labour practice, the employer argued that there was no existing
had applied for the post, and therefore there could be no unfair labour prac-
tice. The Labour Appeal Court disagreed, holding that the state is a single em-
ployer, irrespective of the department in which the employee works. The court
held that for the purposes of the unfair labour practice definition the employer
Although there is no definition of ‘labour practice’ in the LRA, it is necessary at least that the practice must arise
within the employment relationship. Protection does not therefore extend to independent contractors.
can be interpreted as a single act or omission. The fact that there must have
been an act or omission indicates further that the conduct must actually have
future.
Significantly, the labour practice must in some way relate to the specific forms
of conduct that the Act has designated as unfair labour practices in paragraphs
(a) to (d).
From the terms of the definition, it seems that specific unfair labour practices
mentioned in paragraphs (a) to (d) are a numerus clausus and that the list is closed. In particular, the use of the
word ‘involving’ in the preamble to the definition (rather than the word ‘including’) would suggest that the list is
limited to those practices specifically mentioned.
In Schoeman v Samsung Electronics SA ( Pty) Ltd13 a sales executive was not allowed to return to work when she
refused to accept a reduction in the commission she had been earning. The employer allegedly had good
operational
reasons for locking her out. The case examined various issues such as whether
one employee could be locked out and whether the commission earned was
a benefit. For present purposes, however, we are concerned with the court’s
________________________
201
finding on whether section 186(2) contained a closed list of unfair labour prac-
If the list of unfair labour practices is exhaustive, the question that must be
asked is whether this amounts to a limitation of the constitutional right to fair labour practices contained in section
23(1) of the Constitution (where the right
appears to be unlimited) and if so, whether the limitation that the definition
titled to rely directly on the Constitution to enforce a right to fair labour practices. Public-sector employees have
been successful in placing direct reliance
on the Constitution to challenge practices not covered by the LRA, for ex-
ample, the transfer of an employee.15 It has also been suggested that the con-
stitutional notion of the right to fair labour practices may include the unfair
wider in scope than the unfair labour practice as defined in the LRA. This could
result in a constitutional challenge if the limitation is found not to be justifiable in an open and democratic society
based on human dignity, equality and free-
dom.17
in so far as the definition of ‘unfair labour practice’ is confined to persons in formal employment, there may be a
compelling basis not to restrict the protection of section 23 of the Constitution to the same class of persons,
particularly given the changed nature of work relations.
1.2.6 Disputes of right and disputes of interest
One of the controversial issues surrounding the statutory unfair labour practices in section 186(2) is whether a
dispute about an unfair labour practice is a dispute of right or interest. Section 191 of the LRA states that if a
dispute about an unfair labour practice remains unresolved after conciliation, the CCMA or a
bargaining council with jurisdiction must arbitrate the matter. This suggests that conceptually at least, an unfair
labour practice in terms of section 186(2) would be classified as a dispute of right. 19
________________________
14 See Govender v Dennis Port ( Pty) Ltd (2005) 26 ILJ 2239 (CCMA) in which an employee was put on short
time. The arbitrator referred to s 23(1) of the Constitution and held, on the basis of the constitutional right and the
judgment in NEHAWU v University of Cape Town & others (2003) 24 ILJ 95 (CC), that the list was not closed.
This approach has, however, been criticised.
15 See Simela & others v MEC for Education, Province of the Eastern Cape & another [2001] 9
17 S 36 of the Constitution. See also the discussion in ch 3, para 5 ‘Limitation of rights’ above.
18 Fn 10.
19 See further the general discussion of disputes in ch 17 and, in particular, the caution against the loose use of the
terms ‘disputes of right’ and ‘disputes of interest’ in the context of dispute resolution under the LRA. All interest
disputes constitute disputes about matters of mutual interest but the converse is not necessarily true. At issue here,
however, is whether an employee can rely on the unfair labour practice jurisdiction to establish a new right.
202
Law@work
This debate must be appreciated in the context of the limitation on the right
to strike contained in section 65(1)(c) of the LRA. This section states that no person ‘may take part in a strike or a
lock-out or in any conduct in contemplation
or furtherance of a strike or lock-out if . . . the issue in dispute is one that the party has the right to refer to
arbitration or to the Labour Court in terms of this Act’. In other words, the broader the scope of the unfair labour
practice definition, the narrower the scope of the right to strike. This demarcation is an issue in unfair labour
practice disputes that relate to a benefit as part of an employee’s remuneration package. In this context, if the net of
the definition of unfair
labour practice is cast too wide, the scope of the right to strike would be un-
acceptably narrowed. This explains why the CCMA and the Labour Court have
always been cautious to limit the scope of application of the definition of unfair labour practice and to avoid
creating rights as between the parties that should
In HOSPERSA & another v Northern Cape Provincial Administration 21 the issue was whether an employee, a
nurse, who had been appointed to a more senior
mitted an unfair labour practice by not paying the nurse for this period. On
review, both the Labour Court and the Labour Appeal Court held that the em-
ployee had failed to prove that she was entitled, as a right, to the higher salary.
The Labour Appeal Court reasoned that an unfair labour practice dispute was
adispute of right and as such the right may only arise either ex lege or ex contractu. The court held that if the right
to the extra remuneration was not part of a contract, collective agreement or statute, then the dispute was over the
dispute of interest. 22
In Gauteng Provinsiale Administrasie v Scheepers & others 23 the Labour Appeal Court held that an ‘unfair
labour practice, as traditionally understood,
involved the infringement of a right; that the right . . . was judicially created pursuant to powers given to the
Industrial Court by statute, and not by contract
In Protekon ( Pty) Ltd v CCMA & others25 the employer and its predecessor had
________________________
20 The Labour Relations Amendment Act of 2014 extends the s 65(1)(c) limitation to disputes that ‘in terms of
this Act or any other employment law’ may be referred to arbitration or to the Labour Court.
21 (2000) 21 ILJ 1066 (LAC). See also Gauteng Provinsiale Administrasie v Scheepers & others (2000) 21 ILJ
1305 (LAC).
23 Fn 21.
24 Fn 21 at para 11.
203
the employees concerned. The respondent had received the concession for 19
years and was not happy to forfeit it. He claimed that the increase was not
adequate compensation for the loss of the benefit.26 Todd AJ held that both collective bargaining and the unfair
labour practice definition were available to disaffected employees: ‘Where disputes over benefits are concerned . .
. there
can be little objection to workers choosing to tackle the employer in the collective bargaining arena rather than
trying to demonstrate unfairness in the sense
contemplated in the unfair labour practice definition’.27 The court examined the
decision in HOSPERSA and suggested that what the Labour Appeal Court had
The unfair labour practice jurisdiction cannot be used to assert an entitlement to new benefits, to new forms of
remuneration or to new policies not previously provided by the employer. To permit that would allow an employee
to use the unfair
the parties.28
The relationship between the constitutional right in section 23(1) and the pro-
vision in section 186(2) of the LRA relating to unfair labour practice is a controversial issue. General issues of
jurisdiction have been discussed elsewhere in the book. 29 It suffices here to refer to NAPTOSA & others v
Minister of Education, Western Cape Government & others30 where the High Court held that direct
cause such a course of action would lead to two streams of jurisprudence. The
ment.31 In other words, when a litigant asserts that a legislative provision that seeks to give expression to the right
to fair labour practices falls short of meeting the constitutional promise, the legislation cannot be ignored: it should
be challenged constitutionally. 32
2 Promotion
employee must first prove that the employer refused to promote him or her. This
requirement has proved problematic in cases where the employee has applied
________________________
27 Fn 25 at para 25.
28 Ibid at para 32. See the further discussion on this case at para 6 ‘Benefits’ below.
29 See ch 17 below.
30 (2001) 22 ILJ 889 (C). See also Du Toit, Godfrey, Cooper, Giles, Cohen, Conradie and Steenkamp Labour
Relations Law: A Comprehensive Guide (2015) at 539–545.
31 Ibid at 894–897. See also Moloka v Greater Johannesburg Metropolitan Council (2005) 26
32 SA National Defence Union v Minister of Defence & others [2007] 9 BLLR 785 (CC).
204
Law@work
for another position with the same employer, usually with a higher status.33 When employees have acted in a
position but are not substantively appointed to the
post, the dispute may also fall within the scope of section 186(2)(a). 34 Similarly, failure to appoint a temporary
employee to a permanent position may qualify
that expectation by failing to promote the employee, there is authority35 to the effect that the employee concerned
may refer a dispute about an unfair
Having proved that the employer refused to promote him or her, the em-
ployee must then prove that the act or omission complained of was unfair.
In Dlamini v Toyota SA Manufacturing37 it was held that where an employer failed to appoint an employee to a
promotional position the CCMA or courts
the absence of gross unreasonableness which may lead the court or CCMA to
not falls within management prerogative and the employer’s exercise of its dis-
cretion to promote is only reviewable if it was seriously flawed. 38 The employer must act in good faith, apply its
mind to the selection, and supply reasons for its decision. Employees must show that they possess the attributes
and skills necessary for the position and that the person promoted does not possess the same.
________________________
33 In MEC for Transport: KwaZulu-Natal & others v Jele (fn 12) it was held that an unsuccessful application by a
public-sector employee for appointment to a higher position in another department could, for the purposes of s
186(2)(a), constitute a dispute about a promotion. See also Health & other Service Personnel Trade Union of SA &
another v Public Health & Welfare Sectoral Bargaining Council & others [2014] JOL 31963 (LC).
34 Visser v Vodacom [2002] 10 BALR 1031 (AMSSA); Van Blerk and Tshwane University of Technology (2012)
33 ILJ 1248 (CCMA); Jantjies and Barloworld Handling (2013) 34 ILJ 2165
(BCA). See also Peteni and SA Police Service & another (2013) 34 ILJ 228 (BCA); Police & Prisons Civil Rights
Union obo Dhanarajan and SA Police Service & others (2013) 34 ILJ 235
(BCA) where the applicants were granted protective promotion.
35 See Salstaff obo Nel v Spoornet [1999] 4 BALR 524 (IMSSA); Eskom v Marshall & others (2002) 23 ILJ 2251
(LC).
36 This was confirmed by the award in Kruger v SA Police Service (2003) 24 ILJ 477 (BCA). The case concerned
the failure of the employer to promote a White female police officer to a
‘designated’ post. The applicant was the best candidate, but the SAPS contended that White females were already
over-represented in its employ. The arbitrator held that by inviting applications for the post without indicating such
restriction, the employer was creating a reasonable expectation of promotion on the part of the best candidate and
that the failure to promote was thus unfair. In Gebhardt v Education Labour Relations Council
& others (2013) 34 ILJ 1183 (LC), the employer’s failure to verify the applicant’s disability after she had alleged
that she was a member of a designated group, a decision that resulted in the promotion of another person from a
designated group, was held to constitute an unfair labour practice. See also Ramoroka and Robben Island Museum
(2012) 33
ILJ 400 (CCMA) and Van Blerk and Tshwane University of Technology (fn 34).
38 Westraat v SA Police Service (2003) 24 ILJ 1197 (BCA); Ncane v Lyster NO & others (2017) 38 ILJ 907 (LAC)
which stated that an employer must abide by its own promotion criteria.
205
section 186(2)(a) does not require this. Where the employer is unable to justify its decision, the failure to promote
may be found unfair. The fact that an employee
committee does not as such prove unfair or arbitrary conduct on the side of the
employer. 39
Rycroft has summarised the principles that emerge from Dlamini40 that could
l The legislature did not intend, in drafting the unfair labour practice provision, that arbitrators should assume the
roles of employment agencies. A commissioner’s function is ‘not to ensure that employers choose the best or most
worthy candidates for promotion, but to ensure that, when selecting em-
l When it appears that the ‘best’ or ‘most worthy’ candidate was not pro-
deciding disputes relating to promotion, with the reasons why the employer
the decision not to promote the employee that is of concern. Therefore, ‘the
________________________
39 PSA obo Dalton & another v Department of Public Works [1998] 9 BALR 1177 (CCMA). See, however,
Health & Other Service Personnel Trade Union of SA & others v MEC for Health, Eastern Cape & others (2017)
38 ILJ 890 (LAC) where it was found that the respondent failed to justify its departure from the requirements set
for the post as advertised, namely registration at the Health Professions Council – and not the Nursing Council –
and that such deviation prejudiced the applicants who applied as well as potential candidates and constituted an
unfair labour practice.
40 Fn 37 at 1517–1518.
41 See also SAPS v Safety & Security Bargaining Council [2010] 8 BLLR 892 (LC) at para 15.
Basson J examined the merits of review in a case of promotion or lack of promotion and concluded that the
‘decision to promote or not to promote falls within the management prerogative of the employer . . . the court or
arbitrator should not readily interfere with the exercise of discretion. . . . The commissioner or arbitrator is not the
employer. The role of the commissioner is to oversee that the employer did not act unfairly towards the candidate
that was not promoted’.
42 See also Cullen and Distell ( Pty) Ltd (2001) 10 CCMA 6.9.3; SAPS v Safety & Security Bargaining Council (fn
41) at para 15.
43 See Minister of Safety and Security v Safety and Security Sectoral Bargaining Council & others [2010] 4 BLLR
428 (LC) in which the court held that in a situation where the selection panel recommended a candidate who
achieved lower scores than an unsuccessful
candidate the employer committed an unfair labour practice if it failed to advance the reasons for the appointment.
206
Law@work
date for promotion are relevant only in so far as they shed light on the fair-
In the recent case of Solidarity & others v Department of Correctional Services & others45 the Constitutional
Court found that Black candidates, whether they are
African, Coloured or Indian, are also subject to the so-called Barnard principle, namely that promotion may be
refused to White people who are already over-represented at a specific occupational level, and that this applies
equally to
Section 186(2)(a) also brings unfair conduct by the employer relating to the de-
motion of an employee under the definition of an unfair labour practice. As is the case with disputes about
promotions, an employee who refers a dispute about
an alleged demotion must prove the fact of demotion as well as its unfairness.
the loss of benefits or a diminution in the employee’s status.47 In other words, not
ment of Correctional Services & others,48 the court held that the ‘transfer’ of the employee in fact constituted a
demotion in that the employee’s prestige, status
and duties in the ‘transferred’ position were considerably inferior to those of his previous position. Similarly, in SA
Police Service v Salukazana & others,49 ‘transfer’
tion in status and responsibilities, was found to amount to ‘demotion’ and thus
constituted an unfair labour practice. In other words, the challenge to the trans-
fer was not a challenge to the transfer itself but to its consequences.50
the university (after the merger of two universities to form a single new entity) failed to appoint a dean from one of
the merged universities to the post of
________________________
44 Ibid at paras 23–24. See also Manana v Department of Labour & others [2010] 6 BLLR 664
(LC); Minister of Safety and Security v Safety and Security Sectoral Bargaining Council & others (fn 41); SA
Police Union obo Buckus and SA Police Services (2012) 33 ILJ 2755 (BCA) in which the employers failed to
comply with their selection policy.
45 (2016) 37 ILJ 1995 (CC). The Constitutional Court held further that targets in employment equity plans will not
constitute quotas where the plan provides for deviations from the target. See also ch 7 above.
47 It was also held that the employer is under an obligation to consult, and perhaps even to negotiate, with an
employee before effecting a demotion.
48 (2008) 29 ILJ 2708 (LAC). See also para 7.2 ‘Other disciplinary action’.
50 At para 23.
51 (2006) 27 ILJ 2174 (CCMA).
207
dean in the ‘new’ entity. The former dean raised a complaint that he had held
that position on a five-year contract and that failure to appoint him to a similar post in the new university
amounted to a demotion and ultimately to an unfair
transferred, and posts in the new entity, which could only be created by the new
by the new council and its failure to do so amounted to an unfair labour practice.
employee is found guilty of serious misconduct) after a fair procedure has been
of the employee’s incapacity, ‘demotion’ may also be fair. The employer will,
4 Probation
The 2002 amendments to the LRA brought unfair conduct by the employer re-
At present, the Code of Good Practice: Dismissal (the ‘code’) regulates the
position of probationary employees.53 This discussion will thus centre on the code’s provisions. These provisions
arguably provide the most obvious grounds
for an employee’s allegation of an unfair labour practice by the employer in this context.
The code – in line with ILO guidelines which permit a probationary period of
reasonable duration with the aim to prevent the employer from being saddled
bation before the appointment of the employee is confirmed. 55 The purpose of ________________________
52 See ch 6 above.
53 Item 8 of Sch 8.
54 The code does not explicitly provide that a probationary period may be used for employees who have been
promoted into positions at the same employer (see ch 6 above where it is argued that there is no reason why this
may not be done). In this regard, the decision in
Msomi v Protea Security Services [2004] 3 BALR 360 (CCMA) which held that item 8(1)(a) applied to newly
hired employees only, is arguable. It is not clear, however, whether an employee promoted into a position and then
found to be unsuitable may be dismissed, or whether he or she may be required to take up his or her original
position.
55 Item 8(1)(a) of the code. See Tharatt v Volume Injection Products ( Pty) Ltd [2005] 6 BALR 652
(MEIBC) where the validity of a probationary clause was considered. The employee’s original letter of
appointment did not contain a probationary clause but the contract which the applicant was required to sign on
commencing work, established a three-month probationary period which was later extended for a month after
which the employee was dismissed.
The dismissal was found to be substantively and procedurally unfair as the respondent had not proven that the
reason for the dismissal was a fair reason relating to the applicant’s capacity, and the respondent had not followed
a fair procedure. See ch 9 below.
208
Law@work
not be used for purposes not contemplated by the code, and, particularly, to
code cites as an example the practice of dismissing employees who have com-
pleted a probationary period and replacing them with newly hired employees –
this would be inconsistent with the purpose of probation and would constitute
The code states that the probationary period should be determined in ad-
circumstances of the job, and in particular the nature of the job and the time it
code thus does not provide hard and fast rules with regard to a period of pro-
bation. By way of example, however, a simple job with few required skills will
need a shorter period than a high profile job with specific skills. Thus a period of months or even a year may be
suitable for professionals but not for clerical workers or messengers.
The code further sets out both procedural as well as substantive requirements
standard, the employer should advise the employee of any aspects in which
the employee is failing to meet the required standards.60 If the employer finds the
The employer may then elect either to extend the probationary period for the
ployee. The period may be extended only for a reason that relates to the pur-
to evaluate the employee’s work performance.62 Any extension should not be ________________________
61 Ibid.
62 See Cape Performing Arts Board v Schuster (1994) 15 ILJ 109 (LAC) (decided prior to the current LRA and
code). In this case the respondent accepted the position of principal trumpet in an orchestra for a six-month trial
period which was extended for a further six-month period. The second trial period was sufficiently successful for
the respondent to be offered the position of principal trumpet for a year. Towards the end of this year the
respondent was informed that he would not be offered a permanent position for reasons relating to musical skills.
The LAC found that the respondent was effectively kept in the ‘precarious’ position of a probationary employee
for two years and that the appellant had not followed any of the stipulated procedures in coming to a decision to
terminate and that this was an unfair labour practice. See also Yeni v South African Broadcasting Corporation
[1997] 11 BLLR 1531
209
suitability for continued employment.63 A dismissal or an extension may only occur after due consideration of the
representations made by the employee. 64
A trade union representative or co-employee may also make representations
period or to dismiss the employee, it must advise the employee of the right to
If the employer elects to dismiss the employee, the code states that ‘less com-
pelling’ reasons may be accepted than would be the case had the dismissal
been effected after the completion of the probationary period. This implies that
the hurdle for substantive fairness in disputes about the dismissal of probationary employees for poor work
performance is at a lower level than for the dismissal
5 Training
Section 186(2)(a) includes unfair conduct by the employer relating to the train-
Claims for unfair labour practices relating to training may arise in the context
of the following:
l a contract of employment;
l a collective agreement;
trained; 67
l the SDA68 which helps disadvantaged South Africans overcome the conse-
tices; or
skills.69
In Maritime Industries Trade Union of SA & others v Transnet Ltd & others, 70 the
court held that an unfair labour practice with regard to training can be estab-
lished where an employer has acted inconsistently, arbitrarily or irrationally with ________________________
64 Item 8(1)(h) of the code. While a formal disciplinary inquiry is thus not necessary, employers and employees
may arguably agree to stricter procedural measures.
65 Item 8(1)(i) of the code.
66 See ch 9 below.
67 See Maritime Industries Trade Union of SA & others v Transnet Ltd & others (2002) 23 ILJ
2213 (LAC); National Union of Mineworkers on behalf of Mashao & others and Eskom Holdings SOC Ltd (
Generation Division, Koeberg Operating Unit) (2014) 35 ILJ 290 (CCMA).
68 Act 97 of 1998.
70 Fn 67.
210
Law@work
regard to training issues.71 Similarly, in Mdluli v SA Police Service 72 the court stated
that for unfair labour practices relating to training, the conduct of the employer in this regard must be arbitrary,
inconsistent or lack due process. 73 In this instance, the employer removed the employee from a training course
(which
and the employer was ordered to re-nominate the employee for training.
STCW), which arose from a contractual obligation, and the respondent’s substi-
tution of the STCW qualification with an inferior certificate of its own, without any negotiations with the
employees, were found to constitute unfair labour practices. The commissioner ordered the respondent to provide
the applicants with
In contrast, when this decision was reviewed by the Labour Court in Transnet
Ltd v CCMA & others, 75 Jammy AJ held that the employer’s refusal to train in
but rather to a unilateral change to the contractual terms. As such, the dispute
was one of interest and not arbitrable under the LRA. It was held that for an employer’s conduct relating to
training to constitute an unfair labour practice, it must embody characteristics directly associated therewith such as,
inconsistency, arbitrariness or a lack of due process.
In SARHWU/Transtel, 76 the employer’s failure to embark on an accelerated training programme agreed upon at a
meeting for the appointment of certain
6 Benefits
Precisely what constitutes a ‘benefit’ for the purposes of the definition of unfair labour practice is a question that
has troubled the courts for many years. In
SACCAWU v Garden Route Chalets ( Pty) Ltd78 benefits were said to include ‘all the rights which accrue to an
employee by virtue of the employment relationship
– from wages through to additional matters like pension, medical aid, housing
________________________
71 Fn 67 at 2247B.
73 At 1188I.
75 [2001] 6 BLLR 684 (LC). The Labour Appeal Court dismissed an appeal against the decision but set aside the
commissioner’s award on different grounds (see MITUSA & others v Transnet Ltd & others [2002] 11 BLLR 1023
(LAC)).
77 At 225G.
211
subsidies and so on’79 and the commissioner held that inequality in the provision of transport to and from work
would be an unfair labour practice.
The labour courts, on the other hand, initially opted to give ‘benefits’ a narrow meaning and held that a ‘benefit’
was something other than remuneration.
or both in money and in kind, made or owing to any person in return for that
person working for any other person, including the State, and ‘remunerate’ has
a corresponding meaning’. 80
In Schoeman v Samsung Electronics SA ( Pty) Ltd81 the Labour Court held that
commission claimed by the applicant was not a ‘benefit’ but was part of the
employee’s salary. The court held further that a benefit ‘is something extra,
186(2)(a). In Gaylard v Telkom SA Ltd83 the Labour Court found that payment for accumulated leave was not a
benefit but rather part of ‘remuneration’. The
court again chose to interpret ‘benefits’ narrowly to avoid limiting the right
to strike over wages and other disputes of interest. The court held that ‘If the
right in terms of the employment contract, even wages, item 2(1)(b) would all
but preclude strikes and lock-outs’. 84 A benefit has been described as something constituting a material benefit
such as a pension, medical aid benefit or a
housing subsidy.85 A benefit should provide the employee with a financial benefit at a cost to the employer and
the benefit should arise out of the contract
itself. 86
The issue of whether a benefit must arise out of the contract was addressed in
and once again a narrow interpretation was given. The HOSPERSA case was discussed earlier in the introduction
to unfair labour practices. 88 The claim by
a nursing sister for additional remuneration for acting in the position of a matron was held not to be a benefit but
rather a salary or wage issue that was
cussed previously, held in HOSPERSA that a benefit must arise ex contractu or ex lege.89
________________________
79 Ibid.
81 Fn 13.
82 At 1102G–1103A. See Protekon (fn 25) at paras 18–19 where Todd AJ suggests that the Labour Court went too
far in stating that a benefit is ‘something extra, apart from remuneration’.
84 At para 22. See the discussion at para 1.2.6 ‘Disputes of right and disputes of interest’.
86 At para 47.
89 Fn 21 at para 9.
212
Law@work
The HOSPERSA case did not distinguish neatly between remuneration and
benefits and therefore did not really clarify what is meant by a benefit for the
purposes of section 186(2)(a). In the Protekon case, on the other hand, Todd AJ
found that ‘there is little doubt that remuneration in its statutory sense (as defined in the LRA) is broad enough to
encompass many forms of payment to
[t]here is no closed list of employment benefits that fall within what is contem-
plated in section 186(2)(a). But there can be little doubt that most pension, medical aid and similar schemes fall
within the scope of that term. This is so despite the fact that employer contributions to such schemes fall within the
statutory definition
of remuneration.91
ment’ and goes on to reason that the ‘question is therefore not whether the
benefit is apart or not from remuneration, but whether the issue in dispute con-
or whether ‘the issue in dispute is the fairness of the employer’s conduct’. The
In Protekon, the court pointed out that where disputes over benefits are concerned, it seems that ‘there can be little
objection to workers choosing to tackle the employer in the collective bargaining arena rather than trying to
demonstrate unfairness in the sense contemplated in the unfair labour practice defin-
ition. The LRA does not appear to preclude them from doing both at the same
time’. 93
others94 questioned the decision in HOSPERSA that only those rights that arose out of contract or from the law
could be benefits and argued that ‘[i]f that
were so, the provision would have been redundant since such rights would
have been enforceable in the absence of item 2(1)(b)’. The judge suggested
that the legislature intended rather to create a statutory right to fair treatment where the provision of benefits was
concerned. In Protekon, the court agreed with this assertion. 95
Todd AJ also examined the nature of employer discretion, particularly in benefit
schemes, such as pension funds and medical aid schemes, and where ‘the em-
________________________
91 Fn 25 at para 20. See also Younghusband v Deca Contractors ( SA) Pension Fund and its Trustees (1999) 20
ILJ 1640 (PFA) at 1657I–1658E.
93 Protekon (fn 25) at para 25. See also Le Roux (fn 92) at 61–62: ‘While it is correct that the LRA does not
preclude an all-out offensive of this nature, it is in contrast with the judge’s earlier comments that employees have
a choice between the two routes’.
213
the employee or a third party in return for services rendered by the employee’.
Employer obligations are typically regulated by separate policies or rules. In many instances the employer enjoys a
range of discretionary powers in terms of those
policies or rules. The legislature has clearly considered it necessary to regulate employer conduct in those
circumstances by superimposing a duty of fairness irrespective of whether that duty exists expressly or impliedly
in the contractual provisions that establish the benefit.
Without detracting from the wider approach to ‘benefits’, the court also dis-
cussed in some detail the fact that a dispute dealing with the fairness of the
Le Roux, in her analysis of the Protekon case, generally comes out in favour of the judgment as adopting a more
meaningful approach to the question of
In Mputle and Neotel ( Pty) Ltd99 the employee’s performance rating was mod-
erated so that she did not get a bonus or a salary increase. The arbitrator held
that the employer failed to comply with its own policy regarding performance rating (by implication also the
provision of ‘benefits’, namely the bonus and
salary increase) and the conduct was therefore procedurally unfair.
The Labour Appeal Court has had an opportunity to provide clarity on the
definition of benefit. In Apollo Tyres South Africa ( Pty) Ltd v Commission for Conciliation, Mediation and
Arbitration & others100 the commissioner and the Labour
________________________
96 Protekon (fn 25) at paras 34–35. See also Cheadle ‘Regulated Flexibility: Revisiting the LRA and the BCEA’
(2006) 27 ILJ 663 where he suggests that what is at stake in the concept of the unfair labour practice is judicial
regulation of the exercise of employer power.
Cheadle states that not all employer powers have been enumerated in s 186(2) and that it is unclear what the policy
considerations were behind including some powers but not others (at para 41). Cheadle argues further that ‘[i]t is
not that I believe that employers should not act fairly but that the mechanism for ensuring fairness should not be
judicial review but collective bargaining and structured worker participation. In other words the constitutional
imperative for fair labour practices is sometimes set as standards and other times achieved through structures of
social dialogue’ (at para 43).
97 At paras 56–60.
98 Le Roux (fn 92) at 63–64. For an overview of the relevant debate and case law, refer to IMATU obo Verster v
Umhlathuze Municipality [2011] 9 BLLR 882 (LC).
100 [2013] 5 BLLR 434 (LAC). The employer had refused to include the 49-year-old employee in an early-
retirement scheme for employees from the age of 46 to 59 because only employees from the age of 55 were
eligible without any further qualification on grounds of ill health. The court said that ‘the better approach would be
to interpret the term benefit to include a right or entitlement to which the employee is entitled ( ex contractu or ex
lege including rights judicially created) as well as an advantage or privilege which has been offered or granted to
an employee in terms of a policy or practice subject to the employer’s discretion. In my judgment ‘benefit’ in
section 186(2)(a) of the Act means existing advantages or privileges to which an employee is entitled as a right or
granted in terms of a policy or practice subject to the employer’s discretion’ (at para 50). See also Galane and
Green Stone Civils CC [2015] 1 BALR 60 (CCMA) where it was confirmed that the continued on next page
214
Law@work
Court had held that an early-retirement scheme did not constitute a benefit for
the purposes of the definition of unfair labour practice. The Labour Appeal
Court took a different view, namely that a benefit in the context of an unfair
labour practice should be interpreted as including any benefit to which the employee is entitled:
It would seem then that employees who claim that the employer committed an
unfair labour practice by not granting a benefit do not need to prove a right to
the benefit in terms of a contract or otherwise. An employer who denies the
benefit must show that there was a valid reason for excluding the employee
from the benefit. In Apollo Tyres, the employer failed to provide a valid reason why the employee could not be
included in an early-retirement scheme and
may also pursue an unfair labour practice claim based on past practice or
on the terms of that policy. The employer will have to show that it did not act
unfairly.
This approach was followed in United Association of South Africa obo Mem-
bers/De Keur Landgoed ( Edms) Bpk. 101 The commissioner found that free trans-
port to and from work, which transport the employer had provided for 15 years,
practice. 102
Being excluded from a pay progression policy has been found to constitute a
‘benefit’ and thus an unfair labour practice, 103 as was the case with payment for ________________________
employee was neither on short time nor suspended but he was prevented from tendering his services and getting
paid. Being put on indefinite short time could involve a ‘benefit’
in terms of the extended meaning of a benefit in Apollo Tyres. In SA Police Service v Gebashe & others (2016) 36
ILJ 1628 (LAC), the employer’s refusal to upgrade the positions of the employees were held to constitute a
‘benefit’.
101 [2014] 7 BALR 738 (CCMA). See also South African Revenue Services v Ntshintshi & others
[2013] 9 BLLR 923 (LC) regarding the refusal of SARS to pay a travel allowance. In Trans-Caledon Tunnel
Authority v CCMA & others [2013] 9 BLLR 934 (LC) the court held that the CCMA had jurisdiction to entertain a
matter concerning the employer’s refusal to pay the respondent employee a performance bonus.
102 The CCMA ordered the employer to continue the benefit because the long-standing practice of providing it,
the absence of any information making it clear to the employees that the benefit was gratuitous and subject to
removal at the discretion of the employer, and the definite result that removal of the benefit would have of
decreasing the employees’ salary would make such removal an unfair labour practice.
103 Western Cape Gambling & Racing Board v CCMA & others (2015) 36 ILJ 2166 (LC).
Unfair labour practices
215
time off in lieu of a public holiday. 104 Moreover, deductions from an employee’s
accrued leave pay to make up his ‘salary’ while he was at home on standby
(the employee was a pilot waiting to resume his flight duties pending the con-
practice in SA Airways ( Pty) Ltd v Jansen van Vuuren & another. 105 In Konigkramer and National Regulator for
Compulsory Specifications106 it was found
that after a section 197 transfer, the new employer was bound by the terms and
Therefore the employee who acted in a more senior position was entitled to an
acting allowance for the entire period, as the policy did not require the post to be on higher level.
Le Roux has argued that while Apollo Tyres ‘diluted’ the importance of the difference between interest and rights
disputes and between remuneration and
benefits, it did not remove the relevance of contract in the context of unfair labour practices. 107 The approach in
Apollo Tyres was confirmed in South African Airways108 in which the Labour Appeal Court held that in terms of
the de-
cision in Apollo Tyres accumulated leave pay was a benefit. 109 The narrow interpretation in the HOSPERSA case
had limited the definition of a benefit, but following the decisions of the Labour Appeal Court in the Apollo and
South African Airways cases, many more disputes about benefits have come before
The second part of the definition, section 186(2)(b), deals with ‘the unfair sus-
pension of an employee or any other unfair disciplinary action short of dismissal in respect of an employee’.
7.1 Suspension
Suspensions are expressly listed and arguably the most problematic actions
________________________
104 Mawethu Civils ( Pty) Ltd & another v National Union of Mineworkers [2016] 7 BLLR 661
(LAC).
107 Le Roux ‘Benefits: Have We Found the Way Out of the Labyrinth?’ (2015) 36 ILJ 888.
108 Fn 105.
109 See also Aucamp v SARS (2014) 35 ILJ 1217 (LC) in which it was held that a bonus can be a benefit and Thiso
& others v Moodley NO & others (2015) 36 ILJ 1628 (LC) regarding job grading.
110 See Smit & Le Roux ‘Employee “benefits” and the unfair labour practice’ (2015) 24(10) CLL 92 for a detailed
discussion on this topic.
111 See Koka v Director-General: Provincial Administration North West Government [1997] 7
216
Law@work
disciplinary enquiry. 112 In the latter instance, the suspension is effected to allow
completion of such proceedings.113 A suspension pending a disciplinary inquiry is not meant to be punitive as the
allegation of misconduct has not been
proved.114 Both types of suspension fall within the scope of section 186, and an arbitrator may determine the
fairness of such suspensions.
The case law indicates that for a suspension to be considered fair, it is neces-
l the suspension is not to be used to punish the employee (as already men-
tioned above);
l the employee should be informed of the length (which should not be un-
Regarding the last requirement, it has been held that where an employee
to pay such employee from the date of such postponement. 116 On the other
hand, where the period of suspension has been extended due to a lack of
urgency on the part of the employer in conducting its investigation, a solatium has been awarded to the suspended
employee. 117 Although employees who
are suspended are normally entitled to their full pay pending disciplinary action, ________________________
112 See Sajid v Mohamed NO & others [1999] 11 BLLR 1175 (LC); Bagarette & others v Performing Arts Centre
of the Free State & others (2008) 29 ILJ 2907 (LC); Tsietsi v City of Matlosana Local Municipality & another
(2015) 36 ILJ 2158 (LC); Mere v Tswaing Local Municipality & another (2015) 36 ILJ 3094 (LC).
113 As was the case in Phutiyagae v Tswaing Local Municipality [2006] JOL 17477 (LC) where the court stated
that as the applicant had been suspended on full pay and the suspension was necessary to conduct the investigation
into alleged misconduct, the application to have the suspension set aside, had to be dismissed. See Legodi & others
and Northern Cape Provincial Legislature (2012) 33 ILJ 2213 (CCMA) where suspension was found fair because
the senior suspended employees posed a threat to other employees (including that of the intimidation of junior
staff) and property.
114 See PSA obo Matemane v Department of Education, Arts, Culture and Sport [2005] 5
BALR 555 (CCMA); Sibiya and Mhlathuze Water (2008) 29 ILJ 2633 (CCMA); Bessie and University of
KwaZulu-Natal (2013) 34 ILJ 2130 (CCMA); Themba and African Meter Reading (2013) 34 ILJ 2159 (CCMA).
Similarly, a suspension without pay can only be used as a penalty after the employee is found guilty at a
disciplinary enquiry and not pending the enquiry.
115 See Nkosi v Embhuleni Tribal Authority [2007] JOL 19165 (CCMA); Sibiya and Mhlathuze Water (fn 114);
Sappi Forests ( Pty) Ltd v CCMA & others (2009) 30 ILJ 1140 (LC).
116 SAEWA obo members v Aberdare Cables [2007] 2 BALR 106 (MEIBC); Sappi Forests ( Pty)
117 See Daniels and Robben Island Museum (2010) 31 ILJ 1959 (CCMA).
217
A suspension for an unreasonably long period is an unfair labour practice. In Minister of Labour v General Public
Service Sectoral Bargaining Council & others119
employee for a period far in excess of that permitted by the relevant discip-
linary code. The court held that the suspension was unfair. The employee, who
was then Assistant Director: Information Technology, was suspended in 2002. The
However, two years later the suspension was uplifted and he resumed his duties.
Two months after resuming his duties, the employee was again suspended
ruled that the suspension was unfair, and ordered the applicant to uplift it with immediate effect. The applicant
failed to do so and instead convened a disciplinary hearing, called that hearing off, and then launched an
application for
review of the arbitration award. The court could find no reason why the suspen-
sion should not constitute an unfair labour practice. The court’s finding was
granted. 120
Similarly, in Mapulane v Madibeng Local Municipality & another, 121 the em-
ployee had been suspended pending a disciplinary enquiry for months. The sus-
pension was lifted by the Labour Court. Shortly after the employee resumed
was handed a charge sheet and a disciplinary hearing was held. The applicant
(being overseas) was represented by his attorney and the enquiry was post-
poned sine die. The applicant applied to the Labour Court for an order declaring the extended suspension unlawful
on the basis that his contract stated
convened within 60 days, failing which the suspension would lapse, unless the
chairperson of the enquiry extended the suspension. The court found that this
provision did not mean that the suspension could not be extended beyond a
period of 60 days. 122 In Burger and SA Post Office Ltd123 the commissioner found
________________________
118 See Msipho and Plasma Cut [2005] 26 ILJ 2276 (BCA) where it was held that it would be unfair to hold an
employer responsible for an employee’s actions. Further if this were to be the case, employees would find reason
to delay the disciplinary proceedings as it would always be at the employer’s cost.
119 [2007] 5 BLLR 467 (LC). See also Legodi & others and Northern Cape Provincial Legislature (fn 113).
120 In Ngwenya v Premier of KwaZulu-Natal [2001] 8 BLLR 924 (LC), the court held that an employee may not
be kept indefinitely on suspension, even with full pay, pending disciplinary action.
218
Law@work
pension is the employment equivalent of arrest. 124 In this instance the charge
against the employee was extremely vague, did not disclose any misconduct
enquiries have been criticised severely by the courts recently. For example, in
Protracted . . . suspension on full pay pending investigations or disciplinary actions is a prevalent practice,
especially in publicly funded entities. This practice is a sign of weak, indecisive management that cannot diagnose
problems and find solutions efficiently. These inefficiencies impact on both taxpayers and shareholders alike, and
not on the private pockets of the management of public organizations;
consequently, the incentive to finalize investigations and disciplinary procedures is weak. This practice has to stop.
126
The court stated that, apart from inefficiencies by management delaying pro-
isations counter the expeditious dispute resolution system of the LRA. And, while critics are quick to blame the
LRA for delays, closer scrutiny in many cases shows that fault lies ‘mainly in the internal systems of organizations
and the way inves-tigators and managers practice labour law’. Moreover, in public employment,
The court suggested that management and labour would have to find effect-
In Long v SA Breweries (Pty) Ltd 128 the Constitutional Court held that where a suspension is precautionary and
not punitive, there is no requirement to afford
is suspended.129 The court considered that where the suspension is on full pay, any cognisable prejudice to the
employee would be ameliorated. Where a
remains entitled to enforce that right other than by way of a claim of unfair
labour practice.
________________________
128 (2019) 40 ILJ 965 (CC). This despite a significant number of decisions by the Labour Court that
acknowledged the right to some form of hearing or to make representations prior to suspension, usually on the
basis of the application of the audi alteram partem principle.
See eg, HOSPERSA & another v MEC for Health, Gauteng Government (2008) 29 ILJ 2769
(LC); Dince & others v Department of Education North West Province & others (2010) 31
219
Section 186(2)(b) provides that ‘any other unfair disciplinary action short of dismissal in respect of an employee’
may constitute an unfair labour practice.
commonly come across in the case law), transfers, 131 suspensions without pay132
reason of the operational requirements of the business).133 The mere scheduling of a disciplinary enquiry,
however, does not fall within the scope of ‘other discip-
In Chemical, Energy, Paper, Printing, Wood & Allied Workers Union obo Two Members and Leader Packaging135
the applicant employees received final written warnings because they gave false evidence in respect of procedures
for
make out a case that the respondent punished them for merely giving evi-
unfair labour practice within the meaning of ‘other disciplinary action short of
dismissal’. The employer contended that the employees were issued with final
________________________
130 See, eg, NCAWU obo Tobias & others/Pick ’n Pay Family Supermarket [2003] 12 BALR 1413
(CCMA); Chemical, Energy, Paper, Printing, Wood & Allied Workers Union obo Two Members and Leader
Packaging (2005) 26 ILJ 1129 (BCA), the latter which is discussed below; Burger and SA Post Office Ltd (fn
123); Magson Speed Weave Manufacturing ( Pty) Ltd (2009) 30 ILJ 2196 (CCMA); Strategic Liquor Services v
Mvumbi NO & others [2009] 9 BLLR
847 (LC) ; Matsi and JP Hugo Residence CC t/a Hoffe Park Accommodation Centre (2013) 34 ILJ 1018 (CCMA);
National Union of Metalworkers of SA and Transnet SOC Ltd (2016) 37
131 See Perumal v Minister of Safety & Security & others [2001] 8 BLLR 953 (LC); SATAWU obo
Machinini/Fidelity Security Services ( Pty) Ltd [2011] 1 BALR 107 (CCMA); HOSPERSA & another v MEC for
Health, Gauteng Provincial Government [2008] 9 BLLR 861 (LC); Theron v Minister of Correctional Services &
another (2008) 29 ILJ 1275 (LC); Nxele v Chief Deputy Commissioner, Corporate Services, Department of
Correctional Services & others (fn 48); SA Police Service v Salukazana & others (fn 49), all discussed below.
132 See NUMSA obo Fete & Formex Engineering (2003) 24 ILJ 2412 (BCA) where an employee who had already
received a written warning for not achieving production targets, was suspended without pay for failing to achieve
further targets as agreed to in a collective agreement. Such disciplinary action was found not to constitute unfair
conduct by the employer in the circumstances. See also Sibiya and Mhlathuze Water (fn 120); Sappi Forests ( Pty)
Ltd v CCMA & others (fn 114); University of SA v Solidarity obo Marshall & others (2009) 30 ILJ 2146 (LC);
Harley v Bacarac Trading 39 ( Pty) Ltd (2009) 30 ILJ 2085 (LC); Mdamba and Masibambane Recruitment (2009)
30 ILJ 2200 (CCMA); Police & Prisons Civil Rights Union obo Sephanda & another v Provincial Commissioner,
SA Police Service, Gauteng Province & another (2012) 33 ILJ 2110 (LC). In the last-mentioned case the court
found suspension without pay after the disciplinary enquiry had already commenced a
133 See Govender v Dennis Port ( Pty) Ltd (fn 14); Galane and Green Stone Civils CC (fn 100).
134 See IMATU obo Falck & another/City of Cape Town ( Helderberg Administration) [2003] 3
135 Fn 130.
220
Law@work
written warnings for giving false evidence and thus acting dishonestly against
the employer. It was found that although employees were entitled to give evi-
ings, they bore the responsibility of presenting truthful testimony. Where employees lie under oath, an employer
was entitled to take disciplinary steps against
such employees. On the evidence it was found that the respondent had proven
evidence under oath and that the sanction of a final written warning for their
dishonest acts was fair in the circumstances. Such action did not constitute an
warnings for this. The arbitrator held that the employer was entitled to make
unions, establish order and ensure a productive working environment. The final
those relating to transfers. In Perumal v Minister of Safety & Security & others137 it
was confirmed that if employees allege that they were transferred for discip-
linary reasons, such transfers would fall within the scope of section 186(2)(b). In SATAWU obo Machinini/Fidelity
Security Services ( Pty) Ltd138 a transfer which was
not dealt with in terms of an applicable collective agreement has been held to
be unfair.
before he is transferred for reasons relating to misconduct.140 In Nxele v Chief Deputy Commissioner, Corporate
Services, Department of Correctional Services
& others 141 the court found that a transfer of an employee by an employer (without following its own transfer
policy) and which resulted in a loss of the employee’s status, duties and responsibilities, actually constituted a
demotion since the ‘transferred’ position was considerably less than that of his previous position.
Moreover, the employee did not consent to the transfer and he was not able to
legal effect.142
________________________
136 Fn 130.
137 Fn 131.
138 Fn 131.
139 Fn 128.
141 Fn 48.
142 See also Theron v Minister of Correctional Services & another (fn 131), and SA Police Service v Salukazana
& others (fn 49), where in a case similar to Nxele (fn 48), an employee was transferred to another area which led to
a change in his conditions of employment and a reduction in his status and responsibilities. The court held that
such a transfer amounted to a ‘demotion’ and thus constituted an unfair labour practice (at para 23).
Unfair labour practices
221
unfair labour practice claim. However, former employees have a claim under
section 186(2)(c). That section provides that when an employer fails or refuses to reinstate or re-employ a former
employee in terms of any agreement, the failure
or refusal constitutes an unfair labour practice. From the wording of this section it is clear that to establish an
unfair labour practice, five requirements must be satisfied:
l the employer must have failed or refused to reinstate or re-employ the (ex-)
practical. 145
All five requirements will entail factual enquiries, the outcome of which would
depend on the circumstances of each case. It appears that the second broad
ment of:
________________________
143 Agreements to re-employ may take on many forms ranging from a loose informal understanding to a formal
binding agreement – failure to re-employ in the latter circumstances will constitute an unfair labour practice (see
Perumall and Saficon Industrial Equipment ( Pty) Ltd t/a Toyota Forklifts (2011) 32 ILJ 1011 (BCA) at 1021D–E).
144 The operation of an agreement is also dependent on the existence of a suitable vacancy, which in turn depends
on the circumstances of each case (see Perumall and Saficon Industrial Equipment ( Pty) Ltd t/a Toyota Forklifts
(fn 143) at 1021G). Applicants therefore have to show that they are suitably qualified for a specific vacancy (at
1021G–H).
145 It would not be reasonably practical to reinstate an employee years after he or she had been retrenched (see
Perumall and Saficon Industrial Equipment ( Pty) Ltd t/a Toyota Forklifts (fn 143) at 1022B–C). In this case the
applicant conceded that a ‘reasonable sun-set period’ of 6 months would be fair.
146 A mere ‘invitation’ to consult on future re-employment does not constitute an agreement (see Perumall and
Saficon Industrial Equipment ( Pty) Ltd t/a Toyota Forklifts (fn 143) at 1022A).
147 The issue of exact compliance with an agreement came to the fore in NUMSA obo Khanye
& another v Havco Manufacturing ( Pty) Ltd (2003) 24 ILJ 1764 (BCA). In this instance the applicable bargaining
council agreement required the employer to offer retrenched employees (of the preceding 36 months) re-
employment should suitable vacancies occur.
The employer made an offer to re-employ the employees but only for a fixed term and on slightly lower wages
than what they were paid whilst in employment. Although the evidence showed that the employees accepted the
offer, they failed to report for work. The arbitrator found that the employer had discharged its obligations in terms
of the agreement in a fair and proper manner in offering the employees re-employment on those terms.
222
Law@work
SA Commercial Catering & Allied Workers Union obo Afrika & Swartz v Bredasdorp Spar148 illustrates the
situation where the agreement to re-engage was in
guards were dismissed for misconduct. During arbitration proceedings, the par-
ties reached a settlement agreement to the effect that the employer would ‘re-
engage’ the employees with full recognition of past service and two months’
back pay. The employees tendered their services on the date agreed only to
find that they were to be retrenched because the employer has contracted out
its security department. The CCMA held that the employer had complied with
the settlement agreement to re-engage the employees and had thus not com-
mitted an unfair labour practice. The dispute about the justification of the re-
trenchments was found to be a different dispute which the CCMA did not have
In April v Gen-Tech Engineering Services CC149 the agreement to re-engage was contained in a ‘retrenchment
notice’. The applicant, a driver at the respondent company, was dismissed on the basis of operational requirements.
year, the company would investigate the possibility of employment for the
employed another person as a driver. The arbitrator held that the provisions of
the retrenchment notice were binding and that it would have been reasonable
cant. There was no evidence to suggest that the company had attempted to
disclosure
9.1 Introduction
South Africa was no exception and the Protected Disclosures Act (PDA) was
passed in 2000. 150 In South Africa there was no clear common-law or statutory
lar or corrupt activities of their employers. This made statutory intervention desirable. The PDA, focusing as it did
on the employment relationship, necessitated
an amendment to the LRA. The amendments to the LRA in 2002 therefore ex-
tended the definition of an unfair labour practice, in section 186(2), to include an ‘occupational detriment’ (other
than a dismissal) and made any dismissal in
________________________
223
tion in the workplace the PDA balances the right to freedom of speech and
protection of those employees who make disclosures in good faith against pos-
In the preamble to the Act it is stated that the PDA promotes ‘a culture of
closure’.
To further protect employees the Act voids any provision in a contract of em-
ployment or other agreement between the employer and the employee, which
purports to:153
protected disclosure.
The PDA is very obviously and intentionally orientated towards the specific pro-
tection of employees and there has been some criticism of this particular restriction. In the case of Parliament of
the RSA v Charlton154 the CFO of Parliament made disclosures about MPs who had abused travel allowances and
the MPs
were subsequently dismissed. The Labour Appeal Court held that MPs were not
employers of parliamentary staff155 and this brought into question the jurisdiction
of the various forums set up by the LRA.156 The court held that MPs were excluded from the LRA and the PDA
as they were not the employers of the respondent,
nor were they co-employees of the respondent. 157 The issue of whether the PDA
________________________
151 Ss 186(2)(d) and 187(1)(h). Note that if an employee is dismissed on account of having made a protected
disclosure, and the dismissal is alleged to be automatically unfair in terms of s 187(1)(h) of the LRA, the employee
must follow the procedure set out in ch VIII of the LRA (see ch 9).
157 Ibid at paras 33–37. The LAC held that the case should rather have been referred to statutory arbitration.
224
Law@work
9.2.2 Disclosure
made by any employee who has reason to believe160 that the information161
________________________
158 S 1(vi) of the PDA. See Independent Municipal & Allied Trade Union & another v City of Matlosana Local
Municipality & another (2014) 35 ILJ 2459 (LC).
159 S 1(i) of the PDA. See Van Alphen v Rheinmetall Denel Munition ( Pty) Ltd (2013) 4 ILJ 3314
(LC).
160 This test contains both subjective and objective elements. The test is subjective in that the employee who
makes the disclosure has to hold the belief. It is objective in that the belief has to be reasonable. Whether the belief
is reasonable is a finding of fact based on what is believed. This requirement cannot be equated to personal
knowledge of the information disclosed ( Tshishonga v Minister of Justice & Constitutional Development &
another
[2007] 4 BLLR 327 (LC) at 358G–360A).
161 Information includes facts but is not limited to these. By its nature, uncovering an impropriety often starts with
a suspicion. Information would include inferences and opinions based on facts which show that the suspicion is
reasonable and sufficient to warrant an investigation. Unsubstantiated rumours and ‘smelling a rat’ are not
information. In the nature of disclosures about improprieties, embarrassment follows. Embarrassment thus cannot
disqualify reports from being disclosures ( Tshishonga v Minister of Justice & Constitutional Development &
another (fn 160) at 357F–358A). Mere rumours, personal opinion, expressions of subjectively held opinions or
accusations will not constitute disclosures of information.
Some factual basis must be laid by the whistle-blower to justify the conclusion that the disclosure is based on
information (see Communication Workers Union v Mobile Telephone Networks ( Pty) Ltd (2003) 24 ILJ 1670 (LC)
at 1678B–C; 1678E–F). In Nxumalo v Minister of Correctional Services & others (2016) 37 ILJ 177 (LC) a
transcript (dealing with a proposed transfer motivated by an illegitimate purpose and organised by an ‘important’
political prisoner) was found not to contain information that disclosed any criminal or other misconduct and could
thus not be protected under the PDA. It was confirmed that the employee bears the onus to prove an entitlement to
protection .
225
ties:163
to be committed;
l that a person has failed, is failing or is likely to fail to comply with any legal obligation to which that person is
subject;
l that a miscarriage of justice has occurred, is occurring or is likely to occur; l that the health or safety of an
individual has been, is being or is likely to be endangered;
l that any matter referred to above has been, is being or is likely to be deliberately concealed.
A ‘protected disclosure’164 is defined to mean a disclosure made to specific persons or bodies, or so-called
‘regulators’. 165
The requirements for protected disclosures to specified regulators are as follows: l to a legal adviser:166
volves the giving of legal advice, and with the object of and in the course of
l to an employer:167
________________________
162 This refers to the standard of quality that the information must meet. Requiring the information ‘to show or
tend to show’ an impropriety implies that it would be sufficient if the impropriety is only ‘likely’. That anticipates
the possibility that no impropriety might ever be committed or proven eventually. It also means that the
impropriety can be less than a probability but must be more than a mere possibility ( Tshishonga v Minister of
Justice & Constitutional Development & another (fn 160) at 357G–358A).
163 This is irrespective of whether the impropriety occurred in South Africa or elsewhere or whether the law
applying to the impropriety is that of South Africa or of another country (s 1(iv)).
165 Ss 5–8 of the PDA. In Beaurain v Martin NO & others (1) (2014) 35 ILJ 2443 (LC), it was held that a
disclosure made on Facebook was not protected as the disclosure was not made in a reasonable manner.
168 The words ‘good faith’ have a core meaning of honesty (see Tshishonga v Minister of Justice & Constitutional
Development & another (fn 160) at 363A–B). Good faith is also a finding of fact. All evidence has to be
considered cumulatively for one to decide whether there is good faith or an ulterior motive or, if there are mixed
motives, what the dominant motive is. Good faith is required to test the quality of the information. A malicious
motive continued on next page
226
Law@work
ince:170
any disclosure made in good faith173 to the Public Protector, the Auditor-
– the information disclosed, and any allegation contained in it, are substan-
tially true;
is a protected disclosure.175
________________________
cannot disqualify the disclosure if the information is solid. If it did, the consequence would be that a disclosure
would be unprotected even if it benefits society. A malicious motive may, however, affect the remedy awarded to
the whistle-blower (at 364A–D). See also Communication Workers Union v Mobile Telephone Networks ( Pty) Ltd
(fn 161), which further refined the concept of good faith; Arbuthnot v SA Municipal Workers Union Provident
Fund (2012) 33 ILJ 584 (LC); SA Municipal Workers Union National Fund v Arbuthnot (2014) 35 ILJ 2434
(LAC); Potgieter v Tubatse Ferrochrome & others [2012] 5 BLLR 509 (LC); Potgieter v Tubatse Ferrochrome &
others (2014) 35 ILJ 2419 (LAC) where the court held that the mere fact that disclosed information was of a
sensitive nature or could result in reputational damage to the employer could not deny the employee the protection
granted to whistle-blowers or make the employment relationship intolerable; Lowies v University of Johannesburg
[2014] JOL 32066 (LC); Magagane v MTN SA ( Pty) Ltd & another [2013] 8
BLLR 768 (LC); (2010) 31 ILJ 322 (SCA); Beaurain v Martin NO & others (1) (fn 165).
169 Any employee who in accordance with a procedure authorised by his or her employer, makes a disclosure to a
person other than his or her employer, is deemed for purposes of the PDA to be making the disclosure to his or her
employer.
174 The reasonableness of the belief relates to the information being substantially true (see Tshishonga v Minister
of Justice & Constitutional Development & another (fn 160) at 364D–E).
175 S 8(1) of the PDA. If a person or body referred to in s 8(1) is of the opinion that the matter would be dealt with
more appropriately by another person or body, the necessary assistance must be rendered to the employee to enable
the latter to comply with the section (s 8(2)).
227
implicit in the act of reporting irregularities to a particular recipient that an investigation must follow. 176
cil of SA & another,177 the Supreme Court of Appeal held that letters sent to a number of senior managers about
serious safety concerns regarding the quality
he was not acting for personal gain and no action was taken within a reason-
able period after the initial disclosure to management had been made. The
court was satisfied that the disclosure was of an exceptionally serious nature
and the managing engineer was therefore protected by the PDA against any
occupational detriment.178
and who does not make the disclosure for the purposes of personal gain.184
________________________
176 See Tshishonga v Minister of Justice & Constitutional Development & another (fn 160) at 362E–F.
179 Ss 1(ix)(e) and 9 of the PDA. See, eg, Theron v Minister of Correctional Services & another (fn 131).
180 See fn 182. In Tshishonga v Minister of Justice & Constitutional Development & another (fn 160) the court
held that by setting good faith as a specific requirement for a general protected disclosure the legislature must have
intended it to include something more than reasonable belief and the absence of personal gain. An employee may
reasonably believe in the truth of the disclosure(s) and may gain nothing from making them, but his or her good
faith or motive would be questionable if the information does not disclose an impropriety or if the disclosure is not
aimed at remedying a wrong (at 364C–D).
181 The requirement of reasonable belief is more stringent in the context of determining whether a disclosure is
protected than in the context of what constitutes a disclosure (see para 9.2.2 ‘Disclosure’). The reasonableness of
the belief must relate to the information being substantially true ( Tshishonga v Minister of Justice &
Constitutional Development & another (fn 160) at 364E).
183 The meaning of ‘substantially true’ in the context of a general protected disclosure must lie closer to the ‘total’
than to a ‘trivial degree’ of truth. Information of both quality and quantity will determine whether the disclosure is
substantially true ( Tshishonga v Minister of Justice & Constitutional Development & another (fn 160) at 365G–
H).
184 Excluding any reward payable in terms of any law (s 9(1)(b)). ‘Personal gain’ may include any commercial or
material benefit or advantage received by, or promised to the employee, as a quid pro quo for the disclosure, and
any expectation by the employee of a benefit or advantage that is not due in terms of any law. If the employee
benefits inci-dentally from the disclosure it will be protected provided that was not the purpose of making the
disclosure ( Tshishonga v Minister of Justice & Constitutional Development & another (fn 160) at 364E–F).
228
Law@work
l One or more of certain conditions must apply (section 9(1)(b)(i) read with
section 9(2)):
• at the time the disclosure is made, the employee must have reason to
disclosure may be made, the employee making the disclosure has reason
person or body but no action was taken within a reasonable period after
the disclosure; or
case (section 9(1)(b)(ii) read with section 9(3)). In determining such reason-
employer or a specified person or body, any action that has been taken
The three requirements of good faith, reasonable belief and no personal gain
set out in section 9(1) for a general protected disclosure overlap and are mutu-
ally reinforcing. 185 A weakness in one can be compensated for by the others –
sound information.
defeat the objectives of the PDA namely eliminating crime, promoting account-
able governance and protecting employees against reprisals. 186 This view is strengthened by the fact that the
disclosure furthermore has to be filtered
________________________
185 See Tshishonga v Minister of Justice & Constitutional Development & another (fn 160) at 365A.
186 At 365A–B. See also Radebe & another v Premier, Free State Province & others [2012] 12
229
through two more tests namely it must meet one or more of the conditions set
out in section 9(2) and it must be reasonable to make the disclosure as assessed
against the criteria in section 9(3). These two tests shift the focus away from an assessment of the employee’s good
faith and the reasonableness of his or her
approach to section 9(1) could therefore ‘block’ the inquiry into facts that are
more easily ascertainable in terms of section 9(2) and (3) and into the alleged
specifically pleaded and proved.189 Deciding whether all the requirements are
met is a question of fact – the more serious the allegation, the more cogent the
proof must be. The threshold of proof required for each requirement must be
assessed from all the facts and on a case-by-case basis, but ultimately the
employer bears the burden of proving that it did not commit an unfair labour
practice. 190
ately to the risks of making the disclosure. The lowest threshold is set for dis-
closures to a legal adviser. Higher standards are set for disclosures made to an
employer and even higher standards once the disclosures go beyond the em-
ployer. The most stringent requirements are set for disclosures made public or to bodies that are not prescribed.
All disclosures, except those made to legal advisers, must be made in good
faith. For disclosures made to specific regulators, the employee must believe
that the impropriety falls within the description of matters, which are dealt with by such regulators, and the
employee must reasonably believe that the information is substantially true. This is not the case for disclosures to
an employer.
General protected disclosures further require that the disclosure must not be
made for purposes of personal gain, be made only under certain circumstances
and that it must be reasonable in all the circumstances of the case to make the
disclosure.
on occupational detriment
the PDA;
l the employer must have taken action against the employee which amounts
________________________
187 At 365B–C.
188 At 365D.
189 Ibid.
190 At 365.
230
Law@work
having made the protected disclosure – this implies a causal link194 between
ing council or, if no council has jurisdiction, to the CCMA for conciliation as a first step in an endeavour to resolve
the matter. 195 The referral to conciliation
must be made within 90 days of the occurrence of the unfair labour practice, or
within 90 days of the date when the employee became aware of it.196 If conciliation has failed and the council or
CCMA has certified that the dispute re-
has elapsed since the council or CCMA received the referral and the dispute
compensation.198 Compensation must be ‘just and equitable’ but is limited to 12 months’ remuneration. 199
for example that the sex of the unsuccessful candidate contributed to the non-
promotion of such candidate. It seems that the bargaining council or CCMA will
________________________
192 As stipulated by s 186(2)(d) of the LRA. See Theron v Minister of Correctional Services & another (fn 131).
See also Sekgobela v State Information Technology Agency ( Pty) Ltd (2008) 29 ILJ 1995 (LC) where the court
found that the primary or principal reason for the dismissal of the applicant, a manager, was the fact that he made a
protected disclosure about the respondent’s failure to adhere to tender procedures (and not misconduct as alleged
by the respondent) and that such dismissal was automatically unfair (at 2009E–G).
The fact that the respondent was a state organ entrusted with public funds and trusted by the public to adhere to
tender policies, exacerbated the matter. This was confirmed in State Information Technology Agency ( Pty) Ltd v
Sekgobela [2012] 10 BLLR 1001 (LAC); Independent Municipal & Allied Trade Union & another v City of
Matlosana Local Municipality & another (fn 158). See also ch 9.
200 A dispute about alleged unfair discrimination must be referred to the Labour Court (s 10(6) of the EEA) unless
all parties agree to refer such dispute to arbitration.
231
relates to the failure to promote in terms of the unfair labour practice definition rather than a claim of
discrimination per se.
Different procedures exist for unfair labour practice disputes related to both
PDA may be referred to any court having jurisdiction, including the Labour
Court for appropriate relief or pursue any other process allowed or prescribed by any law. 201 The Labour Court
held that the provisions of the PDA cannot be
whistle-blowing is a matter of public interest. 202 The Labour Court may make any
appropriate order to suit the circumstances of the case.203 The PDA further pro-
vides that any employee who has made a protected disclosure and who
having made that disclosure, must at such employee’s request, and if reason-
her at the time of the disclosure, to another post in the same or another division
of the employer.204 The terms and conditions of employment of such a transferred employee may not be less
favourable than those applicable immediately
A special ‘con-arb’ procedure exists for disputes about unfair labour practices
relating to probationary issues.206 This entails a single expedited process in which arbitration is held immediately
after certifying that the dispute remains unresolved.
faith that the holding of an inquiry contravenes the PDA, that employee or the
While the LRA does not specify who bears the onus of proof in unfair labour
practice disputes, the PDA provides that ‘other occupational detriment’ (in
________________________
201 S 4(1) of the PDA. The PDA confirms that a dispute about an unfair labour practice relating to occupational
detriment (other than dismissal) must follow the procedure set out in the LRA in that if the matter fails to be
resolved through conciliation, it may be referred to the Labour Court for adjudication (s 4(2)(b)).
202 See Randles v Chemical Specialities Ltd [2010] 7 BLLR 730 (LC).
203 See ss 191(13)(a) and 158(1) of the LRA and s 4(2)(b) of the PDA. It appears that, over and above the
remedies provided by the PDA, a dispute about an unfair labour practice based on occupational detriment, may be
instituted under the LRA (s 4(1) of the PDA).
See Young v Coega Development Corporation ( Pty) Ltd ( 1) [2009] 6 BLLR 597 (EC) where it was confirmed
than an employee may choose to approach the High Court for a matter relating to the PDA.
204 S 4(3) of the PDA. Where the person making the disclosure is employed by an organ of state, he or she must
be transferred to another organ of state.
207 Letsoalo & another v Minister of Police & others; Sesing v Minister of Police & others [2016]
8 BLLR 793 (LC) at para 25–26. The aim of this provision is to ‘prevent spiralling collateral litigation in cases in
which a protected disclosure is alleged’.
232
Law@work
of the PDA, is ‘deemed’ to be an unfair labour practice under the LRA.208 This implies that once the employee
has established the occupational detriment
suffered by him or her to fall within the ambit of the PDA and on account of
having made the disclosure, an unfair labour practice has been established.
The employer may then show that its action was not unfair.
________________________
208 See s 4(2)(b) of the PDA.
topics
Page
1 Introduction
......................................................................................................
235
2.1.4
Selective
re-employment
..............................................................
244
2.1.5
Constructive
dismissal
....................................................................
244
2.2.1
Resignation
......................................................................................
248
2.2.4
Insolvency
........................................................................................ 252
2.2.5
Mutual
agreement
.........................................................................
253
2.2.6
Death
...............................................................................................
254
2.2.8
Other
automatic
terminations
......................................................
255
3 Date of dismissal
..............................................................................................
256
4 Dispute resolution
............................................................................................. 257
4.1
Referrals
to
arbitration
..............................................................................
257
233
234 Law@work
Page
5.1
Introduction
...............................................................................................
260
5.2
Reinstatement
or
re-employment
..........................................................
262
5.3
Compensation
..........................................................................................
263
235
1 Introduction
Until the early 1980s, there was no protection against unfair dismissal in South
the employee generally had no recourse, however unfair the reason for dis-
validly terminated. The basis of this principle, of course, was the assumed equality in bargaining strength between
employer and employee. However, in most instances, this is a fiction. While the dismissal of an employee would
rarely be of any consequence to the employer, the consequences for the employee are serious.
For this reason, many countries adopted legislative measures to require em-
ployment, and to observe some form of fair procedure prior to making a decision
to dismiss. The basis for this intervention is controversial. There are those who argue that employees acquire rights
to jobs, akin to the rights of ownership in property. 1 Others have argued that individual dignity and autonomy are
the primary justifications for unfair dismissal laws. 2
At a higher level, unfair dismissal laws have been attacked on the basis that
they undermine the flexibility that is necessary in a globalised environment, and thus inhibit the ability to raise
levels of competitiveness. The rigidity of work security protections has thus imposed a cost on the production and
employment
efficiencies that is unwarranted. The contrary view is that protecting work security can contribute to improved
productive efficiency and innovative capacity,
macro-economic stability.3
of the employer. The convention was adopted in 1982, and while not the most
widely ratified convention, it has had a profound effect on South African law.
First, the Industrial Court drew heavily on the convention during the 1980s when
it developed protection against unfair dismissal under the unfair labour practice definition. Secondly, much of the
wording of Chapter VIII of the LRA draws on
the convention. Thirdly, the courts have referred to the convention in interpret-
In essence, the convention requires that the employment of a worker may not
be terminated unless there is a valid reason for the termination connected with
do not constitute valid reasons for termination (the genesis of the ‘automatically ________________________
1 See Myers Ownership of Jobs: A Comparative Study (1964) and the discussion in Davies Perspectives on
Labour Law (2004) at 161–162.
236 Law@work
unfair dismissal’ in section 187 of the LRA), and provides a right to appeal against termination of employment to
an impartial body empowered to decide whether
the dismissal was justified. In the case of a dismissal for a reason based on the employer’s operational
requirements, additional requirements of consultation
form.
Chapter VIII of the LRA largely codifies the unfair dismissal jurisprudence de-
generally and in respect of operational requirements particularly, seek to fill in the legislative gaps.
2 What is a dismissal?
concept of dismissal. This chapter focuses, for the most part, on the law of unfair dismissal. An employee claiming
unfair dismissal must establish the existence of
a dismissal. If the fact of a dismissal is disputed, the employee bears the onus to prove the existence of a dismissal.
4 The definition of ‘dismissal’ contained in section 186(1) of the LRA contains six elements, each of which is
analysed below.
that would not in the ordinary course be thought to be dismissals. For example,
employment contract entered into for a fixed period and a retirement both
no more than the employee has been ‘dismissed’ for the purposes of the LRA.
The existence of a dismissal does not mean that the dismissal is necessarily unfair.
In the case of dismissals that are not automatically unfair, it generally remains for the employer to establish that the
dismissal was effected for a fair reason, after following a fair procedure. 6 A dismissal must therefore be both
substantively and procedurally fair in order to escape a finding of an unfair dismissal.
________________________
5 In this chapter, the circumstances in which an employment contract might terminate without there being a
statutory dismissal are also considered, if only to more clearly draw the line between such terminations and
statutory dismissals.
6 See s 188(1) of the LRA, which provides that if a dismissal is not automatically unfair, it is unfair if the
employer fails to prove that the reason for dismissal is a fair reason related to the employee’s conduct or capacity,
or based on the employer’s operational requirements (ie, substantive fairness), and that the dismissal was effected
in accordance with a fair procedure (ie, procedural fairness). Accordingly, the Act lists at least three permissible
grounds for dismissal (see also ch 14 regarding termination of employment in the context of closed shop
agreements).
237
ment, termination at the initiative of the employer. Prior to the Labour Relations Amendment Act 6 of 2014
(LRAA) the wording of the section limited its application to the termination of contracts of employment and thus
extended pro-
tection against unfair dismissal to only those persons who were employed in
that not all persons who qualified as ‘employees’ for the purposes of the defin-
ition in section 213 of the LRA could claim to have been dismissed in the sense
not always require a direct act of giving notice or summarily terminating a con-
tract. The Labour Appeal Court has applied a broader interpretation of this
provision, and stated that what is necessary for there to be termination by the
employer was that the employer had ‘engaged in an act which brings the con-
tract of employment to an end in a manner recognised as valid by the law’.
The court held that the passing of a resolution to wind up a company satisfied
taken by the employer that had the effect of terminating the contracts of
employment of its employees.8 The Labour Court had previously given the term
________________________
7 See Bayat v Durban Institute of Technology (2006) 27 ILJ 188 (CCMA) where the applicant was offered a
position subject to the condition that he passes a probity check. It was held that where the offer of employment is
subject to a suspensive condition and where the condition is not fulfilled there is no ‘dismissal’ as the employer
may withdraw its conditional offer of employment.
8 National Union of Leatherworkers v Barnard NO & another (2001) 22 ILJ 2290 (LAC), and cited with approval
in SA Post Office Ltd v Mampuele [2010] 10 BLLR 1052 (LAC) at para 16. In the latter case the respondent was
simultaneously appointed for a period of five years as CEO and a member of the board of directors. In this instance
the contract expressly provided that membership of the board was a prerequisite to appointment as CEO and that
termination of board membership would lead to termination of the appointment as CEO. The CEO’s employment
was terminated after the CEO was removed from
the board of directors as a result of a motion by the minister. Although the CEO could lawfully be removed from
the board, the ‘automatic termination’ provision in relation to his employment was held to be void (at para 21):
‘Thus Mampuele, like any other employee, enjoyed the right not to be unfairly dismissed or more appropriately
unfairly removed. This is more so since the Act was enacted to give effect to the right to fair labour practices
guaranteed in section 23(1) of the Constitution …. The right not to be unfairly dismissed is not only essential to the
enjoyment of this constitutional imperative but is one of the most important manifestations thereof and further
forms the foundation upon which the relevant sections of the Act are erected and is consonant with the spirit and
the letter of the Act’
(our emphasis). See Nogcantsi v Mnquma Local Municipality & others (2017) 38 ILJ 595
(LAC): ‘The employer (or the third party) in performing the act that results in the termination, must, at least, have
directed its will to causing a dismissal. The latter consequence must have been the object of its act’ (at para 32).
238 Law@work
consistent with section 23 of the Constitution and the objects of the LRA. 9 This approach has been given statutory
expression in the LRAA.
times difficult, on the facts, to establish the existence of a dismissal. There might be genuine ambiguity about
whether the employer uttered words that could
to resign. In Council for Scientific and Industrial Research v Fijen, 10 for example, the employee wished to leave
his employment and commenced negotiations
and that he did not want to continue in the employ of the CSIR. The CSIR
it accepted. When the employee claimed unfair dismissal, the CSIR argued that
it had not dismissed the employee, and that it was he who had ended
the working relationship. The Appellate Division, as it then was, held that in
the absence of ‘a clear and unambiguous intention not to go on with his con-
tract of employment’,11 there was no doubt that the employee had been dismissed.
In Ouwehand v Hout Bay Fishing Industries, 12 the employee was told that it
was likely that the vessel of which he was the skipper would be decommissioned
and that ‘it would be better if he started looking for another job’. He sub-
sequently failed to report to his employer as requested and later claimed that
he had been unfairly retrenched. The employer argued that he had never been
dismissed. The Labour Court held that, on the facts, the employee had ‘walked
off the job’ and that there was no dismissal. The court held that it was incum-
ance of probabilities, ‘some overt act by the employer that is the proximate
There is at least one decision by the Labour Appeal Court to indicate that
________________________
9 Ndikumdavyi v Valkenberg Hospital & others [2012] 8 BLLR 795 (LC). This case dealt with termination of the
(lawful) services of a refugee whose contract of employment was void ab initio because of his status. Termination
of the employment relationship constituted
‘dismissal’ (see para 20). See also Southern Sun Hotel Interests ( Pty) Ltd iro Southern Sun Waterfront Hotel v
CCMA & others [2011] 10 BLLR 1012 (LC).
11 At 691.
13 At 735B.
If the second appellant did resign, which is not entirely clear, he did so in the heat of the moment and as such on
the above authorities15 it should not be held to be
effective. That he returned the next day to get his employment back is indicative that he made such a decision as a
result of the circumstances under which he was
This conclusion seems to fly in the face of the general rule that a resignation,
once accepted, cannot be withdrawn.16 When an employee resigns ‘with immediate effect’ the employee
unilaterally terminates the contract of employment, meaning that the employer no longer has authority to discipline
the
employee. 17
Because the definition of dismissal refers to the termination of employment, it is possible for there to be a
dismissal before the employee commences working
for the employer. There was previously some doubt regarding this proposition, 18
largely based on the definition of ‘employee’ in section 213 of the LRA. The
definition refers to a person who ‘works for another person’ and this was in-
terpreted to mean that a person was not an ‘employee’ unless he or she had commenced work. It has now been
clearly established that a party to a contract of employment may claim unfair dismissal in circumstances where the
mencing work. 19
________________________
15 The Labour Appeal Court referred to the case of Southern v Franks Charlesly and Co
[1981] IRLR 278 (CA) where it was stated that ‘Those were not idle words or words spoken under emotional
stress which the employers knew or ought to have known were not
meant to be taken seriously’. See also the minority judgment in Toyota SA Motors ( Pty) Ltd v CCMA & others
[2016] 3 BLLR 217 (CC).
16 In African National Congress v Municipal Manager, George Local Municipality & others
[2010] 3 BLLR 221 (SCA) the court held that an employee who wished to resign must communicate his or her
intention to the employer. If required to do so in writing, the notice of resignation must be given in writing and will
only become effective when the letter is read by the employer. Consequently, an employee would be entitled to
withdraw his or her resignation before the employer reads such letter of resignation. See Smit ‘Resignation –
18 See Whitehead v Woolworths ( Pty) Ltd (1999) 20 ILJ 2133 (LC) where the Labour Court applied the statutory
definition of ‘employee’ (in particular that part of the definition that refers to a person who works for another
person and is entitled to receive remuneration) and held that a person who had entered into a contract of
employment but who had not commenced work was not an employee. Refer also to ch 4.
19 Wyeth SA (Pty) Ltd v Manqele & others [2005] 6 BLLR 523 (LAC).
240 Law@work
employer
(i) to renew a fixed term contract of employment on the same or similar terms
but the employer offered to renew it on less favourable terms, or did not re-
new it; or
(ii)
to
retain
ployer offered to retain the employee on less favourable terms, or did not offer to retain the employee. 20
It is obvious from the definition that not every termination of a fixed-term con-
indefinite basis; or
favourable terms.
This provision was incorporated into the LRA to prevent employers from circum-
before unfair dismissal laws apply. In South Africa, the test of a reasonable
Industrial Court, which under the 1956 LRA extended protection to employees
There is no single factor that defines what is reasonable in every case. Although the wording clearly refers to an
expectation on the part of the employee party
ously lose credibility with each renewal of the contract in which they are con-
tained. Other relevant factors external to the terms of the contract can also be
________________________
20 S 186(1)(b) of the LRA. Previously, this provision stated that dismissal meant that an employee had reasonably
expected renewal of a fixed-term contract on the same or similar terms but that the employer had offered to renew
it on less favourable terms or did not renew it. See Olivier ‘Legal Constraints on the Termination of Fixed-Term
Contracts of Employment: An Enquiry into Recent Developments’ (1996) 17 ILJ 1001.
21 See Pecton Outsourcing Solutions CC v Pillemer & others [2016] 2 BLLR 186 (LC); SATAWU
obo Dube & others v Fidelity Supercare Cleaning Services Group ( Pty) Ltd [2015] 8 BLLR
837 (LC); Kelly Industrial Ltd v CCMA & others [2015] 6 BLLR 606 (LC).
22 Refer to ch 2 above.
241
expectation of renewal.23
the Labour Court in a dispute involving members of the Springbok rugby squad.
In SA Rugby ( Pty) Ltd v CCMA & others, 24 three members of the squad claimed
unfair dismissal after being told that their fixed-term contracts would not be
renewed. The arbitrator had confirmed that the existence of any reasonable
coach engaged the players in discussions regarding their future, and the play-
ers argued that they were entitled to rely on the expectation that he had cre-
ated. SA Rugby argued that the contractual terms were definitive – in this case,
they specifically stated that the contracts were for a fixed term and that there
The Labour Court held that for an employee to establish a reasonable ex-
l a subjective expectation that the employer would renew the fixed-term con-
l the employer did not renew the contract or offered to renew it on less favour-
able terms.
factors:
l the nature of the employment and the reason for entering into the contract
l any assurances that the contract would be renewed (in other words, any
________________________
23 See SA Bank of Athens Ltd v Cellier NO & others (2009) 30 ILJ 197 (LC) where the court had regard to the fact
that the employee was involved in private business, which conduct was in conflict with his employer’s interests,
that he failed to disclose such private business before employment and the fact that the employee was aware that
the employer was
unhappy with such private business involvement (at para 29). It is an objective enquiry. In Klusener and KZN
Cricket ( Pty) Ltd (2016) 37 ILJ 2916 (CCMA) the employee, a professional sports coach, could not prove that he
held a reasonable expectation of renewal of his contract ‘at the time when the employer fails to renew or indicates
an intention not to renew the contract’ (at para 77). An employee may believe that he or she in the past met most
key performance targets but the expectation may still be unreasonable (at para 78): ‘In the professional sports
environment past glories are meaningless if current performance falls below expectations’. In Joseph v University
of Limpopo & others (2011) 32 ILJ 2085 (LAC) the court held that s 19(2) of the Immigration Act 13 of 2002 did
not prevent the employee from having a legitimate expectation.
242 Law@work
The terms of the contract were held not to be decisive – the court stated that a
ation of renewal.25 The Labour Appeal Court, however, held that due to the
clear terms of the contract the onus on the employee will be heavier to prove
objective evidence that gives rise to the alleged expectation.26 On the facts,
with the same employer? Does the refusal of a permanent appointment con-
available. The Labour Court held that it was not open to an employee to rely on
section 186(1)(b) in these circumstances. The Labour Court came to the opposite
Labour Court held that the ruling in Dierks was clearly wrong.29 The Labour Appeal Court upheld the approach
adopted in the Dierks case when it ruled that section 186(1)(b) could not be relied on by an employee who claimed
to
tract is deemed to have been tacitly renewed and that such renewal is gener-
ally accepted to be on the same terms but for an indefinite period, has on
________________________
25 At 30B–H. See also NUMSA v Buthelezi & others v LTR Appointments CC [2005] 9 BALR 919
(MEIBC); Swanepoel v Department of Water Affairs and Forestry [2005] 12 BALR 1272
(GPSSBC); and Brown v Read Educational Trust [2006] 6 BALR 605 (CCMA).
26 SA Rugby Players’ Association ( SARPA) & others v SA Rugby ( Pty) Ltd & others; SA Rugby ( Pty) Ltd v
SARPU & another [2008] 9 BLLR 845 (LAC) at para 46.
29 The Labour Appeal Court passed up an opportunity to decide the point in University of Cape Town v Auf der
Heyde [2001] 12 BLLR 1316 (LAC), where the judgment on appeal had upheld the ruling in Dierks. In Yebe v
University of KwaZulu-Natal ( Durban) [2007] 1
BALR 77 (CCMA) the arbitrator followed the approach adopted in the Technikon Natal decision.
30 University of Pretoria v Commission for Conciliation, Mediation and Arbitration & others
31 National Education Health & Allied Workers Union obo Tati and SA Local Government Association (2008) 29
ILJ 1777 (CCMA).
243
instances the facts of the particular matter may indicate that no such tacit
agreement existed. 32
after she took maternity leave in terms of any law, collective agreement or her
contract of employment.33
can provide terms any less generous than those provided by section 25 of the
BCEA.
from work as a ground to dismiss an employee or refuse her the right to resume
ployment. This means that if the employee is in breach of the relevant provision, either by taking excess leave or
taking leave for any other reason, her employer’s refusal to allow her to resume work will not be regarded as a
dismissal.
from doing so. It does not preclude an employer from dismissing an employee
who is on maternity leave for any other legitimate reason. 34 If the reason for dismissal is pregnancy or a reason
related to pregnancy, the dismissal is automat-
ically unfair.35
work’ seems to indicate that it is sufficient that work on the same or similar terms is offered, and that there is no
right – necessarily – to the same job on return
from maternity leave. The extent of any differences in the nature of the work or
________________________
32 See Owen & others v Department of Health, KwaZulu-Natal (2009) 30 ILJ 2461 (LC) at 2466:
‘The approach . . . ie that a tacit renewal of the contract on the same terms but for an employment relationship of
indefinite duration, is commendable at the level of principle, but each case is fact and context specific and the
application of the principle must account for this . . . This is a factual enquiry to be determined on the evidence
before the court’.
34 See, eg, Wardlaw v Supreme Mouldings ( Pty) Ltd (2004) 25 ILJ 1094 (LC) in which the employer discovered
an employee’s negligence during a period of maternity leave. The court dismissed the employee’s argument that
the reason for her dismissal was her employer’s attitude to her taking maternity leave.
35 See ch 10 at para 7 ‘Pregnancy, intended pregnancy or any reason related to pregnancy’.
244 Law@work
ployees for the same or similar reasons has offered to re-employ one or more of
This is a form of statutory dismissal that in the everyday meaning of the term is
not a dismissal at all.37 Two points are immediately apparent. First, the triggering event is the refusal to re-employ
an ex-employee. Secondly, the refusal must
occur both in the context of a prior dismissal of two or more employees for the
This element of the definition of dismissal concerns what was termed ‘selective
vents abuse of unfair dismissal laws by employers that would legitimately dismiss a group of employees, and then
make offers of reinstatement or re-employment to only those employees it wished to have back in its employ.
Employers
who effect group dismissals and then wish to re-engage some of the dismissed
workers face a simple choice: re-employ none of the dismissed employees or,
any of its former employees and acts in breach of that agreement, the LRA
affords a remedy based on the definition of ‘unfair labour practice’. The LRA
________________________
38 The refusal to re-employ a previously dismissed employee simply establishes the existence of the dismissal.
The employer is obliged then to prove the fairness of the dismissal. This it might do by establishing some
legitimate basis for the differential treatment in the form of the refusal to re-employ the rebuffed applicant for re-
employment.
245
initiative, the law regards the termination as a dismissal since the conduct of the employer ‘forces’ the termination
of employment.
ployee who resigns and is subsequently dismissed during the notice period trig-
the 1980s. The LRA introduced the concept into legislation and while the formal
test in section 186(1)(e) is now that of ‘intolerability’, the standard and approach applied have changed little.
intolerability, or even the employee’s state of mind. What is relevant is the conduct of the employer viewed in an
objective sense. The courts have endorsed
the principle that the remedy of constructive dismissal, being one in which the
employee seeks to obtain compensation from an employer for his or her own
ployee. This implies not only that the test should be objective but that it should be set at a high standard, and that
the act of resignation should be an act of
court reiterated that our law and the Constitution impose ‘a continuing obli-
gation of fairness towards the employee on . . . the employer when he makes
decisions affecting the employee in his work’.44 The court, however, emphasised
that it is not sufficient that an employee resigns because work has become
intolerable – this could after all be due to factors unconnected to the employer
or the employer may have a good and fair reason to make work intolerable.
way for the intolerable conditions. In other words, the test is whether the con-
duct ‘lacked reasonable and proper cause’. 45 The court also held that there is no requirement that the employer
must have wanted or intended to get rid of
the employee.
________________________
41 This provision was included in the definition of ‘dismissal’ to codify the jurisprudence developed from the
unfair labour practice definition under the 1956 LRA. See Jooste v Transnet t/a South African Airways (1995) 16
ILJ 629 (LAC) and Pretoria Society for the Care of the Retarded v Loots (1997) 18 ILJ 981 (LAC).
44 With reference to WL Ochse Webb & Pretorius ( Pty) Ltd v Vermeulen [1997] 2 BLLR 124
45 At para 13. Conti Print CC v CCMA & others [2015] 9 BLLR 865 (LAC) and National Health Laboratory
Service v Yona & others [2015] 10 BLLR 1002 (LAC) confirmed intolerability as yardstick. In Conti Print the
court also had regard of the fact that the employer ‘failed dismally to accord fair and compassionate treatment . . .
when she was suffering from a severe work-related mental illness and impecuniosity resultant from her denial . . .
of extended sick leave benefits’ (own emphasis) (at para 41).
246 Law@work
The courts have also confirmed that the use of the word ‘intolerable’ means
that there is an onerous burden on the employee. 46 It requires the employee to show that continued employment
would be ‘objectively unbearable’. More
recent judgments and awards have emphasised this strict approach to con-
structive dismissal and, in particular, the requirement that the employee estab-
lish some harsh, antagonistic or otherwise hostile conduct on the part of the em-
reasonably and sensibly, was such that an employee could not be expected to
otherwise;
tract. The employer’s conduct must have been brought about by its act or
omission, but need not necessarily be intended to bring the employment re-
lationship to an end;
that the situation has become so unbearable that he or she cannot be ex-
pected to work any longer. That judgment must be made from the per-
spective of a reasonable person in the shoes of the employee, and does not
l the employee must show that he or she would have carried on working in-
definitely, but for the employer creating the unbearable circumstances; and
In Solid Doors (Pty) Ltd v Commissioner Theron & others50 the Labour Appeal
Court summarised the relevant principles and confirmed that for a constructive
________________________
46 Jordaan v CCMA & others [2010] 12 BLLR 1235 (LAC) at 1239: ‘With an employment relationship,
considerable levels of irritation, frustration and tension inevitably occur over a long period. None of these
problems suffice to justify constructive dismissal. An employee, such as [the] appellant, must provide evidence to
justify that the relationship has indeed become so intolerable that no reasonable option, save for termination is
available to her’.
47 See Pretoria Society for the Care of the Retarded v Loots (fn 41) at 985 and Conti Print CC
48 Regent Insurance Co Ltd v CCMA & others (2013) 34 ILJ 410 (LC).
49 Asara Wine Estate & Hotel ( Pty) Ltd v Van Rooyen & others (2012) 33 ILJ 363 (LC). See also Regent
Insurance Co Ltd (fn 48), SA Police Service v Safety & Security Sectoral Bargaining Council & others (2012) 33
ILJ 453 (LC) and Solidarity obo Van Tonder v Armaments Corporation of SA (SOC) Ltd & others (2019) 40 ILJ
1539 (LAC).
50 (2004) 25 ILJ 2337 (LAC). See also National Health Laboratory Service v Yona & others
247
dismissal to be established, three requirements must be met. The first is that the employee must have terminated
the contract of employment, the second is
that the reason for that termination must be the intolerability of continued em-
ployment; and thirdly, it must have been the employer that made the contin-
ued employment intolerable.51 All of these elements must be present – if any one element is absent, there is no
constructive dismissal. Further, whether or not the employee was constructively dismissed is a jurisdictional fact
that must be
established objectively.
The period between any incident or event claimed as a basis for constructive
dismissal and the date of resignation is also significant. In Agricultural Research Council v Ramashowana NO &
others52 the Labour Court held that a lapse of 15
months indicated that the working environment was not intolerable – the em-
ployee must resign within a reasonable time of the event triggering the alleged
constructive dismissal.
existence of a ‘dismissal’ for the purposes of the Act. If the employee establishes a constructive dismissal, the onus
shifts to the employer to prove the fairness of
the dismissal (section 192(2)).53 If the employer discharges this obligation, the dismissal is not unfair. Although
this is an uncommon situation there is no reason, in principle, why it cannot exist. Furthermore, a claim of
constructive dismissal and prayer for reinstatement are not mutually exclusive when circumstances
have changed between the time of resignation and the reinstatement order.54
or without notice because the new employer, after a transfer in terms of sec-
work that are substantially less favourable to the employee than those provided
Section 197 substitutes the transferee for the transferor of a business in respect of all employment contracts in
existence between the transferor and its employees
on the date of the transfer.56 The section requires the transferee to continue to ________________________
51 In Murray v Minister of Defence [2008] 6 BLLR 513 (SCA) the court held that the employer must in some way
be culpably responsible for the intolerable conditions.
53 In Jordaan v CCMA & others (fn 46) at 1238 the Labour Appeal Court confirmed that there is a two-stage
approach in constructive dismissal disputes: ‘In the first place, an employee who leaves a place of employment
bears the onus of showing that the employer effectively dismissed the employee by making her continued
employment intolerable.
Once this is established, a second stage must be applied and this concerns an evaluation of whether the dismissal
was unfair’. The court continued that, although distinct, these two stages are not independent.
54 Western Cape Education Department v General Public Service Sectoral Bargaining Council & others [2013] 8
BLLR 834 (LC).
56 The same is true for s 197A in the case of the transfer of employment contracts in insolvent circumstances.
248 Law@work
provide terms and conditions of employment that are ‘on the whole not less
favourable’ than those which applied before the transfer, except, it seems,
prove either that ‘conditions’ or ‘circumstances’ at work are less favourable after the transfer. It is not clear
whether ‘conditions’ means ‘terms and conditions of employment’. This would be somewhat anomalous, since
section 197 provides
enforced on that basis. Perhaps this provision was simply intended to afford em-
a claim for unfair dismissal. Even less clear is the meaning of ‘circumstances’. If those are intended to mean
ambient factors at work or work practices short of
terms and conditions of employment, it is suggested that the same narrow inter-
‘dismissals’
There are a number of common forms of termination of employment that do
not fall within the definition of dismissal in the LRA. The most important of these are worth noting, if only for the
sake of completeness and because termination
2.2.1 Resignation
ating an employment contract.59 Unless the resignation constitutes a constructive dismissal60 it is not a dismissal
in terms of the LRA. At common law, there is no
ployer simply refused to accept it, this would mean that the employer could
________________________
57 See ch 13 below.
59 For a discussion of recent case law, including Lottering & others v Stellenbosch Municipality [2010] 12 BLLR
1306 (LC), see Smit (fn 16).
61 See, however, CEPPWAWU & another v Glass and Aluminium 2000 CC (fn 14) where the court stated that
‘[r]esignation brings the contract to an end if it is accepted by the employer’ (at 406 at para 33). An application for
early retirement is a bilateral act requiring approval of the employer, see SA Municipal Workers Union & another v
SA Local Government Bargaining Council & others (2015) 36 ILJ 441 (LAC).
249
prevent an employee from leaving his or her employment. The right to resign is
the difference between employment and forced labour, and there is no reason
mine whether there was a resignation, the court has to evaluate what the inten-
tion of the parties was.62 This also means that once an employee has resigned, the employer is under no obligation
to accept any withdrawal of that resignation. 63 In SACWU obo Sithole v Afrox Gas Equipment Factory ( Pty)
Ltd64 the employee resigned by sending an e-mail to two managers to this effect. However, two weeks later, the
employee attempted to retract the resignation. The
employer was not prepared to accept this retraction and the employee then
claimed that he had been unfairly dismissed. The arbitrator held that the failure of the employer to accept the
tendered withdrawal of resignation did not constitute a dismissal. The traditional view that resignation is a
unilateral act which, once tendered, cannot be unilaterally withdrawn was left unchallenged by the
majority of the Constitutional Court. 65 The Labour Appeal Court recently con-
with the contract of employment that would lead a reasonable person to be-
It should be noted that, as illustrated in Amazwi Power Products ( Pty) Ltd v Turnbull, 67 an executive director
holds office as a member of the board but the
62 Ibid at para 32. In Fijen v Council for Scientific & Industrial Research (1994) 15 ILJ 759 (LAC) it was said that
the test for resignation is that an employee has to ‘either by words or conduct, evince a clear and unambiguous
intention not to go on with his contract of employment’ (at 772C–D).
63 This point was upheld by an arbitrator in Samuels v B&G Displays (2005) 26 ILJ 1145 (BCA).
The employee had resigned, and then stated that he wished to withdraw the resignation.
The arbitrator held that the employer’s refusal to accept the withdrawal did not constitute a dismissal as defined by
the LRA, because an employee cannot withdraw a resignation once the employer accepts it.
65 Toyota SA Motors ( Pty) Ltd v CCMA & others (fn 15) paras 178–180. An employee resigned in pique after
being charged for being absent without leave but the employer declined to accept the resignation. In the appeal
against an unfair dismissal claim (the employee
‘was dismissed a few days before his resignation would take effect . . . the dismissal interrupted the resignation’ (at
para 144)) the employer relied on resignation as a defence.
The minority questioned the continued validity of the legal position that resignation cannot be withdrawn without
consent and whether it measures ‘up to our modern notions of fairness’ (paras 207–209).
66 21st Century Life (Pty) Ltd v Nombewu (2019) 40 ILJ 1499 (LAC), referring to Fijen v Council for Scientific &
Industrial Research (fn 62).
68 ‘When a person accepts the office of a director and no contract had been expressly concluded, the contract
between the director and the company will be implied, the effect being that the position is regulated by the
company’s articles of association. A director is thus not an employee of a company, although he or she can be an
employee in addition to holding the independent office as a director’ (at para 12).
250 Law@work
employment relationship.
completion of a project.69 Section 198B, recently added to the LRA, expressly provides that a contract of
employment that terminates on the occurrence of a
specified event,70 on the completion of a specified task or project, or on a fixed date other than an employee’s
normal or agreed retirement age, is a fixed-term
contract.
In Enforce Security Group v Fikile & others 71 the Labour Appeal Court held that it does not follow that ‘in all
cases an automatic termination clause based on
contracts concluded for legitimate reasons’. The test is whether in the circum-
circumvent obligations contained in the LRA and the Constitution. 72 In Pecton Outsourcing Solutions CC the
Labour Court framed the test as whether the ‘true cause of the termination’ (ie, the lapse or completion of a
contract) ‘in the
circumstances of each case . . . is enforceable given section 5 of the LRA’.73 The ________________________
69 Automatic termination clauses have proved particularly problematic, see Pecton Outsourcing Solutions CC v
Pillemer & others (fn 21): ‘The clause most open to abuse, in the sense of ‘contracting out’ of an employee’s LRA
right not to be unfairly dismissed, is the happening of an event. These clauses should rightly attract the scrutiny of
the CCMA and courts to ensure that, however craftily they are drafted, temporary employment service employees’
rights under the LRA are not circumvented and public morality is not offended by their enforcement’ (at para 23).
70 In Association of Mineworkers & Construction Union & others v Piet Wes Civils CC & another (2017) 38 ILJ
1128 (LC) the Labour Court held that termination of the contract by a client is not a ‘specific event’ for purposes
of s 198B(1) of the LRA of 1995.
72 Each case must be decided on its merits and some of the relevant considerations would include ( ibid): ‘the
precise wording of the automatic termination clause and the context of the entire agreement; the relationship
between the fixed-term event and the purpose of the contract with the client; whether it is left to the client to
choose and pick who is to render the services under the service agreement; whether the clause is used to unfairly
target a particular employee by either the client or the employer; whether the event is based on proper economic
and commercial considerations’.
73 See fn 71. The court stated that substance (the content of the reason for the termination) should enjoy
preference over form (the contractual device used) (at para 34). The reasons recognised in s 188 of the LRA are
conduct, capacity and operational requirements: ‘If the facts show that the reason for termination of the contract is
one that typically constitutes a reason for a dismissal, then this is a clue that . . . there may be an attempt to
“contract out” of section 188 of the LRA. In the absence of evidence to the contrary, the termination thus becomes
a dismissal and the underlying reasons for it will be ventilated in forums the LRA has set aside for this purpose’(at
para 43).
difference in the two approaches is that under the first there is no dismissal of which the fairness may be judged,
whilst under the second approach an appropriate forum would have jurisdiction to consider the alleged unfairness
of the
‘dismissal’.
on a fixed-term contract (and pay him or her less than the threshold amount)
have, with some limited exceptions, been severely curtailed. An employer may
tracts for longer than three months in only two circumstances: when the nature
of the work for which the employee is employed is of a͒limited or definite dur-
ation or when the employer can demonstrate any other justifiable reason for
The Labour Court has fairly consistently adopted the view that when an em-
ployee reaches the normal or agreed retirement age, the contract of employ-
and must be determined from the contract of employment and from applic-
able policies and any relevant rules of a retirement fund. In SACTWU & others v Rubin Sportswear, 76 the Labour
Court found in favour of employees who had been dismissed after reaching what the employer claimed was normal
retirement age. The court drew a distinction between the rules of a retirement fund,
which established no more than an age from which benefits might be claimed,
and a retirement age for the purposes of termination of employment. This judg-
ment was upheld by the Labour Appeal Court which held that the dismissals
were automatically unfair because they had been effected on the basis of age
________________________
74 In Association of Mineworkers & Construction Union & others v Piet Wes Civils CC & another (fn 70) the
employer could not prove justifiable cause and there was therefore no automatic termination of the contracts as
they were either of an unlimited duration or had to be deemed to be of an indefinite duration.
75 Rubenstein v Price’s Daelite ( Pty) Ltd (2002) 23 ILJ 528 (LC) and Schweitzer v Waco Distributors [1998] 10
BLLR 1050 (LC).
77 In Kirsten v Southern Cross Manufacturing Co Ltd (2006) 27 ILJ 2471 (CCMA) it was found (while
considering the meaning of a ‘normal or agreed retirement age’ in s 187 of the LRA) that an employee whose
employment was terminated at age 66, in the course and scope of a reconstruction exercise, had actually been
retrenched and not retired. Therefore, she was entitled to severance pay for her 22 years’ service. In Evans v
Japanese School of Johannesburg (2006) 27 ILJ 2607 (LC) the employer had no agreed retirement age for its staff.
Staff had in the past generally retired at the age of 65. The employer’s unilateral decision to institute a retirement
age of 60 years and to require a 63-year-old employee to retire constituted an automatically unfair dismissal on the
ground of age. For a further discussion see ch 10.
252 Law@work
SATAWU v Old Mutual Life Assurance Company South Africa Ltd78 the Labour Court held that when employees
choose to take early retirement rather than
normal retirement age, the Labour Court has held that in these circumstances
an employee is not entitled to protection against unfair dismissal. This is not an uncontroversial position. It might
be suggested that a new employment relationship is established after the first terminates on the employee’s
retirement. On this basis, there is no reason why the second relationship should not enjoy protection against an
unfair or arbitrary dismissal by the employer. In Botha v Du
Toit Vrey & Partners CC 79 the Labour Court was willing to hold that in the event of a post-retirement dismissal
the employee is entitled to be consulted over the
continue working beyond the mandatory retirement age the courts will refuse
to assist employees because they were not dismissed; their contracts simply
2.2.4 Insolvency
Until 1 January 2003, section 38 of the Insolvency Act 24 of 1936 provided for the automatic termination of
employment contracts on the insolvency of the employer. After that date the amended section 38 provides for the
suspension of
automatic termination in terms of section 38(9) (in other words, after the lapse of 45 days).
The Labour Appeal Court has distinguished between the voluntary and com-
pulsory liquidation of a business. In a case where the shareholders of a business had adopted a resolution to wind
up the company the court held that the issue
was whether it could be said that the employer had ‘engaged in an act which
by the law’. In this instance the court decided that the decision to pass the
special resolution was an action by the employer that brought the contracts of
had effectively terminated the contracts and that termination was a dismissal
________________________
79 [2006] 1 BLLR 1 (LC). In this case, it was decided that where no retirement age was agreed with the employee
the employer is entitled (in the absence of an agreement) to determine the retirement age at the standard or normal
retirement age in the particular field in which the employee is employed. To this end, the consent of the employee
is not required. However, it was held to be unfair to simply give an employee one month’s notice of termination of
his or her working life without any prior discussion.
80 See also Datt v Gunnebo Industries ( Pty) Ltd [2009] 5 BLLR 449 (LC).
253
court has the discretion to grant an order to wind up the employer, and there is
therefore no act by the employer that brings about the termination of the con-
tracts of employment. The BCEA now includes a right to severance pay in cir-
automatic transfer, unless otherwise agreed, of contracts from the insolvent em-
erally not a dismissal, and is sometimes referred to as termination on account of a settlement or waiver. There is a
difference between the two concepts. When
an employee settles a claim or waives a right to pursue it, there may have been
a dismissal, but the employee agrees not to pursue a claim for relief consequent
there is no ‘dismissal’.84
enters into the agreement with full knowledge of its implications, and that there has been no misrepresentation by
the employer that induced the employee to
conclude the agreement. The court will examine all of the relevant facts and
circumstances and determine whether the employee left the employer’s em-
ploy of his or her own volition.85 The Labour Court has considered an agreement
between parties to the effect that they would part amicably if their relationship did not work void and invalid on
the basis that parties to an employment contract cannot contract out of the LRA’s protection against unfair
dismissal.86
between equal parties in which the employee waives the right to pursue an
unfair dismissal claim is not contrary to public policy and will be upheld. 87
________________________
82 S 41 of the BCEA.
83 See ch 13.
84 This was confirmed by the Labour Appeal Court in CEPPWAWU & another v Glass and Aluminium 2000 CC
(fn 14). In Ferguson v Basil Read ( Pty) Ltd [2013] 3 BLLR 274 (LC) an employee concluded a severance
agreement in full and final settlement of all possible claims arising from his contemplated retrenchment. Such
termination of employment was held to be consensual rather than a dismissal.
85 See Baudach v United Tobacco Co Ltd (2000) 21 ILJ 2241 (SCA) where the court found that the employer had
misrepresented the redundancy of the employee’s position, and set aside the agreement for that reason.
86 Trio Glass t/a The Glass Group v Molapo NO & others (2013) 34 ILJ 2662 (LC) .
87 Gbenga-Oluwatoye v Reckitt Benckiser South Africa ( Pty) Ltd & another [2017] 1 BLLR 1 (CC).
254 Law@work
2.2.6 Death
Most employees are employed by juristic persons and their continued employ-
The common law recognises that a contract may terminate when performance
of that contract becomes impossible.88 A distinction is drawn between temporary and permanent impossibility. In
the former case, any obligation to perform in terms of the contract is suspended – in the latter case, the contract
terminates
ployees who are absent for protracted periods, usually as a result of their deten-
tion or imprisonment.89 In NUM & another v CCMA & others90 Francis J held that where an employer cancels a
contract of employment after the employee has
been committed to prison for ten months the ‘acceptance’ of the employee’s
purported repudiation of the contract (that is, his failure to offer services due to his incarceration) constitutes
dismissal in terms of section 186(1)(a) of the LRA.
some other incapacity. Although the common-law rules are shot through with
various statutory entitlements to annual leave and sick leave, when these are
exhausted and, in some cases at least, before that point, it is conceivable that
In FAWU obo Meyer v Rainbow Chickens 91 the commissioner held that there was an automatic termination of a
contract of employment when the employee’s accreditation to slaughter chickens, granted by the Muslim Judicial
________________________
88 The Asphalt Venture Windrush Intercontinental SA & another v UACC Bergshav Tankers AS
2017 (3) SA 1 (SCA): ‘There is nothing special about the contract of employment that precludes such a contract
from being subject to the ordinary principles of frustration of contracts’ (at para 34). Asphalt Venture was hijacked
by Somali pirates off the Kenyan coast and alhough a ransom was paid and the ship released, the pirates retained
seven Indian sailors as hostages. Their employment contracts were terminated by impossibility where supervening
events ‘rendered their performance impossible or radically different’ from what was undertaken.
89 In most instances of protracted incarceration, employers do give notice of termination of employment to the
absent employee (mostly for incapacity or operational requirements).
The issue of whether the contract terminates automatically then does not come into play.
What is often debated is the true reason for the dismissal. In Samancor Tubatse Ferrochrome v MEIBC & others
[2010] 8 BLLR 824 (LAC) the Labour Appeal Court preferred incapacity as the more appropriate reason.
255
Council, was withdrawn. 92 The same principle had previously been extended, more controversially, to
circumstances where an employee’s work permit is withdrawn or expires. However, the Labour Court has held that
a person in these cir-
cumstances may claim unfair dismissal at least in principle. 93 The court decided
specifically that the applicant was an ‘employee’ for the purposes of the LRA
and that the CCMA therefore had jurisdiction to entertain his referral of an unfair dismissal dispute. 94
In the public sector, section 17(3)(a) of the Public Service Act 103 of 1994 provides that if an employee is absent
from work for a period of more than one calendar
month he or she is deemed to have been discharged for misconduct. There are
similar provisions in other statutes regulating employment in the public service, notably in respect of the police
and teachers engaged in public schools. This
not a dismissal for the purposes of the LRA. (The Labour Court has held that the
provision applies in the absence of the employer’s disciplinary code and pro-
cedure.) Although these deemed dismissals do not constitute dismissals for the
In practice, section 17(3) should be used only where the employer does not
know where the employee is,96 where the employee has refused to return to
________________________
92 See also Mills v Drake International SA ( Pty) Ltd (2004) 25 ILJ 1519 (CCMA). In another case, Mhlungu &
another v Gremick Integrated Security Specialists ( a division of Servest ( Pty)
Ltd) (2001) 22 ILJ 1030 (CCMA), the employer, after appointing certain security guards, was faced with newly
introduced regulations prohibiting the employment of security guards without certain prescribed training. The
employees did not have that training and were consequently dismissed. The commissioner held that the CCMA
had jurisdiction to determine the matter as the dismissals were a species of dismissal for incapacity (because of
supervening impossibility of performance) and not of dismissal for operational requirements.
94 See ch 4.
95 Public Servants Association obo Lessing v Safety and Security Services Bargaining Council
& others [2014] 5 BLLR 484 (LC). See also Grootboom v National Prosecuting Authority & another [2013] 5
BLLR 452 (LAC), Grootboom v National Prosecuting Authority & another
[2014] 1 BLLR 1 (CC) and Solidarity & another v Public Health and Welfare Sectoral Bargaining Council &
others [2013] 4 BLLR 362 (LAC).
96 HOSPERSA & another v MEC for Health [2003] 12 BLLR 1242 (LC).
97 Where an employee is suspended the Labour Court ( Solidarity obo Kotze v PHWSBC & others [2010] 11
BLLR 1203 (LC)) confirmed that an employee is obliged to render his or her services immediately when such
suspension is lifted. The employee obtained work for 90
minutes per day (outside the hours he usually worked for the department). When his employer became aware of
this his contract was terminated in terms of the Public Service Act on the basis of s 17(3)(a)(ii). In a review
application the court agreed with the commissioner’s finding that there was no dismissal. The court did not agree
with the contention continued on next page
256 Law@work
employee with the offence of absence from work in terms of the disciplinary code, the code should be applied and
a hearing convened. Section 14(1)(a) of the
Employment of Educators Act 76 of 1998, cast in terms similar to section 17(3)(a) of the Public Service Act,
survived a constitutional attack in the Supreme Court
condition is not met, and there is no dismissal for the purposes of the LRA. For
example, if an employee is required to obtain a qualification or licence within a specified time, or is to be released
from a restraint of trade agreement with a
not met.99
3 Date of dismissal
The LRA provides that the date of dismissal is the earlier of the date on which
service of the employer. If employment is terminated on notice, ‘the date of dismissal is the date on which the
notice expires or, if it is an earlier date, the date
on less favourable terms, the date of dismissal is the date on which the employer ________________________
that s 17(3)(b)(ii) could only come into operation once it has been established that the employee has absconded (at
para 10). The court held that whereas the deemed termination under sub-para (i) can only be invoked after the
expiry of 30 days of absence without authorisation no such prescribed period exists under sub-para (ii). The
employer can invoke the deeming provision as soon as the employee has, without authority, assumed employment
elsewhere (at para 14).
98 Phenithi v Minister of Education & others (2006) 27 ILJ 477 (SCA). Furthermore, it was held that the discharge
of educators under this section cannot be reviewed under the PAJA, or the common law since such discharge does
not require a decision by any official and therefore does not constitute ‘administrative action’. S 14(2) affords
educators an opportunity to be heard after their discharge and the fact that such a hearing is not mandatory does not
itself render the provision unconstitutional – the employer’s failure to exercise the discretion as to whether to hear
the employee may be challenged. See also Free State Provincial Government ( Department of Agriculture) v
Makae ( in his capacity as Commissioner of the CCMA, Free State Province & Presiding Officer) & others [2006]
11 BLLR 1090
(LC). A collective agreement providing that employees will be ‘summarily dismissed’ after being absent without
leave for a specified period was not considered a deemed dismissal or termination by operation of law. See
Minister of Correctional Services v Police and Prisons Civil Rights Union obo Mmoledi & others [2016] 6 BLLR
637 (LC).
99 In Nogcantsi v Mnquma Local Municipality & others (fn 8) the contract was concluded subject to a resolutive
condition, namely the positive outcome of the vetting process, which was held not to be in conflict with the LRA,
commercially justifiable and an automatic termination of the contract rather than a dismissal.
257
notified the employee of its intention not to renew or the date on which the em-
ployer offered the less favourable terms.101 If the employer refused to allow an employee to resume work (after
pregnancy), the date of dismissal is the date of
such first refusal. 102 In instances where an employer refused to reinstate or re-
employ an employee, the date of dismissal is the date on which the employer
first refused to reinstate or re-employ that employee. 103 Section 190(1) does not
when she ceases providing services’ and, in terms of section 186(1)(e), can do
4 Dispute resolution
The statutory dispute resolution structures are discussed in chapter 17. For pre-
sent purposes, a brief overview of the relevant procedures may be helpful.105 If a dispute concerns the unfair
dismissal of an employee for reasons related to
ployee does not know the reason for the dismissal, the CCMA must arbitrate the
dispute at the request of the employee.106 The employee who was dismissed for operational requirements may
elect to refer an unfair dismissal claim to the
CCMA if that employee was the only one consulted in terms of section 189 of
the LRA, or if the employer employs less than ten employees irrespective of the
number of employees who are retrenched.107 The employee or a duly authorised representative must complete
and lodge a CCMA Form 7.13 within 90 days
of the date on which the certificate that the dispute remains unresolved after
________________________
104 Helderberg International Importers ( Pty) Ltd v McGahey NO & others [2015] 4 BLLR 430
(LC) at para 8.
105 A dispute regarding an unfair dismissal must be referred for conciliation and arbitration within 30 days from
the date of dismissal (or 30 days from the date that the employer took the final decision to dismiss). An employee
may thus refer an unfair dismissal dispute during a notice period (s 191(2A)). The LRA also makes provision for
the process of ‘con-arb’, which requires that there must be – immediately continued with – arbitration after
unsuccessful conciliation. In the event of the dismissal of an employee still on probation the
‘con-arb’ process applies automatically (s 191(5A)), in other cases the parties may consent thereto.
107 S 191(12) of the LRA. In Bracks NO & another v Rand Water & another [2010] 8 BLLR 795
(LAC) the Labour Appeal Court held that, in accordance with an interpretation that gives effect to the purpose of s
191(12) of the LRA, the CCMA has jurisdiction in terms of that section to hear disputes regarding the procedural
fairness of a dismissal for operational requirements involving single employees.
258 Law@work
conciliation is issued. This is the case even if the period of conciliation was extended. 108
The Labour Appeal Court has held that a provision in a contract requiring the
referral of disputes to private arbitration and entailing the waiver of a right under a collective agreement to refer a
dismissal dispute to a council for conciliation
In Wardlaw v Supreme Mouldings ( Pty) Ltd110 the Labour Appeal Court confirmed that in a dismissal dispute the
court’s jurisdiction is not determined by an employee’s description of the reason for dismissal, but by the actual
reason for
the dismissal. Accordingly, if the court was to establish that a dispute should
have been referred for arbitration, the proper course will be to stay proceedings and refer the matter to the CCMA
or bargaining council or, by agreement of the
parties concerned, and with the court’s consent, the court could sit as arbitrator.
The general rule on the onus of proof is stated in section 192 of the LRA. This section provides that in any
proceedings concerning a dismissal it is for the em-
ployee to establish the existence of the dismissal and, if the employee succeeds
in doing so, the employer must prove that the dismissal is fair. The existence of a dismissal is normally proved by
reference to the definition in section 186 of the LRA. Once a dismissal has been established, section 188 provides
that a dismissal is unfair if the employer fails to prove that the reason for the dismissal is a fair reason related to the
employee’s conduct or capacity, or is based on the
accordance with a fair procedure. In the case of a reason for dismissal that is
automatically unfair the employee must establish the dismissal and, according
to some judgments, one of the reasons listed in section 187, and if the employee
________________________
108 South African Municipal Workers Union obo Manentza v Ngwathe Local Municipality & others [2015] 9
BLLR 894 (LAC).
109 National Bargaining Council for the Road Freight Industry & another v Carlbank Mining Contracts ( Pty) Ltd
& another [2012] 11 BLLR 1110 (LAC).
110 (2007) 28 ILJ 1042 (LAC). The CCMA’s territorial jurisdiction is determined by the referring party’s pleaded
case (eg an employee working at the London office of a statutory body dismissed for alleged misconduct with
nothing indicating that the London office was a separate undertaking fell under the CCMA’s jurisdiction) – Monare
v South African Tourism & others [2016] 2 BLLR 115 (LAC).
111 Refer to ch 10 at para 1 ‘Introduction’ where the onus in the context of automatically unfair dismissals is
discussed.
259
In the case of dismissals for misconduct the CCMA does not review the pro-
quired to make a judgment on the facts that are established by the evidence
sanction for any misconduct or incapacity that is established. This does not
for an employer’s decision to dismiss.113 There was some controversy about the
decision to dismiss. In Rustenburg Platinum Mines Ltd ( Rustenburg Section) v CCMA & others114 the Supreme
Court of Appeal held that commissioners ought
that they were not at liberty to interfere only because they would have imposed
Court of Appeal and took a different approach.115 The court held that it was the commissioner’s sense of fairness
and not the employer’s view that must prevail.
But this did not mean that a commissioner is at liberty to impose the sanction that he or she would have imposed;
the commissioner must ask whether the employer’s decision to dismiss was fair. This requires the commissioner to
make a
value judgement with due regard to the interests of both the employer and the
employee.
In approaching the dispute impartially a commissioner will take into account the
totality of circumstances. He or she will necessarily take into account the importance of the rule that had been
breached. The commissioner must of course con-
sider the reason the employer imposed the sanction of dismissal, as he or she must take into account the basis of
the employee’s challenge to the dismissal. There
are other factors that will require consideration. For example, the harm caused by the employee’s conduct, whether
additional training and instruction may result in the employee not repeating the misconduct, the effect of dismissal
on the employee and his or her service record. This is not an exhaustive list.
To sum up. In terms of the LRA, a commissioner has to determine whether a dis-
missal is fair or not. A commissioner is not given the power to consider afresh
________________________
112 In Ndimande and Hlangasa (2009) 30 ILJ 1667 (CCMA) it was decided that where there are two contrasting
versions of events (eg the employer contending that the employee voluntarily resigned while the employee alleges
that she had been dismissed) the onus is on the respondent employer to show on a balance of probabilities that its
version is more probable and acceptable. See also First Garment Rental ( Pty) Ltd v CCMA & others
113 Rustenburg Platinum Mines Ltd ( Rustenburg Section) v CCMA & others [2006] 11 BLLR 1021
(SCA). See also County Fair Foods ( Pty) Ltd v CCMA [1999] 11 BLLR 1117 (LAC) where the Labour Appeal
Court developed the requirement of deference to the employer in relation to sanction. See also Myburgh SC and
Van Niekerk ‘Dismissal for Misconduct: The Reasonable Employer and Other Approaches’ (2000) 21 ILJ 2145.
114 Fn 113.
115 Sidumo v Rustenburg Platinum Mines Ltd & others [2007] 12 BLLR 1097 (CC).
260 Law@work
what he or she would do, but simply to decide whether what the employer did
was fair. In arriving at a decision a commissioner is not required to defer to the decision of the employer. What is
required is that he or she must consider all relevant
circumstances.116
The decision of the Supreme Court of Appeal in Edcon Ltd v Pillemer NO &
others117 requires that an employer should not take for granted that certain kinds of misconduct, especially those
involving dishonesty, necessarily imply that the relationship of trust and confidence has been destroyed. The
employer
needs to lead sufficient evidence to justify such a conclusion. 118 According to the Labour Appeal Court, it means
that it is not necessary to lead evidence
relating to the effect of misconduct on the trust relationship where the gravity of the misconduct speaks for itself
but only in those cases where conduct is less
serious.119
5.1 Introduction
If an employee is found to have been unfairly dismissed, there are three possible remedies that an arbitrator or the
Labour Court is empowered to award in terms
of section 193(1):
l reinstatement from any date not earlier than the date of dismissal;120
l re-employment in either the same work or into other reasonably suitable work
l compensation.
________________________
116 Ibid at paras 78–79. See also Myburgh ‘Determining and Reviewing Sanction after Sidumo’
(2010) 31 ILJ 1 in which this approach is referred to as the ‘impartial commissioner’ test.
118 In Miyambo v CCMA & others [2010] 10 BLLR 1017 (LAC) the Labour Appeal Court held that dismissal
after the theft of scrap metal was an appropriate sanction, and a fair operational response from the employer’s side.
See Smit ‘How do you Determine a Fair Sanction? Dismissal as Appropriate Sanction in Cases of Dismissal for
(Mis)Conduct’ (2011) 1 De Jure 47.
119 See Woolworths ( Pty) Ltd v Mabija & others [2016] 5 BLLR 454 (LAC) and Autozone v Dispute Resolution
Centre of Motor Industry & others [2019] 6 BLLR 551 (LAC). In the latter case the Labour Appeal Court had
regard of the ‘nature of the offence and the manner of its commission’ to accept that ‘the continuation of the
relationship had become intolerable’ where the driver was guilty of ‘[d]ishonest conduct, deceitfully and
consciously engaged in against the interests of the employer’ (at para 13). An employer should however be careful,
as it would be ‘prudent normally to lead evidence . . ., unless the conclusion that the relationship has broken down
is apparent from the nature of the offence and/or the circumstances of the dismissal’ (at para 11).
120 See para 3 ‘Date of dismissal’. The date of dismissal is the date on which a notice of termination of
employment expired, unless the employee was released from service earlier (s 190(1) of the LRA). Where an
employee is summarily dismissed, the date of dismissal is the date that the employee is discharged. It must be
noted that where there is an internal appeal this does not ‘extend’ the date of dismissal.
261
Reinstatement and re-employment are the primary remedies, 121 and an unfairly dismissed employee is entitled to
an award of reinstatement or re-employment
unless:122
l the circumstances surrounding the dismissal are such that a continued em-
or
l the dismissal is unfair only because the employer did not follow a fair pro-
cedure.
stances where the reason for dismissal was related to the employer’s operational
cumstances to make any ‘other order that it considers appropriate in the cir-
cumstances’.124
________________________
121 In the event of a substantively unfair dismissal the employee concerned is entitled to reinstatement unless the
employer leads evidence to prove one of the statutory exceptions. See Visser v Mopani District Municipality &
others [2012] 3 BLLR 266 (SCA) and Equity Aviation Services (Pty) Ltd v Commission for Conciliation,
Mediation and Arbitration & others [2008] 12 BLLR 1129 (CC), where the Constitutional Court stated:
‘Reinstatement is the primary statutory remedy in unfair dismissal disputes. It is aimed at placing an employee in
the position he or she would have been but for the unfair dismissal. It safeguards workers’ employment by
restoring the employment contract’ (at para 36). See also SA Commercial Catering & Allied Workers Union &
others v Woolworths (Pty) Ltd (2019) 40 ILJ 87 (CC) when the Constitutional Court noted that ‘[i]t is by now
axiomatic that reinstatement is the primary remedy that the LRA affords employees whose dismissals are found to
be substantively unfair’ (at para 43).
122 S 193(2) of the LRA. In New Clicks SA ( Pty) Ltd v CCMA & others (2008) 29 ILJ 1972 (LC) the court held
that s 193(2) of the LRA should be sparingly invoked and that the primary remedy of reinstatement should be
refused only after careful consideration of all relevant circumstances. An employer who alleges that a continued
employment relationship
would be intolerable bears the onus of leading evidence in this regard. See also Xstrata South Africa ( Pty) Ltd (
Lydenburg Alloy Works) v National Union of Mineworkers obo Masha & others [2017] 4 BLLR 384 (LAC) where
the court interpreted s 193(2) to mean that reinstatement would be futile; in Toyota SA Motors ( Pty) Ltd v CCMA
& others (fn 15) the court held that reinstatement was not reasonably practicable where dismissal ‘interrupted
resignation’.
123 See Kroukam v SA Airlink ( Pty) Ltd [2005] 12 BLLR 1172 (LAC) where the Labour Appeal Court held that
mere allegations that the employment relationship had broken down and that continued employment was not
feasible were not sufficient. See also Matsekoleng v Shoprite Checkers ( Pty) Ltd [2013] 2 BLLR 130 (LAC). The
presiding officer must, however, consider whether circumstances had rendered continued employment intolerable
– Moodley v Department of National Treasury & others [2017] 4 BLLR 337 (LAC). Intolerability was successfully
raised by the employer where the dismissed employee used a racial slur in South African Revenue Service v CCMA
& others 2017 (1) SA 549 (CC).
124 S 193(3) of the LRA. A footnote to s 193(3) suggests that in a discrimination case the court may consider
granting an interdict against any discriminatory practice.
262 Law@work
The differing interpretations that previously existed all turned on the use of the word ‘or’ in section 193(1) and
whether it is intended to be disjunctive. In practice, the retrospective component of a reinstatement order is
generally con-
The decisions by the Supreme Court of Appeal in Republican Press (Pty) Ltd v
Chemical, Energy, Printing, Paper, Wood & Allied Workers Union 126 and by the Constitutional Court in Equity
Aviation Services (Pty) Ltd v CCMA 127 have respectively clarified much of the uncertainty that previously
existed. In essence, they confirm that back pay is not to be equated with compensation, that there is no
date of dismissal even if this is beyond the periods of 12 or 24 months that apply to awards of compensation, and
that while the passage of time or any delay in
the proceedings is a factor to be taken into account in assessing the imprac-
made. 128
primary remedies for an unfair dismissal. Although the Act does not define either concept, reinstatement, on the
one hand, implies that the period of service
between the date of dismissal and the reinstatement order remains unbroken
tutional Court has stated that reinstatement is aimed at ‘placing the employee
in the position that they would have been or that they would have occupied,
but for the unfair dismissal’. 129 A reinstatement order thus effectively requires the
employer to place the employee in the position in which the employee would
have been but for the dismissal. The employee is generally entitled to be paid
for any retrospective period of reinstatement and to the benefits that accrued
________________________
125 The debate whether an employee is entitled to more than one remedy, eg reinstatement and compensation, was
disposed of in MEC for Tourism, Environment and Economic Affairs: Free State v Nondumo, ZM & others [2005]
10 BLLR 974 (LC). In that matter the court held that s 194(4) limits compensation to 12 months and it cannot be
awarded alongside reinstatement.
127 Fn 121. See also Toyota SA Motors ( Pty) Ltd v CCMA & others (fn 15).
128 See Le Roux ‘Getting Clarity: The Difference Between Compensation, Damages, Reinstatement and Backpay’
(2011) 32 ILJ 1520 at 1544. Back pay continues to accumulate pending an unsuccessful appeal – National Union
of Metal Workers of South Africa obo Fohlisa
& others v Hendor Mining Supplies A Division of Marschalk Beleggings ( Pty) Ltd [2014] 2
129 SA Commercial Catering and Allied Workers Union & others v Woolworths (Pty) Ltd (fn 121) at para 45.
130 In Themba v Mintroad Sawmills ( Pty) Ltd [2015] 2 BLLR 174 (LC) the dismissed employee was entitled to
loss of income proved including increases and benefits that would have continued on next page
263
The circumstances in which reinstatement and re-employment should not be
granted are listed above. In Kroukam v SA Airlink ( Pty) Ltd, the Labour Appeal Court confirmed that a court or
arbitrator has no discretion not to award re-
instatement or re-employment unless one of the listed factors is present.131 However, in Matsekoleng v Shoprite
Checkers ( Pty) Ltd132 the Labour Appeal Court held that although reinstatement is generally appropriate when an
employee’s
or her superiors and by his or her poor disciplinary record. Furthermore, while the primary relief for unfairly
dismissed employees is reinstatement, the Labour
Appeal Court has cautioned that the period of retrospectivity of an order must
back pay).133 The court has also confirmed that reinstatement is not a com-
In SA Commercial Catering & Allied Workers Union v Woolworths (Pty) Ltd, 134
the Constitutional Court noted that the LRA does not define what is meant by
that it was evident that it meant more than mere inconvenience and requires
5.3 Compensation
either because the employer did not prove that the reason for dismissal was a
fair reason related to the employee’s conduct, capacity or the employer’s oper-
ational requirements or because the employer did not follow a fair procedure,
or both, must be ‘just and equitable’ in all the circumstances, but not more than the equivalent of 12 months’
remuneration (section 194). In the case of automatically unfair dismissals, there is a discretion to award up to 24
months’ com-
pensation.
________________________
been received during absence from employment. However, it did not include payment in lieu of annual leave not
taken after dismissal and before resuming work in terms of the reinstatement order. This means that the employee
is placed in the position that he or she was before the dismissal. However, the employee may not seek to be placed
in a position into which the employee contends that he or she would have been promoted, but for the dismissal (see
National Commissioner of the South African Police & another v Myers
[2018] 9 BLLR 882 (LAC)). The employee is similarly not entitled as of right to the payment of any discretionary
bonus foregone between the date of dismissal and the order of reinstatement (see Pikitup Johannesburg (SOC) Ltd
v Mutero (2019) 40 ILJ 1030 (LAC)).
Re-employment, on the other hand, implies that the effect of the order is the creation of a new employment
relationship, or, more accurately, the resumption of the relationship interrupted by the dismissal.
131 Confirmed by the Supreme Court of Appeal in Visser v Mopani District Municipality & others (fn 121).
132 Fn 123. See also Dunwell Property Services CC v Sibande & others [2012] 2 BLLR 131 (LAC).
133 Mediterranean Textile Mills ( Pty) Ltd v SACTWU & others [2012] 2 BLLR 142 (LAC). Owing to the
employer’s poor financial position, back pay was reduced from 27 months to 12.
134 Fn 121.
264 Law@work
awarded, and that the discretion must be exercised judicially. 136 This broad
given rise to inconsistency both in the amount awarded as well as the factors
that are considered relevant in arriving at the appropriate amount. The Labour
mary objects of the LRA, namely the effective and speedy resolution of dis-
putes.138
In Northern Province Local Government Association v CCMA & others, 139 the Labour Court held that an
employee must be properly informed of all the circumstances that would render the amount of compensation
awarded just and
equitable. This in turn would imply that commissioners and the courts cannot
merely ‘pull an amount out of a hat’. It should be apparent from the award that
the commissioner applied his or her mind to relevant factors in arriving at a just and equitable conclusion as to the
amount of compensation to be awarded. In
Tibbett and Britten ( South Africa) ( Pty) Ltd v Marks & others, 140 for example, the Labour Court reviewed and
set aside an award of 12 months’ compensation in
circumstances where the employee had been found guilty of using a company
credit card for personal use. The court considered the amount excessive and a
Labour Court taking into account factors such as the length of time that the
employee was unemployed, the amount spent on the credit card and the con-
________________________
135 See Fourie v Capitec Bank [2005] 1 BALR 29 (CCMA) for one of the few awards that actually considered the
amount of compensation to be awarded (ie, deciding what is just and equitable). The commissioner, relying on
Hoffmann v SA Airways (2000) 21 ILJ 2357 (CC), held that fairness requires a consideration of the interests of all
who might be affected by the order. It was therefore held that not only the interests of the employee but also those
of the employer had to be considered.
136 In Transnet Ltd v CCMA & others (2008) 29 ILJ 1289 (LC) the court held that where a commissioner had
ignored the reprehensible nature of the employee’s misconduct (serious assault) the award of six months’
compensation was not ‘just and equitable’.
137 In fact, the Labour Appeal Court has held that where a commissioner does not provide reasons for the amount
of compensation awarded for a substantively unfair dismissal, this does not in itself amount to a reviewable
irregularity of such award – ABSA Brokers ( Pty)
Ltd v Moshoana NO (2005) 26 ILJ 1652 (LAC). In Viney v Barnard Jacobs Mellet Securities ( Pty) Ltd (2008) 29
ILJ 1564 (LC) the Labour Court stated that when considering whether compensation is ‘just and equitable’ the
interests of both the employer and employee must be taken into consideration.
265
wording of section 194 (as amended in 2002) suggests that this is the case, and
the CCMA and the Labour Court are not precluded from effectively making a
declaratory order to the effect that a dismissal was procedurally unfair, with no attached order of compensation.
This has typically been done in cases where the employer, after conceding
which is then refused by the employee. In those cases where employers have
dress the courts have taken a number of factors into account. These include:
l whether the employer provided the employee with substantially the same
kind of redress. In most cases where employers have offered unconditional
l whether the employer’s ability and willingness to make any redress has been
and
l the degree to which the employer deviated from the requirements of fair
procedure. 142
loss suffered by a dismissed employee and the right to compensation, and held
that the extent of any loss or the damages suffered by an employee are not
awarded. This approach has generally been continued after the 2002 amend-
ments and in FAWU & others v SA Breweries 143 the Labour Court described compensation as a solatium or
payment for the anxiety and hurt suffered by the employee as a consequence of being unfairly dismissed. 144
Another way of viewing
effecting an unfair dismissal as opposed to the restitution of financial loss. In Smith v The Kit Kat Group ( Pty)
Ltd145 an employee who had attempted suicide
________________________
142 See Scribante v Avgold Limited: Hartebeesfontein Division [2000] 11 BLLR 1342 (LC) where the court
discussed the considerations that must be taken into account when determining the appropriateness of awarding
compensation. See also Ferodo ( Pty) Ltd v De Ruiter (1993) 14 ILJ 974 (LAC) regarding quantum of
compensation.
144 See ARB Electrical Wholesalers ( Pty) Ltd v Hibbert [2015] 11 BLLR 1081 (LAC): ‘it is a payment for the
impairment of the employee’s dignity. This monetary relief is referred to as a solatium and it constitutes a solace to
provide satisfaction to an employee whose constitutionally protected right to fair labour practice has been violated.
The solatium must be seen as a monetary offering or pacifier to satisfy the hurt feeling of the employee while at
the same time penalising the employer. It is not however a token amount hence the need for it to be “just and
equitable” and to this end salary is used as one of the tools to determine what is “just and equitable”’ (at para 23).
266 Law@work
was not allowed to resume work because of his disfigured face and impaired
The Labour Court referred to how previous automatically unfair dismissal cases
“just and equitable” compensation in terms of the LRA is a difficult horse to ride’.
appropriate compensation:147
l the behaviour of the defendant (especially whether the motive was honour-
able or malicious);
to severance pay or to remuneration in lieu of notice. Whether an employee is entitled to claim contractual
damages for an unlawful dismissal in addition to
compensation for unfair dismissal is not a point that has been decided by the
courts, but in principle it would seem that the employee is entitled to claim both and benefit from both claims. It is
likely that the amounts of damages and compensation respectively would be taken into account in determining the
quan-
defined in section 213 of the LRA and includes both the cash and kind com-
________________________
146 At 1261, quoting Chemical Energy Paper Printing Wood and Allied Workers Union & another v Glass and
Aluminium 2000 CC [2002] 5 BLLR 399 (LAC): ‘It is a dismissal that undermines the fundamental values that the
labour relations community in our country depends on to regulate its very existence. Accordingly such a dismissal
deserves to be dealt with in a manner that gives due weight to the seriousness of the unfairness to which the
employee so dismissed has been subjected . . . It must also take into account the fact that such a dismissal is
viewed as the most egregious under the Act. Accordingly, there must be a punitive element in the consideration of
compensation’.
147 See ARB Electrical Wholesalers ( Pty) Ltd v Hibbert (fn 144) at paras 23–24.
148 Referring to Minister of Justice & Constitutional Development v Tshishonga [2009] 9 BLLR
149 In Zapop ( Pty) Ltd v CCMA & others [2016] 9 BLLR 910 (LAC) the employee was awarded compensation
based in part on commision due, which is included in remuneration as defined in the BCEA.
267
Special procedures exist for disputes about fair procedure in retrenchment. Sec-
tion 189A(13) provides that if an employer does not comply with fair procedure
________________________
150 See ch 12 at para 3 ‘Procedural fairness’ and para 4 ‘The consultation process’.
10
dismissal
Page
1 Introduction
....................................................................................................
271
8 Unfair discrimination
......................................................................................
284
269
271
1 Introduction
Section 187 of the LRA lists a number of reasons for dismissal that, if established, are ‘automatically unfair’. This
means that the dismissal of the employee is unfair simply by virtue of the reason for the dismissal, and it is not
open to the employer to justify its decision to dismiss the employee. In other words, once it has been proven that
an employee was dismissed for one of the automatically unfair
reasons listed in section 187, the employer will not be afforded the opportunity
to discharge the onus of showing that the dismissal was fair, and the proceed-
ings must move directly to a consideration of the remedy to which the em-
ployee is entitled.
International labour law recognises two kinds of reasons that are automatic-
ally unfair: reasons involving discrimination and reasons related to the worker’s
exercising a right.1 The form that the dismissal might take is not relevant – a con-
structive dismissal, for example, can have as its underlying basis an automatic-
It may happen that an employer has more than one reason for dismissal, one
of them automatically unfair and the other not, or that an employer attempts to
dismissal in terms that might have less severe consequences. When an em-
ployee falls pregnant, for example, the employer might seek to contrive some
other basis for dismissal. The Labour Court has stated that if the ‘main reason’ for dismissal is automatically
unfair, the employer is not entitled to rely on an ancillary reason to escape the consequences of its actions. In other
words, it will not assist the employer to show that the dismissal was effected for some other secondary reason that
is not automatically unfair. In the above example, if the em-
ployee was dismissed for reasons related to her pregnancy, the employer would
not be able to rely on the employee’s incapacity as an ancillary ground for the
dismissal, and seek to justify it on that basis. The Labour Court would enquire into the extent to which the
automatically unfair reason contributed to the decision
to dismiss the employee, and determine the main or proximate reason for dis-
The LRA does not deal specifically with the onus of proof in cases where an
automatically unfair reason for dismissal is alleged.2 It is clear from the cases that
the Labour Court has required the employee to establish the existence of a dis-
missal (as required by section 192(1)) and, in addition, to lead some evidence to ________________________
272 Law@work
at least establish a prima facie case that an automatically unfair reason was the effective or the main reason for the
dismissal. This does not mean that the employee bears the onus of proving the automatically unfair reason. 3 The
Labour Appeal Court has confirmed that the employer bears the onus of proving the
fairness of the dismissal. 4 In Janda v First National Bank, 5 the Labour Court made the point in the following
way:
This essential point is obscured if one speaks of ‘the employee must prove’ or a
‘shifting’ of the onus or a duty to establish a prima facie case that the reason for the dismissal was an automatically
unfair one. The evidentiary burden placed
upon an employee creates the need for there to be sufficient evidence to cast
doubt on the reason for the dismissal put forward by the employer or, to put it differently, to show that there is a
more likely reason than that of the employer . . .
The essential question however remains, after the court has heard all the evi-
dence, whether the employer upon whom the onus rests of proving the issue, has
discharged it. 6
The court expressly rejected the approach of the Labour Court in Mafomane v
Rustenburg Platinum Mines Ltd, 7 and held that section 192(2) expressly places the onus on the employer ‘where
it remains throughout the trial’. The court found that this does not place too onerous a duty on the employer in the
context of
the employee.
The question of onus has been the subject of a number of other decisions. In De Beer v SA Export Connection CC
t/a Global Paws8 the court held that, although
________________________
3 In Mashava v Cuzen & Woods Attorneys (2000) 21 ILJ 402 (LC) the court held that once the applicant had made
out a prima facie case, it was for the employer to prove that the employee was dismissed for a reason that is not
automatically unfair (at para 20).
4 In Kroukam v SA Airlink ( Pty) Ltd [2005] 12 BLLR 1172 (LAC), Davis AJA said that ‘In my view, section 187
imposes an evidential burden upon the employee to produce evidence
which is sufficient to raise a credible possibility that an automatically unfair dismissal has taken place. It then
behoves the employer to prove the contrary, that is to produce evidence to show that the reason for the dismissal
did not fall within the circumstance envisaged in s 187 for constituting an automatically unfair dismissal’ (at para
28).
6 At 1162 (at para 18). The court continued: ‘To the extent that it may be capable of such an interpretation, I also
do not believe that it was ever intended in the Mashava v Cuzen
& Woods Attorneys and Kroukam v SA Airlink cases, supra, to hold that there is a duty upon the employee, in the
sense of an evidentiary burden, to raise an issue with sufficient evidence before the court would entertain the
matter. Contrary to the position in the English law, our law has recognized only one additional burden to the onus,
and that is the evidentiary burden to adduce evidence to rebut an opponent’s evidence’ (at para 19).
7 [2003] 10 BLLR 999 (LC). In this case, the court held that the employee bears the onus of proving that the
dismissal was of a kind contemplated by s 187.
8 [2008] 1 BLLR 36 (LC): ‘It was held in Kroukam v SA Airlink ( Pty) Ltd . . . that section 187 . . .
imposes an evidential burden upon the employee to produce evidence, which is sufficient to raise a credible
possibility that an automatically unfair dismissal has taken place
. . . In my view, the onus to prove that the dismissal was not automatically unfair rests on the employer. The
applicant must adduce some evidence to raise the issue whether the dismissal is for a reason related to pregnancy.
Once this is done, the respondent must re-fute this in the course of establishing a fair reason’ (at para 13). In
Chizunza v MTN ( Pty) Ltd continued on next page
273
there is an evidential burden on the employee, the onus to prove that the dis-
missal was not automatically unfair remains with the employer. In the later case
of Atkins v Datacentrix ( Pty) Ltd9 the court held that it is trite that section 187 of the LRA imposes an evidential
burden upon the employee to:10 ‘produce evi-
unfair dismissal has taken place’. The court continued that ‘it is then for the respondent to produce evidence to
show that the reason for the dismissal did not
In POPCRU & others v Department of Correctional Services & another11 the court explained the onus of proof in
circumstances involving unfair discrimination (section 187(1)(f) matters). The court held that the applicants ‘were
settled with the onus of proving the discrimination they complained of. If successful, the onus would then shift to
the respondents as the proved discrimination would be
presumed to be unfair’ . 12 The court made express reference to causality and stated that should a causal link be
established on a balance of probabilities
between the prohibited reasons for dismissal in section 187 and the actual dis-
missal then no justification can be offered by the employer ‘and the employee
automatically qualifies for the privileges conferred upon the special category of dismissals, namely a rebuttal
presumption of unfairness and an entitlement to
double the ordinary compensation awarded’. 13 (It should be noted that, strictly
awarded.)
The courts must establish whether the true reason for the dismissal is covered
by one or other of the provisions of section 187 and have done so by using the
two-fold test of factual and legal causation as formulated in SACWU & others v Afrox Ltd.14 In the Afrox case the
Labour Appeal Court held that the strike must ________________________
& others [2008] 10 BLLR 940 (LC) the employee’s burden was stated more forcefully (at para 20): ‘it must be
pointed out that it is trite that the employee must not only prove the existence of a dismissal, he or she must also
prove the existence of an automatically unfair dismissal’. The court’s explanation seems to work with a shifting
burden of proof, also referring to the Kroukam decision (at para 20): ‘In my view, section 187 imposes an
evidential burden upon the employee to produce evidence which is sufficient to raise a credible possibility that an
automatically unfair dismissal has taken place. It then behoves the employer to prove to the contrary, that is to
produce evidence to show that the reason for the dismissal did not fall within the circumstance envisaged’.
10 At para 13.
12 At para 215.
13 Ibid. See also Cohen ‘Onus of Proof in Automatically Unfair Dismissals: Janda v First National Bank (2006)
27 ILJ 2627 (LC)’ (2007) 28 ILJ 1465.
14 [1999] 10 BLLR 1005 (LAC). See, eg, Van der Velde v Business and Design Software ( Pty) Ltd
& another ( 1) [2006] 10 BLLR 995 (LC); see also Atkins v Datacentrix ( Pty) Ltd (fn 9) where the court held that
before accepting an offer of employment there rests no duty of disclosure regarding a proposed sex change
operation on an employee. The true and proximate
reason for the dismissal was not the non-disclosure of such intention, but discrimination based on gender. See also
para 3 ‘Participation in a strike or protest action’.
274 Law@work
have been the proximate cause of the dismissals. In the Kroukam case the Labour Appeal Court, per Zondo JP, held
that even if the employee’s union
activities were not the dominant or principal reason for his dismissal he would still find the dismissal automatically
unfair if this reason played a significant role in
the decision to dismiss the appellant.15 In the same matter, Davis AJA held that
the enquiry into the reason for the dismissal is an objective one, and the issue is essentially one of causation. 16 In
Van der Velde v Business and Design Software ( Pty) Ltd & another ( 2)17 Van Niekerk AJ summarised the
position as follows: Assuming the test of factual causation (the ‘but for’ test referred to in Afrox) to be satisfied,
the enquiry is into legal causation, or put another way, whether the transfer or a reason related to it is the dominant,
proximate or most likely cause of the dismissal . . . On both approaches, it is clear that the automatically unfair
reason need not be the sole reason for dismissal.
We now discuss each of the automatically unfair reasons for dismissal listed in
section 187.
The primary purpose of section 5 of the LRA is to protect the right to freedom of association, both in respect of
employees and in some cases, those seeking
employment.18 The right to freedom of association in an employment context extends to the right of employers
and employees to establish organisations and
protects the means of those organisations to further and defend the interests of
their members. An employee may not be dismissed for exercising this right in any
participating in the lawful activities of a trade union. The same rights are ex-
17 [2006] 10 BLLR 1004 (LC) at 1012. See also EWN v Pharmaco Distribution ( Pty) Ltd (2016) 37
ILJ 449 (LC) where the ‘predominant reason’ for the employee’s dismissal was her refusal as a person with a
bipolar condition to undergo a medical examination which she would not have been required to undergo but for her
condition. (Here the stigmatising effect of being singled out on the basis of an illness and requiring her to submit to
the examination also constituted unfair discrimination in terms of s 6 of the EEA. See para 8 ‘Unfair
discrimination’.)
19 Workplace forums are statutory vehicles for worker participation and joint decision-making regulated by ch V
of the LRA.
20 See FAWU & another v The Cold Chain [2007] 7 BLLR 638 (LC) regarding the dismissal of an employee for
refusing to resign as a shop steward.
275
threat of dismissal to do anything that is prohibited inter alia in terms of a collective agreement, health and safety
legislation, or the BCEA.
Finally, section 5(2)(c)(vi) and (vii) of the LRA also prohibit the dismissal of an employee for exercising any right
conferred by the LRA or participating in any
187(1)(d) and are discussed in more detail below. Some of the more interesting
cases that have been decided in this context concern claims by managerial
the employer and is required to promote the employer’s interests. Is there a con-
flict of interest when a managerial employee joins a union or accepts office in a union? To what extent will any
limitations that the employer may seek to impose
(including a threat of dismissal) constitute a breach of section 5? The answer, it would seem, is that the employer is
not entitled to dismiss the employee only
forming his or her job as a consequence, or breaches any duty of fidelity or con-
fidence, then the employer would be entitled to act.21
CEPPWAWU & another v Glass and Aluminium 2000 CC, 23 the court found that
anti-union activity and hostility in the workplace. On the facts, the court held
that the shop steward had been constructively dismissed because of the un-
bearable situation caused by the employer. The court found that the dismissal
abilities, dismissed for carrying out his duties as a shop steward.24 In Motloba v Johnson Controls the Labour
Appeal Court reiterated the principle that when ________________________
21 This point was well articulated in the Labour Court’s judgment in IMATU & others v Rustenburg Transitional
Local Council [1999] 12 BLLR 1299 (LC) when the court referred to the
‘delicacy of discretion’ that a managerial appointment entails, especially in regard to confidential information. In
appropriate cases, employees should excuse themselves from union meetings where confidential information they
possess might compromise their employment-related obligations. Refer to ch 14.
22 See, eg, Adcock Ingram Critical Care v CCMA & others (2001) 22 ILJ 1799 (LAC) regarding the dismissal of a
shop steward for intimidation.
24 A shop steward is not protected from dismissal on another permissible ground, related to his or her union
duties. Eg, in BIFAWU & another v Mutual & Federal Insurance Company Ltd [2006] 2 BLLR 118 (LAC) the
shop steward was dismissed after acting dishonestly while representing a fellow employee. The court upheld the
dismissal for dishonesty and confirmed that the employee had not been dismissed for representing a fellow
employee. In National Union of Metalworkers of South Africa obo Motloba v Johnson Controls Automotive SA (
Pty) Ltd & others [2017] 5 BLLR 483 (LAC) the shop steward’s dismissal for assault and intimidation was upheld
after abusing the payroll administrator and poking her with the finger during an argument over calculation of
holiday pay.
276 Law@work
should fearlessly pursue the interest of his/her constituency and ought to be protected against any form of
victimisation for doing so . . . this is no licence to resort to defiance and needless confrontation. A shop steward
remains an employee,
from whom his employer is entitled to expect conduct that is appropriate to that
relationship. The fact that the bargaining meetings often degenerate does not
mean that one should jettison the principle that, as in the workplace also, at the negotiations table the employer and
the employee should treat each other with
the respect they both deserve. Assaults and threats thereof are not conducive to
harmony or to productive negotiation. 25
A dismissal is automatically unfair if the reason for the dismissal is that the employee participated in or supported,
or indicated an intention to participate in
or support, a strike or protest action that complies with the provisions of Chapter
IV.26
Section 67(4) of the LRA establishes the right to strike when it states that an
tion 187 bolsters this protection by making a dismissal in these circumstances automatically unfair and by
extending this protection to protected protest action.
ployees to strike and to participate in protest action, and guarantee the exer-
cise of those rights. The strike or protest action must, however, be protected.27
strike or for a reason related to its operational requirements. There is obviously a ________________________
25 At para 48.
27 In Transport & Allied Workers Union of SA on behalf of Ngedle & others v Unitrans Fuel & Chemical ( Pty)
Ltd (2016) 37 ILJ 2485 (CC) the majority of the court held that the strike was protected for most of its duration (ie,
four out of five days) and therefore the dismissals were automatically unfair. In SATAWU & others v Equity
Aviation Services ( Pty) Ltd [2006] 11
BLLR 1115 (LC), the court held that employees who were not members of a majority union that had embarked on
a protected strike were entitled to join the strike and that they did not first need to give separate notice of their
intention to join the strike. Accordingly, in this case, the dismissal of the workers for taking part in the strike was
automatically unfair. The decision was upheld in Equity Aviation Services ( Pty) Ltd v SA Transport & Allied
Workers Union & others (2009) 30 ILJ 1997 (LAC) but later overturned in Equity Aviation v SATAWU
[2012] 12 BLLR 245 (SCA). In South African Transport and Allied Workers Union ( SATAWU) & others v Moloto
NO & another [2012] 12 BLLR 1193 (CC) the Constitutional Court overturned the judgment of the Supreme Court
of Appeal. There is no requirement in s 64(1)(b) of the LRA for separate strike notices and the constitutional right
to strike should not be indirectly limited in such a way. See also ch 16 at para 4.3 ‘Notice’ and Early Bird Farms (
Pty)
277
fine line between the right to strike and the right to dismiss in these circumstances, particularly in the case of a
dismissal for operational requirements consequent
on any economic damage inflicted by the strike. In each case, the employer
will be required to establish the true reason for the dismissal and its compliance with the appropriate procedure.
This principle was established by the Labour Appeal Court in SACWU & others v Afrox Ltd.28 In that case, the
company had introduced a new shift system, to
comply with its obligations under the BCEA. The employees refused to work
according to the new roster, and went on strike. After an unsuccessful lock-out,
the company dismissed the employees for reasons related to its operational re-
quirements. The union argued that the true reason for the dismissal was partici-
pation in the strike rather than the employer’s operational requirements and
that the dismissal had therefore been effected for a reason that was automat-
ically unfair. The court noted that the LRA did not preclude an employer from
context of a strike. It was necessary in each case to determine the ‘true reason’
l the court should enquire into the actual reason for dismissal;
l if the reasons are related both to the strike and to the employer’s oper-
ational requirements, then the ‘proximate’ reason for dismissal must be iden-
played a role in the dismissal, and if so, whether they were the cause of the
On the facts of the case, although the strike had contributed to or even accel-
erated the decision to dismiss, it was not the proximate or dominant cause of the dismissal. The reason for
dismissal was therefore not automatically unfair, and the court went on to adjudicate the fairness of the
retrenchment (in terms of section 189).
A dismissal is automatically unfair if the reason for the dismissal is that the employee refused, or indicated an
intention to refuse, to do any work normally
done by an employee who at the time was taking part in a strike that complies
with the provisions of Chapter IV or was locked out, unless that work is necessary
directly participate in a strike but who, for reasons of solidarity or otherwise, elect not to undermine the efforts of
their striking colleagues by performing the work normally done by them. This provision effectively precludes an
employer
in the strike.
________________________
28 Fn 14.
278 Law@work
l must relate to the work normally performed by a striking employee and not
The LRA does not define what these circumstances might be, nor have there
been any judgments by the labour courts that have interpreted the provisions of
ing to do the work of those participating in the strike on whatever terms the em-
ployer offers.30
The LRA originally provided that a dismissal is automatically unfair if the reason for it was to compel employees
to accept a demand in respect of any matter
of mutual interest between them and their employer. The courts held that this
meant that a dismissal was automatically unfair only if the employer used the
dismissal as a tactic to put pressure on employees to accept its terms. It was not automatically unfair for an
employer to dismiss employees who refused to agree
to its terms if the employer had no intention of re-employing them and engaged
new employees who were prepared to work on those terms.31 The amendments introduced in 2014 provide that a
dismissal is automatically unfair if the reason for it is ‘a refusal by employees to accept a demand in respect of any
matter of
mutual interest between them and their employer’. The focus has shifted from
________________________
31 See SACWU & others v Afrox Ltd (1999) 20 ILJ 1718 (LAC); Fry’s Metals ( Pty) Ltd v National Union of
Metalworkers of SA & others (2003) 24 ILJ 133 (LAC); NUMSA & others v Fry’s Metals ( Pty) Ltd (2005) 26 ILJ
689 (SCA); and CWIU & others v Algorax ( Pty) Ltd (2003) 24 ILJ 1917
(LAC). In Commercial Stevedoring Agricultural and Allied Workers Union ( CSAAWU) obo Dube & others v
Robertson Abattoir [2016] 12 BLLR 1163 (LAC) the Labour Appeal Court (at para 31) states that a ‘so-called
“termination lockout” now finds its way into s 187(1)(c)’
of the LRA. An obiter statement questions the proper interpretation of s 187(1)(c) with reference to the definition
of ‘dismissal’: ‘If an employer therefore dismisses an employee in terms of s 187(c) and an employee then
concedes to the demand of the employer, it would appear that the employer may re-employ the employee. The use
of the concept
“reinstatement”, as a description of what occurs if an employee concedes to the demand of an employer who is
then prepared to accept the employee into the workforce is clearly at war with the idea that the concept of
conditional dismissal can be made to fall within the definition of dismissal in s 186(1). In the event that an
employer “takes back” an employee who acquiesces to a demand of the employer, this is a fresh decision made by
the latter and not the result of a fulfilment of a condition to “reinstate” if the employee agrees to the demand of the
employer’.
279
‘Matter of mutual interest’ is not defined but generally includes matters that
and hours of work would all be considered matters of mutual interest. The dis-
wage cut or to work longer hours, for example, would certainly be automatically
unfair.
pute resort to dismissal of the employees only because they refuse to accede to
This does not preclude an employer from dismissing for a reason that does not
amount to refusal to accept a demand. If the employer dismisses an employee
is nothing to preclude the employer from dismissing the employee for a reason
related to its operational requirements if its true intention is to replace employees with others who are willing to
work according to the new configuration. In these
circumstances, the reason for the dismissal is not that the employee refused to
accept a demand but relates to an economic need of the employer.32 The line between an automatically unfair
dismissal for refusing to accept changed terms
employer’s operational requirements will often be a fine one; the courts will no
A dismissal is automatically unfair if the reason for the dismissal is that the employee took action, or indicated an
intention to take action, against the em-
ployer by:
who exercise any of the rights established by the LRA or who initiate or partici-
________________________
32 See ch 12.
33 See Newaj & Van Eck ‘Automatically Unfair and Operational Requirement Dismissals: Making Sense of the
2014 Amendments’ (2016) PELJ (19) 1. In National Union of Metalworkers of South Africa & others v Aveng
Trident Steel (A Division of Aveng Africa) (Pty) Ltd & another (JA 25/18 of 13 June 2019) the Labour Appeal
Court engaged in a comprehensive review of the history of s 187(1)(c) and held that factual causation was to be
determined by asking whether the dismissal would have occurred if the employees had not refused the demand.
If the answer is yes, the dismissal is not automatically unfair. If the answer is no, the dismissal is not immediately
rendered unfair: the next issue is one of legal causation, ie whether the refusal was the main, dominant, proximate
or most likely cause of the dismissal.
280 Law@work
LRA can relate, inter alia, to an employee taking part in conciliation and arbitration proceedings, the establishment
of a workplace forum, and representing
dismiss for the stated reasons set out in this section, they will seek to found a dismissal on some other ostensible
basis, usually conduct. In Kroukam v SA Airlink ( Pty) Ltd, 35 the Labour Appeal Court reinstated a pilot who had
been dismissed
for insubordination and disrupting the company’s operations. The pilot also hap-
pened to be the chairperson of the trade union that represented the airline’s em-
ployees, and had been instrumental in initiating litigation by the union against the company. The court found that,
on the facts, the proximate cause of the dismissal (or at least a significant factor in the decision to dismiss) was the
employee’s union activity and his role in the litigation.
In National Union of Public Service and Allied Workers Union ( NUPSAWU) obo Mani & others v National
Lotteries Board36 the dismissal of several employees was alleged to be ‘automatically unfair’ because, so it was
argued, the employees were dismissed for participating in lawful union activities – in casu, petitioning for the
removal from office of the respondent’s chief executive officer.
The Supreme Court of Appeal held that, ‘Correctly construed, the affected em-
ployees were dismissed not for petitioning their employer but for their acts of insubordination. Neither the
Constitution nor the LRA protects employees from dis-
In the Constitutional Court, 38 however, the majority (per Zondo J) held that the Labour Court and Supreme Court
of Appeal had erred in finding that the dismissals were not automatically unfair. The court held that on the facts the
employees had not threatened that they would not work beyond a certain date if the CEO
continued in his position. Rather, the employees said that ‘they could not bear
to be with the CEO any more in the same building while he was at the helm of
the organisation’. 39 The court held that interpretation of the phrase ‘lawful activ-
________________________
35 Fn 4.
37 At para 32. The chairperson of the disciplinary hearing had found that insubordination and disrespectful
behaviour were evident in the petition’s statement that the employees ‘were no longer prepared to spend a day with
Professor Ram in the same building with him’ and in the demand that the Board ‘ensure that 30 June 2008 is the
last day of his employment’.
The court agreed and held that ‘[it] was the communication of the offensive material that caused their dismissal,
not the act of petitioning in itself’ (at para 29). The necessary legal causation was thus found to be absent.
38 National Union of Public Service and Allied Workers obo Mani & others v National Lotteries Board 2014 (3)
SA 544 (CC) at para 89.
39 At para 128. See also para 129: ‘In TSI Holdings the Labour Appeal Court left the question open whether a
work stoppage in support of a demand for the dismissal of a manager or co-employee would be protected where
the dismissal would not infringe the relevant co-employee or manager's right not to be dismissed unfairly’.
40 At para 151. See also ch 14 at para 2 ‘Protection of the right to freedom of association in terms of the LRA’ and
ch 16 at para 7 ‘Protected strikes’.
281
Having regard to the various charges brought against the employees and to
The articulation by the union and the employees of their proposed solution was
part of collective bargaining and, therefore, was a lawful activity of the union in which the employees were entitled
to participate in terms of section 4(2)(a) of the LRA. It was also participation in proceedings in terms of the LRA
as contemplated in section 5(2)(b)(c)(vii), namely, conciliation proceedings aimed at resolving the disclosure
dispute. . . . The dismissal of employees for this conduct would constitute an automatically unfair dismissal as
envisaged in section 187(1)(d)(i) and (ii) of the LRA. 41
Zondo J stated that a trade union has a right to ‘determine its own strategies
Courts should not dictate how and at what stage which tactics and strategies
those matters. Sometimes it may deem it fit to handle these matters “gently”.
The minority (per Froneman J) held that, objectively construed, the petition
manifested
a demand that the CEO’s employment should be ended without a fair hearing
and a threat that, if the demand was not met, the employees would stop working.
This was in blatant disregard of the employer’s earlier instructions and the conciliation process that was instituted
to resolve the dispute relating to the CEO. On the accepted test for insubordination it could be regarded as nothing
else. 43
In the view of the minority the fact that the dispute resolution procedure relating to disclosure of information had
not been completed, that the employees’ threat
regarding the removal of the CEO could not be brought under the protection
of the union’s lawful activities, and that the employer’s staff policy clearly forbade the disclosure of information
indicated that the LRA’s protection against
automatically unfair dismissal was not applicable.44 The majority and minority judgments thus differed
significantly on the limits of acceptable conduct in collective bargaining.
________________________
41 At para 172.
42 At paras 193–194.
43 At para 60.
44 The minority expressed grave concern about a different interpretation of the facts of the case: ‘It is not lawful
under the Act to demand the dismissal of a fellow employee without a fair hearing. That is what the employees did
here. The Act provides the process for determining whether employees are entitled to information about the
employment contract of the CEO. A determination under the Act was made that the union was not entitled to that
information. The effect of finding that all this may be ignored by reliance on union activities outside the Act
undermines the integrity of the collective bargaining process under the Act. This extension of the hard-won right of
employees to participate in the lawful activities of their union will, ironically, have an adverse effect on the
underlying rationale for that participation: to bargain collectively and effectively under the Act for their interests’
(at para 86).
282 Law@work
the exercise of a statutory right. Is the lodging of a grievance in terms of a company’s internal procedure a right
conferred by the LRA and protected by this
section? The Labour Court has noted that although there is no specific provision
to pregnancy
A dismissal is automatically unfair if the reason for the dismissal is the employee’s
This provision has given rise to more litigation than any other automatically
unfair reason for dismissal. 47 A dismissal in these circumstances will inevitably also constitute an act of unfair
discrimination on the grounds of pregnancy, sex,
gender, and also family responsibility.48 The Labour Court has commented more than once on the policy
considerations underlying this section. The purpose of
the section is to ensure that, as far as possible, women are not disadvantaged
‘by virtue of their being women and the child-bearing member of the human
race’. Although the courts have recognised that an employee’s pregnancy will
in most cases inconvenience the employer, the right to equality that is repre-
sented by this section trumps, and the employer’s inconvenience must yield to
the social and legal recognition of the equal status of women in the workplace.
The courts have noted that a dismissal on the grounds of pregnancy is:
a particularly reprehensible form of sex discrimination because it deals a severe blow to a woman when she is most
vulnerable and least resilient. Notwithstanding
such legislative protections as exist against discriminatory hiring, it is a particularly difficult time for a woman to
seek and find appropriate alternative employment or
The protection extended under this provision is wide – it extends not only to the fact of pregnancy but to any
intended pregnancy or reason related to pregnancy. These elements were no doubt intended to cover the situation
where an
work occasioned by, for example, medically related reasons. Whether an em-
ployer is entitled to dismiss a pregnant woman for a reason other than her
________________________
45 See Mackay v ABSA Group & another [1999] 12 BLLR 1317 (LC).
47 See Smit and Olivier ‘Discrimination based on Pregnancy in Employment Law: The case of Woolworths v
Whitehead’ (2002) 4 TSAR 783.
48 See s 6 of the EEA. Provision is made in that Act for the referral of unfair discrimination disputes to the Labour
Court.
283
number of cases.
Supreme Mouldings ( Pty) Ltd50 an employee was dismissed for negligence when she returned from maternity
leave. She argued that the real reason for her dismissal was the fact that she had taken maternity leave. The
company argued
that during her absence, it had uncovered a gross neglect of the company’s
financial books and tax obligations, for which the employee had responsibility.
On the facts, the court found that the real reason for dismissal was the em-
a third party. The employee was dismissed for falling pregnant while unmarried,
thereby being unable to access the workplace in terms of the employer’s land-
lord’s policy. The landlord was a religious institution that forbade access to its premises to people who were
engaged in ‘amorous relationships’ outside of
marriage. The court stated that ‘the protection granted by the LRA to female
irrespective of their marital status’. 52 Referring to Old Mutual Life Assurance Co SA Ltd v Gumbi, 53 the court
held that:
The appellant’s acquiescence in the landlord’s discriminatory practice of barring unwed pregnant women from the
leased premises is in violation of an employer’s
________________________
50 [2004] 6 BLLR 613 (LC). The Labour Appeal Court later held that the court’s jurisdiction in a dismissal dispute
is not determined by an employee’s description or classification of the reason for dismissal, but rather by the actual
reason for the dismissal. In other words, where established that the dispute should have been referred for
arbitration the court should stay proceedings and refer the matter to the CCMA or a bargaining council unless by
agreement of all affected parties, including the court, the court could sit as arbitrator ( Wardlaw v Supreme
Mouldings ( Pty) Ltd [2007] 6 BLLR 487 (LAC)). In De Beer v SA Export Connection CC t/a Global Paws (fn 8)
the court considered the phrase ‘any reason related to pregnancy’ and stated that s 187(1)(e) is part of social
legislation with the aim to put women on equal footing with men in the workplace. The court consequently held
that the section had to be interpreted widely rather than strictly. In this case the fact that the applicant’s baby had
fallen sick was considered as ‘duties of early motherhood’ and therefore the condition of the infant that prevented
the mother from returning to work fell within the phrase ‘any reason related to pregnancy’ even though it was not
the mother herself that was sick. The dismissal was automatically unfair.
51 [2014] 8 BLLR 737 (LAC). The employee was employed as a general assistant at the employer’s factory where
spring water was bottled. The springs from which the water was sourced are located on the premises of its
landlord, KwaSizabantu Mission. The employee first had to enter the Mission’s premises through a gate manned
by the landlord’s security guards in order to get to her workplace. The Mission’s code of conduct made access to
the Mission’s premises conditional. The employee was refused entry because the code of conduct prohibited, inter
alia, ‘amorous relationships between any two persons outside of marriage’.
52 At para 24.
284 Law@work
. . . In the circumstances, the inertia on the appellant’s part did not only amount to unfair treatment of the
employees in question but also amounted to a breach of
answer is probably not. In Mashava v Cuzen & Woods Attorneys, 56 the employer
argued that it had been deceived by the applicant’s failure to disclose her
that in principle, deceit could be a valid ground for dismissal but on the facts of the case, the failure to disclose her
pregnancy did not amount to deceit and
8 Unfair discrimination
A dismissal is automatically unfair if the reason for the dismissal is that the employer unfairly discriminated
against an employee, directly or indirectly, on any arbitrary ground, including, but not limited to race, gender, sex,
ethnic or social origin, colour, sexual orientation, age, disability, religion, conscience, belief, political opinion,
culture, language, marital status or family responsibility. 57
This provision should be read in conjunction with the general prohibition against unfair discrimination in
employment contained in section 6 of the EEA. The
grounds listed in the above subsection are sometimes referred to as the ‘spe-
cified grounds’ or ‘listed grounds’. The wording of the subsection makes it clear that the list is not closed, and the
courts have recognised claims based on what
have been termed ‘analogous grounds’, for example HIV status58 or citizenship.
The test applied to determine whether a ground of differentiation falls into this category is whether the basis of the
differentiation adversely impacts on human
dignity.59
________________________
54 At paras 31–32.
55 See Uys v Imperial Car Rental ( Pty) Ltd (2006) 27 ILJ 2702 (LC). The employee claimed an automatically
unfair dismissal based on her pregnancy. However, the court found that the dismissal was due to her poor work
performance and not her pregnancy. The court did find that the dismissal was not justified in the circumstances
(even though not automatically unfair); see also Ndlovu v Pather (2006) 27 ILJ 2671 (LC); Vorster v Rednave
Enterprises CC t/a Cash Converters Queenswood [2008] 11 BLLR 1111 (LC) and Heath v A & N Paneelkloppers
(2015) 36 ILJ 1301 (LC).
56 Fn 3.
58 In Allpass v Mooikloof Estates ( Pty) Ltd t/a Mooikloof Equestrian Centre [2011] 5 BLLR 462
(LC) the employer submitted that the dismissal was not due to the employee’s HIV status but the employee’s
failure to disclose such condition at the pre-appointment interview.
This defence (and the second defence raised by the employer, namely that of inherent requirements of the job) was
rejected.
59 Refer to ch 6. See New Way Motor & Diesel Engineering ( Pty) Ltd v Marsland [2009] 12 BLLR
1181 (LAC) where mental health was accepted as such a ground. The court in Naude v continued on next page
285
The labour courts have developed a fairly extensive jurisprudence on the right
to equality at work. At the root of every act of discrimination is a differentiation, in this instance, an act of
dismissal. It is not necessary that the employer intends to discriminate, or that the differentiation that forms the
basis of the claim is made overtly on one of the specified grounds. Discrimination may be direct (in
which case it is more likely to be overt) or it may be indirect, where the effect of the employer’s conduct rather
than the intention behind it is in issue.
The three elements of a claim of unfair discrimination in the form of a dismissal are that:
and
l it was unfair of the employer to have made the differentiation on this basis.
It is for the employee to establish the first two elements and for the employer
thereafter to establish that the discrimination was not unfair. The employee may
be assisted by an inference that a differentiation is discriminatory if it is not made on any rational or justifiable
basis. While less favourable treatment on the ground, for example, of race, sex or age does not always lay the basis
of a claim for discrimination, discrimination will be inferred where no obviously rational or justifiable basis for the
differentiation is apparent. In this event, the employer bears an onus to rebut the inference by adducing evidence to
establish that the differentiation is based on a rational and justifiable ground other than one of the specified or
analogous grounds. 60
There are two specific defences that the LRA permits in this kind of automatic-
ally unfair dismissal – both established by section 187(2):61 the first is a reason for ________________________
Member of the Executive Council, Department of Health, Mpumalanga (2009) 30 ILJ 910
(LC) found that the applicant, a medical practitioner by profession, was dismissed due to his principled stance to
defy an irrational directive by a Member of the Executive Council (MEC) for Health forbidding state doctors from
prescribing anti-retroviral drugs to rape sur-vivors. Thus, the court held that the dismissal was automatically unfair
because it was due to unfair discrimination on the basis of reasons related to conscience and/or professional ethics.
In Association of Mineworkers & Construction Union & others v Anglogold Ashanti Ltd (2016) 37 ILJ 2320 (LC)
employees embarked on an unprotected strike but only AMCU
members who raised lack of transport as the reason for their failure to report for duty were dismissed. None of the
non-AMCU members were disciplined for their absence for that same reason. The disparity of treatment was not
justifiable and the Labour Court held that the AMCU members were discriminated against on grounds of union
membership so that their dismissal was automatically unfair.
61 Bedderson v Sparrow Schools Education Trust [2010] 4 BLLR 363 (LC) again opened the lid to a proverbial
can of worms: whether or not s 187(2) sets out the only circumstances in which a dismissal can be justified as fair
or whether an employer can rely on a general defence of fairness (at para 25). (The court refers in this regard to Du
Toit et al Labour Relations Law 5th ed at 597 and Dupper & Garbers in Thompson & Benjamin South African
Labour Law (2002) CC1-61.) The Labour Court stated obiter (at para 26) that it accepted that ‘an employer is not
limited to the grounds set out in section 187(2) to justify its decision continued on next page
286 Law@work
ond is a dismissal based on age if the employee has reached the normal or
The first defence has been narrowly construed and requires the employer to
establish that some inherent characteristic (for example race, age or sex) is
necessary for the effective performance of the obligations that attach to a spe-
cific job. 64
In Department of Correctional Services and another v Police and Prisons Civil Rights Union & others65 the
Supreme Court of Appeal considered the defence of an inherent requirement of the job in a case in which prison
officials who wore
dreadlocks had refused to comply with the employer’s rules relating to hairstyles.
no evidence was adduced to prove that the respondents’ hair, worn over many
years before they were ordered to shave it, detracted in any way from the per-
tion. Therefore, it was not established that short hair, not worn in dreadlocks, was an inherent requirement of their
jobs. A policy is not justified if it restricts a practice of religious belief – and by necessary extension, a cultural
belief – that does not affect an employee’s ability to perform his duties, nor jeopardise the safety of the public or
other employees, nor cause undue hardship to the employer in a prac-
tical sense.66
Initial indications were that in determining the scope of the defence of an in-
herent requirement of the job, the labour courts would require the employer to
establish objectively determinable grounds that correlate with and are necessary
________________________
to dismiss. However, I am also of the view that, given the importance of the values underlying section 187(1)(g) [
sic] – the furthering of equality and the elimination of discrimination being a core constitutional value – such a
justification should not be easily accepted and should [be] scrutinised critically – the onus lies on the employer in
this regard’.
64 In Dlamini & others v Green Four Security [2006] 11 BLLR 1074 (LC), the applicants were all security guards
and they were dismissed after refusing to shave or trim their beards. They claimed automatically unfair dismissal
because shaving conflicted with their religious convictions. The court held that the dismissals were fair and that
the standard of neatness required in security services is high and is neither arbitrary nor irrational. The analysis that
the court utilised included asking whether the complaint of discrimination was proved, secondly, if proved,
whether the discrimination was justified and whether the workplace rule was an inherent requirement of the job,
and, lastly, if it was an inherent requirement of the job whether the rule was nonetheless discriminatory. (In Mbhele
and Fidelity Security Services Ltd (2016) 37 ILJ 1935 (CCMA) it was found that the rule to be clean-shaven was
not justified – but with reference to s 6 of the Employment Equity Act 55 of 1998 and an employee security guard
member of the Shembe church.) In POPCRU & others v Department of Correctional Services & another (fn 11)
female employees were permitted to wear dreadlocks but not their male counterparts. The dress code constituted
indirect discrimination on gender and the dismissal of employees refusing to cut their dreadlocks was
automatically unfair. The decision was upheld by the Labour Appeal Court in Department of Correctional Services
& another v POPCRU & others [2012] 2 BLLR 110 (LAC).
66 At para 25.
287
to meet a real need of the business or that result in undue hardship. 67 In TDF Network Africa (Pty) Ltd v Faris, 68
a case that concerned a claim by an employee that she had been dismissed on account of her religion (which
forbade her
TFD submits that it is an inherent requirement of the job to require a manager to do a stock-take once a month over
a weekend, where a stock-take is essential to its
operations . . .
The test for whether a requirement is inherent or inescapable in the performance of the job is essentially a
proportionality enquiry. Considering the exceptional nature of the defence, the requirement must be strictly
construed. A mere legitimate
rationally connected to the performance of the job. This means that the require-
ment should have been adopted in a genuine and good faith belief that it was
However, even if that is shown, the enquiry does not end there. In addition, the
employer bears the burden of proving that it is impossible to accommodate the
ational difficulty.
The second defence (reaching the agreed or normal retirement age) was first
dismissed in circumstances where they had been transferred from one employer
unaffected. 70 Prior to the transfer, there had been no provision in the employ-
ment contracts regulating retirement age. The new employer imposed a normal
retirement age of 60, and dismissed those employees who had reached that
age. They claimed that their dismissal was automatically unfair because they
had been discriminated against on the grounds of their age. The company raised
________________________
67 In Ackerman & another v United Cricket Board of SA (2004) 25 ILJ 353 (CCMA), the employer’s
advertisement called for an ‘energetic person’ – on the basis of his age the employee’s fixed-term contract was not
extended when he applied for the position. The arbitrator held that it was incumbent on the employer to prove that
discrimination based on age was justified by reference to a genuine occupational requirement (inherent
requirement of the job). The employer also had to prove that age was a valid predictor of
‘energy’. As the employer was unable to prove this, the arbitrator found that the employer had discriminated
against the employee on the basis of age. In Hibbert v ARB Electrical Wholesalers ( Pty) Ltd [2013] 2 BLLR 189
(LC) there was no evidence of an agreed or normal retirement age and the plaintiff’s dismissal was found to have
been automatically unfair. However, the court limited compensation to 12 months because it found that such
dismissal was not ‘egregiously unfair’. It also refused to award damages for discrimination.
In ARB Electrical Wholesalers ( Pty) Ltd v Hibbert (2015) 36 ILJ 2989 (LAC) the Labour Appeal Court held that
the court must ensure that the employer is not penalised twice for the same wrong and declined to interfere with
the Labour Court’s exercise of its discretion regarding what was just and equitable in the circumstances.
288 Law@work
the defence provided by section 187(2)(b) that the employees had reached
normal retirement age. The court rejected this argument, and held that the em-
ployer had unilaterally introduced 60 as a new retirement age. The words ‘nor-
mal retirement age’ indicated that there must have been a practice in force for
age of 65. He duly continued working for two years but after taking two months’
sick leave the employer told the employee that he should retire. The employee,
however, continued to tender his services but the employer dismissed him. The
employment, but the mandatory rules of the provident fund of which he was a
member stated that the retirement age was 65 years. On the basis of the provi-
dent fund’s rules, the court decided that there was no automatically unfair
dismissal.
imposing a retirement age is in itself an act of discrimination on the grounds of age. The South African courts have
not yet considered this argument. However,
section 187(2) provides that a dismissal based on age is fair if the person has reached the normal or agreed
retirement age. Unless there is a constitutional
attack on the LRA and its regulation of the right to equality based on age, this
formulation would appear to leave limited scope for an argument that the
ployer alleges that a dismissal was for reason of incapacity rather than the fact of the disability. In such a case, the
main reason for the dismissal will have to be determined and relevant provisions in both Chapter VIII of the LRA
and the EEA
________________________
71 In Evans v Japanese School of Johannesburg [2006] 12 BLLR 1146 (LC) the employer had no agreed
retirement age for its staff. Staff had in the past generally retired at the age of 65. The employer’s unilateral
decision to institute a retirement age of 60 years and to require a 63-year-old employee to retire thus constituted an
automatically unfair dismissal on the ground of age. See also Bedderson v Sparrow Schools Education Trust (fn
61) for another case where the employer unilaterally introduced a retirement age and where the resultant dismissal
was held to be automatically unfair. In BMW (SA) (Pty) Ltd v National Union of Metalworkers of South Africa &
another [2019] 2 BLLR 107 (LAC), the Labour Appeal Court dismissed an employee’s claim where she had been
forced to retire at age 60 when the retirement age had previously been fixed at 65. The court held that on the facts,
the employee had failed to establish that she had exercised an election to retain a retirement age of 65 when this
election was extended to employees. This was not to reverse the onus in favour of the employer – it had remained
incumbent on the employee to adduce evidence that she had elected to retain a retirement age of 65.
1239 (LC) and the case note by Behari ‘Disability and Workplace Discrimination’ (2017) 38
289
section 187 of the LRA and the EEA. The EEA prohibits unfair discrimination in employment on a number of
grounds, including age. A dismissal on account of any
prohibited ground may therefore also be actionable under the EEA, and attract
the number of cases in which employees have claimed unfair dismissal in cir-
cumstances where they have been sexually harassed. In terms of the EEA,
A dismissal is automatically unfair if the reason for the dismissal is a transfer, or a reason related to a transfer,
contemplated by sections 197 and 197A of the
LRA. 75
This is the first of the automatically unfair reasons for dismissal included by the 2002 amendments. It is a
consequence of the revision of section 197 of the LRA,
The scope of this provision is not yet clear, but it would appear to extend to a
dismissal the reason or principal reason for which is the transfer of the employer’s business or is connected with
the transfer. The existence of a causal link between the dismissal and the transfer is obviously necessary to
establish an automatically unfair dismissal. The remoteness of that link is likely to form the basis of future
jurisprudence. Is an employer entitled, for example, to dismiss employees in the
a sale?77 What is also not clear is the extent to which an employer is permitted ________________________
ILJ 2226. Refer also to the EEA Code of Good Practice on the Employment of People with Disabilities GN 1345
in GG 23702, dated 19 August 2002, amended by GN 1064 in GG
74 In Ntsabo v Real Security CC (2003) 24 ILJ 2341 (LC), the court awarded compensation for a constructive
dismissal (the applicant had resigned when the employer failed to respond to repeated complaints of harassment by
a supervisor) and damages under the EEA, to be paid by the employer on the basis that it was ‘vicariously liable’
for the acts of the supervisor. A similar approach was followed in Christian v Colliers Properties [2005] 5 BLLR
479 (LC), where an employee, dismissed after refusing to submit to sexual demands made by her manager, was
awarded compensation under the LRA for an automatically unfair dismissal and damages under the EEA. The
EEA expressly provides that a dispute for purposes of ch II of that Act does not include disputes about dismissals
(s 10(1)).
76 See ch 13.
77 In Mokhele & others v Schmidt NO & another (2016) 37 ILJ 2662 (LC) the dismissal of employees shortly
before the winding-up of the old employer were held automatically unfair (and unlawful) as it was an attempt to
circumvent the provisions of s 197A(2)(a) of the LRA (at para 29). The Labour Court also stated that the phrase
‘immediately before’ found in s 197A(2)(a) does not mean that the employment contracts must be in existence
right up to the very day of winding-up as such a literal interpretation would undermine the very purpose of ss 197
and 197A, namely ‘to protect the employees’ employment in situations where businesses change hands’ (at para
33).
290 Law@work
The English Transfer of Undertakings Regulations of 2006 (from which this pro-
vision was largely drawn), since replaced by the TUPE Regulations of 2014, spe-
cifically provide a defence along these lines. Section 187 does not establish a
similar qualification. South African courts are likely to approach this issue as they have dismissals for operational
requirements in the context of a strike. In principle, the right to dismiss must exist, but the factual and legal cause
of the dismissal will
have to be determined in each case.79 In Van der Velde v Business and Design Software ( Pty) Ltd & another (
2),80 the Labour Court considered whether there was a causal link between the dismissal and any transfer in terms
of section 197.
It held that if the employer had sought to evade its obligations under section
197 by dismissing the employee prior to the transfer the dismissal would have
been related to the transfer for the purposes of section 187(1)(g). Although the
PDA83 – in other words, if the employee is dismissed for having made a protected
________________________
78 In Forecourt Express ( Pty) Ltd v SATAWU & another (2006) 27 ILJ 2537 (LAC), the court, in a majority
decision, held that a business undertaking has a right, after purchasing another undertaking as a going concern, to
restructure that business to fit its own business model, even though the new model would result in the
retrenchment of the employees. The court held that the employees were in fact not dismissed because the
purchased business was making a loss, but because the new employer decided to conduct the business in a
different way. The court stated that the employer was entitled to choose the manner in which its business is
conducted, provided that it did not change its employees’ terms and conditions of employment without their
consent, and, if the employer proposed to retrench, that it acted in accordance with s 189 and consulted properly.
Mlambo AJA found in a dissenting judgment that the employer should have deferred the retrenchments and that
the dismissals were not a measure of last resort.
79 See the discussion on the SACWU & others v Afrox Ltd case (fn 14) referred to at para 3
‘Participation in a strike or protest action’, dealing with dismissal in the context of strike action. See also Smit ‘A
Chronicle of Issues Raised in the Course of Dismissals by the Transferor and/or Transferee in Circumstances
Involving the Transfer of an Undertaking’ (2005) 26 ILJ 1853.
80 Fn 17. This decision was upheld in Business & Design Software ( Pty) Ltd & another v Van der Velde (2009) 30
ILJ 1277 (LAC).
81 See Van der Velde v Business and Design Software ( Pty) Ltd & another ( 2) (fn 17), for a summary of the
appropriate approach and test in these cases (at 1014).
82 The court stated that although a close proximity between the transfer of a business and a dismissal will not
always establish a prima facie causal connection, one could venture so far as to suggest that this fact is an
important indicator and in most cases it will constitute credible evidence of causation. See also Mokhele & others v
Schmidt NO & another (fn 77).
83 Act 26 of 2000.
291
Act from being the subject of an ‘occupational detriment’. The Act defines an
occupational detriment as including, inter alia, disciplinary action and dismissal, suspension, demotion,
harassment or intimidation. 85 The Act also states that a
Not every disclosure is protected. The PDA protects only certain disclosures
that are made in defined circumstances. In general terms, the Act provides that
a disclosure is protected, first, only if it discloses forms of criminal or other misconduct and, secondly, if it is made
in good faith. However, the disclosure need
employer is not likely to satisfy this requirement of good faith. In addition, disclosures that amount only to
rumours or conjecture are not protected particularly where
they are not made through the required channels.
Parliament of the RSA v Charlton 87 confirmed that office holders, in casu members of parliament, are not
employees under labour legislation. In addition, the
court held that members of parliament do not qualify as employers either. This
due to ‘blowing the whistle’ on members of parliament who abused travel allow-
ances. In other words, the disclosure did not relate to his employer and neither
did it relate to the conduct of a co-employee. Ironically this judgment results in the position where the very persons
who enacted anti-corruption legislation (the
In CWU & another v Mobile Telephone Networks ( Pty) Ltd88 the Labour Court refused to interdict a disciplinary
enquiry where the employee had widely circulated broad allegations of misconduct by company managers, in
relation to pro-
on the company’s internal e-mail. The court noted that the Act attempts to
achieve a balance between the right to freedom of expression and the preser-
vation of reputational interests, and that this requires that the procedures stipulated by the Act be followed, and
that the disclosure be made in the required
form. This case can be compared to Grieve v Denel ( Pty) Ltd89 in which the Labour Court temporarily interdicted
an employer from continuing with a disciplinary enquiry in circumstances where the court was satisfied that there
was a
________________________
84 See in general Tshishonga v Minister of Justice & Constitutional Development & another
[2007] 4 BLLR 327 (LC). In this case, the notion of what constitutes a ‘protected disclosure’
was canvassed.
85 S 1 of the PDA.
88 [2003] 8 BLLR 741 (LC). In L-A J v Afrox Oxygen Ltd [2015] 12 BLLR 1213 (LC) the employee failed to
convince the Labour Court that she reasonably believed the allegation that the employer flouted provisions of
labour legislation or to lay a factual basis for such claim.
292 Law@work
link between the disciplinary action (initiated on unrelated charges) and the protected disclosures that the
employee had made. Similarly, in Young v Coega
Development Corporation ( Pty) Ltd ( 1)90 Kroon J held that regardless of section
157 of the LRA, the High Court had jurisdiction to entertain urgent applications
and actions arising from infringements of employees’ rights under the PDA.91 The
court further held that the applicant had prima facie shown that the institution of the disciplinary enquiry against
him at least partly flowed from the disclosures he had made. This made the disciplinary enquiry a reprisal for the
disclosures in question and consequently prohibited. The court was also willing to interdict the proceedings in this
instance. 92 In Goldgro (Pty) Ltd v McEvoy, 93 the Labour Ap-
peal Court held that there was no protected disclosure in circumstances where
board containing facts that were already known and that primarily served her
event, the employee had failed to prove any causal connection between her
If a disclosure is ‘protected’, any dismissal will be automatically unfair if the disclosure was the main or proximate
reason for it. 94 If there is more than one
reason for dismissal, the PDA will be contravened if any one of the reasons is
________________________
92 See also Randles v Chemical Specialities Ltd [2010] 7 BLLR 730 (LC) and City of Tshwane Metropolitan
Municipality v Engineering Council of SA & another [2010] 3 BLLR 229 (SCA).
94 This was confirmed in Pedzinski v Andisa Securities ( Pty) Ltd ( formerly SCMB Securities ( Pty) Ltd) [2006] 2
BLLR 184 (LC) . See also State Information Technology Agency ( Pty) Ltd v Sekgobela [2012] 10 BLLR 1001
(LAC) regarding protected disclosures to the public protector.
95 TSB Sugar RSA Ltd (now RCL Food Sugar Ltd) v Dorey (2019) 40 ILJ 1224 (LAC).
11
Page
1.1
Introduction
...............................................................................................
295
1.2.2
Abusive
language
........................................................................
297
1.2.4
Assault
............................................................................................
298
1.2.5
Conflict
of
interest
........................................................................
299
1.2.7
Desertion
.......................................................................................
299
1.2.8
Dishonesty
.....................................................................................
300
1.2.9
Insubordination
.............................................................................
301
1.2.10
Intimidation
...................................................................................
301
1.2.11
Negligence
...................................................................................
302
1.2.12
Off-duty
conduct
.........................................................................
302
1.2.13
Sexual
harassment
.......................................................................
304
1.3.4 Did the employer apply the rule consistently? ......................... 307
1.3.5 Was dismissal an appropriate sanction for contravention of
1.4
Procedural
fairness
...................................................................................
313
293
294 Law@work
Page
2.1
Introduction
...............................................................................................
318
2.2
Medical
incapacity
..................................................................................
319
2.3.1
Probationary
employees
.............................................................
325
Procedure
.....................................................................................
329
2.4.2
Incompatibility
................................................................................
331
295
1.1 Introduction
The automatically unfair reasons for dismissal aside, section 188 of the LRA con-
tains at least three potentially fair reasons for dismissal. Section 188 provides that if a dismissal is not
automatically unfair, it is unfair if the employer fails to prove that the dismissal is for a fair reason related to the
employee’s conduct or capacity or based on the employer’s operational requirements, and that the dismis-
The fair reasons for dismissal recognised by section 188 reflect the classifi-
Initiative of the Employer, 1982. 1 Article 4 of the convention provides that ‘[t]he employment of a worker shall
not be terminated unless there is a valid reason
for such termination connected with the capacity or conduct of the worker or
vice’. The requirement of fair procedure is also derived from the convention.
Article 7 states that: ‘[t]he employment of a worker shall not be terminated for
an opportunity to defend himself against the allegations made, unless the em-
obvious. Although South Africa has not ratified the convention, international
standards form the benchmark of our domestic law and practice on the termin-
ation of employment. 2
This part considers the law relating to dismissal for a reason connected with
The LRA requires an employer to prove that the reason for any dismissal for
misconduct is a fair reason. This generally requires a dual enquiry – the first to determine the existence of facts
that would constitute a reason to dismiss, and
the second to determine whether, regard being had to those facts, dismissal is a
fair penalty. Thus the Code of Good Practice: Unfair Dismissal notes that whether or not a reason for dismissal is a
fair reason is determined by the facts of each case and the appropriateness of dismissal as a penalty (item 2(1)).
To say that not all misconduct warrants dismissal is a statement of the obvious,
but the line between conduct that warrants dismissal and that which does not is
often difficult to draw in practice. The courts have held that determining a fair
sanction for misconduct involves a value judgement,3 but the code provides
little assistance and notes only that it is generally not appropriate for an employer to dismiss an employee for a
first offence except where the offence is a serious
one and of such gravity that ‘it makes continued employment intolerable’ (item
________________________
2 See ch 2.
3 See Sidumo & another v Rustenburg Platinum Mines Ltd & others [2007] 12 BLLR 1097 (CC).
296 Law@work
which the code provides specific guidance. The labour courts have stated that,
the penalty of dismissal is fair; in doing so, he or she exercises a value judgement
missal. The courts have often referred to the policy of ‘progressive discipline’, meaning that a sanction short of
dismissal should initially be imposed, and that
dismissal should be reserved for recurring or persistent acts of misconduct or for a single act of serious
misconduct. This is undoubtedly correct and reflects both the purpose of discipline in the workplace and the
balance that the law seeks
the right of the employer to expect satisfactory conduct and work performance
Before dismissing an employee, the employer should consider all relevant fac-
tors, including the gravity of the misconduct, the employee’s length of service,
disciplinary record and personal circumstances, the nature of the job, and the
circumstances of the infringement (item 3(5)). No single factor is definitive of a right to dismiss; a conspectus of
all of them will determine the appropriateness
of dismissal as a sanction.
Subject to the general rules stated above, specific acts of misconduct are dis-
cussed below.
his or her services at the disposal of the employer. 5 Wilful absence from work is an act of serious misconduct and
would generally justify dismissal. Periods of
absence from work vary as to their duration – absence may be limited to late-
of absence is sufficiently long to warrant the inference that the employee has
________________________
4 Ibid.
5 See ch 5.
6 Absenteeism should be distinguished from desertion. Desertion, when the employee by words or by conduct
implies that he or she does not intend to return to work, is dealt with separately below (at para 1.2.7 ‘Desertion’).
In Kievits Kroon Country Estate ( Pty) Ltd v Mmoledi & others [2014] 3 BLLR 207 (SCA) the court held that
while traditional healers’ certificates are not formally recognised as proof of illness they should be taken seriously
by employers when they indicate that an employee is suffering from ‘culturally induced’ ail-ments. In other words,
such certificates may be relevant when determining the reasonableness of the employee’s absence and the
appropriateness of dismissal as a possible sanction.
297
absence, however isolated or whatever its duration, warrants dismissal. Dismissal is generally appropriate, when
an employee is guilty of repeated incidents of
absence,7 or where a single incident of absence detrimentally affects the employer’s business.
The labour courts have recognised and enforced this obligation by noting
that an employer has the right to expect an employee not to be absent from
work in circumstances where the absence cannot be justified. The onus to justify
third parties may constitute a basis for dismissal, particularly when it amounts to insolence, or is directed against a
client or other employees in circumstances
merely jocular or rude, as opposed to abusive. The nature of the workplace will
often determine whether language is abusive and the degree to which it may
be abusive in another.
This rule is subject to the justifiability of a strict approach in cases where abusive language amounts to harassment
of a racial, sexual or other nature. The
commissioners and the courts have generally upheld dismissals where abuse
indirect fashion, and again, most of the reported cases record the upholding of
dismissals in these circumstances. In Rustenburg Platinum Mine v South African Equity Workers Association obo
Bester and others, 9 the Constitutional Court upheld the dismissal of an employee who had referred to a co-worker
as a
________________________
7 See, eg, AECI Explosives Ltd ( Zomerveld) v Mambalu (1995) 16 ILJ 1505 (LAC) where the Labour Appeal
Court held that a dismissal was substantively fair where frequent absences due to alleged ill-health were treated as
misconduct where the pattern of absences indicated that the employee acted unreliably before and after weekends.
8 See, eg, Dauth v Brown & Weirs Cash and Carry [2002] 8 BLLR 837 (CCMA) where an employee distributed
an email containing anti-Semitic remarks. The dismissal was upheld. In SACWU & another v NCP Chlorchem (
Pty) Ltd [2007] 7 BLLR 663 (LC) it was held that accusing somebody falsely of being a racist can constitute
grounds for disciplinary action and dismissal. See also City of Cape Town v Freddie & others [2016] 6 BLLR 568
(LAC) where the employee who accused a Coloured manager of being ‘worse than Verwoerd’
and of victimising him because of his race was fairly dismissed due to the unjustified accusation that was deemed
to be tantamount to racism.
9 [2018] 8 BLLR 107 (CC). There is a long line of cases in which the courts have stressed the seriousness of
racially abusive language in the workplace. See, eg, Crown Chickens (Pty) Ltd t/a Rocklands Poultry v Kapp &
others [2002] 6 BLLR 493 (LAC), SA Revenue Service v CCMA [2017] 1 BLLR 8 (CC), and SA Breweries (Pty)
Ltd v Hansen & others (2017) 38 ILJ
1766 (LAC).
298 Law@work
‘swart man’, viewed in the context in which it was used, as racially loaded
Gratuitous references to race can be seen in everyday life, and although such
references may indicate a disproportionate focus on race, it may be that not every reference to race is a product or
a manifestation of racism or evidence of racist intent that should attract a legal sanction. They will, more often than
not, be inappropriate and frowned upon. We need to strive towards the creation of a truly
non-racial society. 10
In Lebowa Platinum Mines Ltd v Hill11 the Labour Appeal Court upheld a dismissal of an employee who called
another a ‘bobbejaan’, on the basis that the
Alcohol and drug abuse is a form of conduct that may assume the nature of
either incapacity or misconduct. The code suggests that alcoholism and drug
appropriate steps for the employer to consider (item 10(3)). In spite of this guideline, an employer is quite entitled
to establish a rule against alcohol and drug
use and to treat a breach of the rule as an act of misconduct.13 In this sense, there is a distinction between alcohol
abuse more generally and drunkenness
at work. The latter constitutes misconduct and will generally warrant severe dis-
ciplinary action including dismissal. This is particularly so in workplaces where a premium is placed on
compliance with health and safety rules (mines, explosives factories, chemical plants, transport companies and the
like).
1.2.4 Assault
of the incident, dismissal may be warranted even for a first offence. A threat of assault can also constitute a valid
ground for dismissal.
The personal circumstances of the employee, the extent to which that em-
ployee was provoked into committing an act of assault, and the nature of the
________________________
10 At para 53. See also Duncanmec (Pty) Ltd v Gaylard NO [2018] 12 BLLR 1137 (CC) and Dagane v Safety and
Security Sectoral Bargaining Council & others [2018] 7 BLLR 669 (LC); and Nxumalo ‘When does the Use of
Race as a Descriptor Constitute Misconduct in the Workplace?’ (2019) 40 ILJ 60.
12 See also, eg, Crown Chickens ( Pty) Ltd t/a Rocklands Poultry v Kapp & others [2002] 6 BLLR
493 (LAC) where a dismissal was upheld in the context of a reference to a ‘kaffer’ by a White supervisor. In
Oerlikon Electrodes SA v CCMA & others [2003] 9 BLLR 900 (LC), the court upheld a dismissal where a Black
worker had called a White colleague a ‘Dutch-man’. In South African Revenue Service v CCMA & others 2017 (2)
BCLR 241 (CC) the Constitutional Court discussed how employers should deal with racism, specifically racial
insults, in the workplace.
13 The employer must prove contravention of such rule. Breathalyser tests may be appropriate in certain
circumstances – refer to Exactics-Pet ( Pty) Ltd v Petalia NO & others (2006) 27 ILJ
1126 (LC).
299
work and the workplace itself are factors that must be taken into account when
form occurs when an employee acts in direct competition with the employer or
derives secret profits by virtue of the position the employee holds. The element
But what of the employee who merely earns some extra cash on the side while
working for the employer? If the employee uses the employer’s assets or if the
employee’s work is neglected in the course of furthering an outside interest, dismissal may be warranted. But in
the absence of any element of dishonesty an
conflict of interest, provided the employer is not prejudiced in any way or that
the other employment has not been prohibited by any contractual term or
sonal relationship with a person who has a direct interest in a business entity that competes with the employer. A
personal relationship between two employees
may also interfere with one or both employees’ ability to do the job. In these circumstances it would probably be
more appropriate to consider dismissal based
An employee is required to promote the interests of the employer, and this obli-
1.2.7 Desertion
believe that the employee does not intend to return to work. The courts require
that an employer establish whether the employee’s intention was not to return
________________________
14 This is the case even in the absence of a contractual agreement to this effect as the duty of good faith and care is
a common-law duty of employees. See also Volvo ( Southern Africa) ( Pty) Ltd v Yssel (2009) 30 ILJ 2333 (SCA),
where the court held that an employee who had abused his position of trust and used his position for his own
benefit was obliged to disgorge secret commissions that he had received. In Sime Darby Hudson & Knight (Pty)
Ltd v Lerena (2018) 39 ILJ 2413 (WCC), a contractual claim for breach of contract based on an allegation of secret
profits, the court set out the basis on which a disgorgement claim is to be assessed.
15 A distinction should be drawn between negligence and wilfulness. Negligence is dealt with separately below at
para 1.2.11 ‘Negligence’.
300 Law@work
to work, and that the employer considers an employee’s claim that he or she
compelling reasons for their absence, their conduct would normally justify dis-
missal.
1.2.8 Dishonesty
Dishonesty manifests itself in a number of forms, including providing false information, non-disclosure of
information, pilfering, theft and fraud. The fiduciary duty owed by an employee to the employer generally renders
any dishonest conduct
The Labour Appeal Court established under the 1956 LRA adopted the view
that what was at issue in cases of dishonesty was whether a continued employ-
ment relationship was intolerable. On this basis the court upheld the employer’s
decision to dismiss a waiter who had stolen a can of soft drink from a restaurant.16
Although the CCMA has tended to deal with cases of petty pilfering more
leniently, the Labour Appeal Court has recently and consistently emphasised
ment relationship17 and has upheld dismissals for dishonesty even when relatively small amounts have been
involved.
ample, is an act of dishonesty and has been treated as such by the courts on
the basis of the principles outlined above. The Labour Court has upheld the
when she applied for a job even though the misrepresentation was discovered
only several years later. 19 Furthermore, an applicant who makes false claims in a ________________________
16 See Anglo American Farms Boschendal Restaurant v Komjwayo (1992) 13 ILJ 573 (LAC).
17 See, eg, Toyota SA Motors ( Pty) Ltd v Radebe & others (2000) 21 ILJ 340 (LAC) where an employee falsely
claimed that his company car had been hijacked. See also Shoprite Checkers ( Pty) Ltd v CCMA & others (2008)
29 ILJ 2581 (LAC) and Miyambo v CCMA (2010) 31 ILJ 2031 (LAC) where the Labour Appeal Court has
emphasised that where a relationship of trust and confidence has been compromised by an act of dishonesty,
whatever the value of the goods involved, dismissal is justifiable on account of the employer’s operational
requirements. A breach of the trust relationship and the extent to which it may have been compromised must be
established by the employer – see Edcon Ltd v Pillemer NO & others [2010] 1 BLLR 1 (SCA). The Labour Appeal
Court has recently held, with reference to the Code of Good Practice: Dismissal, that while the employer should
lead evidence to show that the trust relationship has been rendered intolerable such a breakdown may also be
confirmed in the case of a serious offence without the leading of evidence regarding the effect of the misconduct –
see Department of Home Affairs & another v Ndlovu & others [2014] 9 BLLR 851 (LAC).
18 See Sappi Novaboard ( Pty) Ltd v Bolleurs (1998) 19 ILJ 784 (LAC).
19 Hoch v Mustek Electronics ( Pty) Ltd (2000) 21 ILJ 365 (LC). Department of Home Affairs & another v Ndlovu
& others (fn 17) illustrates the seriousness of such misrepresentation. The court was willing to accept that a false
claim in the employee’s CV that he completed a degree which he had in fact not completed was serious enough to
render the trust
301
CV about his or her abilities and is appointed on the basis of that CV cannot
later claim that the employer should have assisted and given support in respect
and therefore an employee who committed a dishonest act cannot rely on the
fact that he or she was instructed by a manager or superior to commit the act.20
1.2.9 Insubordination
spect and is inherently one of subordination, given that the employer must be in
a position of authority to direct that process. For this reason, gross insubordination generally warrants dismissal.
Insubordination is gross when it is deliberate, sustained and indicates an intention on the part of the employee to
disregard
the authority of the employer. In the case of an employee who refuses to obey
an instruction, dismissal will be appropriate if the instruction was reasonable and amounted to a request to perform
an act that falls within the employee’s
duties.21 This also applies to shop stewards as they remain subject to the employer’s disciplinary code. 22
1.2.10 Intimidation
hension of harm in the person against whom it is directed and most often occurs
________________________
relationship intolerable even in the absence of evidence of its effect on that relationship.
See also Eskom Holdings Ltd v Fipaza & others [2013] 4 BLLR 327 (LAC) where non-disclosure of a fact within
the employer’s knowledge was found not to constitute a misrepresentation. See also Roscher v Industrial
Development Corporation & others (2018) 39
ILJ 2489 (LAC) where the Labour Appeal Court declined to make a finding of dishonesty but upheld the dismissal
of a senior employee who had breached her fiduciary duty to her employer by failing to disclose a negative report
warning the employer against funding a particular project. See also LTE Consulting (Pty) Ltd v Commission for
Conciliation, Mediation and Arbitration (2017) 38 ILJ 2787 (LC) where a dismissal was upheld in circumstances
where an employee’s misrepresentation regarding qualification was discovered only four years later.
21 See, eg, Msunduzi Municipality v Hoskins [2017] 2 BLLR 124 (LAC) where an HR manager was fairly
dismissed because he disobeyed instructions to desist from representing employees in disciplinary hearings and
responded in insolent terms to the employer’s instruction. The Labour Appeal Court described insubordination as a
‘persistent, wilfull and serious challenge to or defiance of the employer’s authority; a calculated challenge’ to the
employer’s authority, which is ‘deliberate or intentional’ - see Malamlela v SA Local Government Bargaining
Council & others (2018) 39 ILJ 2454 (LAC). In TMT Services & Supplies (Pty) Ltd v Commission for
Conciliation, Mediation and Arbitration & others (2019) 40 ILJ 150 (LAC), the court discussed the nature of
insubordination and confirmed that defiance of authority could be proved by a single act of defiance.
22 South African Municipal Workers’ Union & others v Ethekwini Municipality & others [2016] 12
302 Law@work
in the context of industrial action. Dismissal, even for a first offence, is generally considered appropriate.
In Adcock Ingram Critical Care v CCMA & others,23 the shop steward was dismissed after threatening, during
negotiations with management during a lengthy
and violent strike, that ‘there will be more blood on your hands’. The Labour
Appeal Court held that intimidation, assault and threats are not conducive to
1.2.11 Negligence
There is very little consistency in awards dealing with the appropriateness of dismissal as a sanction where an
employee has been negligent. The extent of the
appropriate.
ployers who place employees in positions or assign them tasks for which they
general rule that any misconduct should have a serious impact on the em-
ployment relationship before dismissal is justified applies equally to ‘off the job’
potentially forms the basis for a fair dismissal – there must be a sufficiently close link between the misconduct and
the employer’s business, and the impact of
In one of the earliest cases on this issue, the Industrial Court held that an em-
ployer was entitled to take disciplinary action against an employee who had
had taken place outside the company’s premises and after working hours. The
court found that the company had a duty to ensure that its employees were
________________________
303
transported safely and without interference, that on this basis the employee
had acted within the scope of his employment, and that the ‘company’s disci-
The same principle was applied in a case in which the employee challenged
the fairness of his dismissal following his disruptive behaviour on board an air-
craft. The employee, a diplomat, disputed the fairness of his dismissal on the
basis that the incident took place while he was off duty and was therefore not
work-related. The arbitrator found that the employee’s conduct had negatively
impinged on the country’s diplomatic mission in the host country and that his
actions had repercussions in the workplace. The arbitrator held that the em-
ployee was obliged to conduct himself in a credible manner and there was a
strong nexus between the employee’s behaviour and the employer’s legitimate operational interests, to the extent
that it had a bearing on whether he was a fit
Criminal conduct outside the workplace causes particular problems. The gen-
eral rule remains applicable, in other words the fact of a criminal charge or conviction is not necessarily a fair
reason for dismissal and there should be some
relevance of the offence to the employment relationship.26 Conversely, an acquittal in a criminal court does not
mean that an employer is not entitled to
that an employee may not be ‘charged twice’ or that the principle of double
duct that is a criminal offence and which impacts on the employment relation-
ship may be dealt with by the employer as a disciplinary matter. It is for the
criminal courts to decide (using a different test in the form of establishing guilt beyond reasonable doubt) whether
the accused is guilty and what sentence is
The labour courts have also held that it is not necessary for an employer to
wait for the outcome of any criminal proceedings before commencing discipli-
fulfil different social purposes, and because the tests to establish misconduct are different in each case, this must be
the correct approach. An employee who
pending criminal trial, runs the risk of a decision to dismiss being made in his or her absence.
________________________
24 National Union of Mineworkers & others v East Rand Gold & Uranium Co Ltd (1986) 7 ILJ
26 See, eg, Khutshwa v SSAB Hardox (2006) 27 ILJ 1067 (BCA) where an employee was dismissed after the
employer found out that he had killed his wife and her boyfriend, albeit while he was on leave. The arbitrator was
satisfied that the fact that the employee had shot two people would impact, to the detriment of the employer, on the
relationship between the employee and his co-workers.
304 Law@work
with sexual innuendo at one end, to physical violence, including rape, at the
other. 27 The labour courts have consistently upheld dismissals for serious or per-
sistent harassment.28 Employers have a general duty to ensure that the working
environment is one where the dignity of employees is respected and where all
employees are aware of the obligation to refrain from committing acts of sexual
harassment.
the Workplace,29 issued in terms of the EEA in amended form in 2005, suggests that serious incidents of sexual
harassment or continued harassment after warnings are dismissible offences (item 8(8)). This approach accords
with the general guideline contained in the Code of Good Practice: Dismissal to the effect that
established?
Item 7 of the Code of Good Practice: Dismissal suggests that any person who is
to determine whether a dismissal for conduct is unfair should consider the fol-
lowing:
________________________
28 See, eg, Campbell Scientific Africa ( Pty) Ltd v Simmers & others [2016] 1 BLLR 1 (LAC) where a male
manager made a sexual proposition to the employee of another company during a business trip. His conduct
constituted sexual harassment and justified dismissal.
30 This implies that not all instances of harassment require dismissal as sanction, a position affirmed in SA
Broadcasting Corporation Limited v Adv J Grogan NO & another (2006) 27
ILJ 1519 (LC). In Simmers v Campbell Scientific Africa ( Pty) Ltd & others [2014] 8 BLLR 815
(LC) at para 29 the court held that because an utterance was made in hope rather than expectation and was not
persisted with it did not constitute sexual harassment: ‘It is true that a single incident of unwelcome sexual conduct
can constitute sexual harassment.
But it is trite that such an incident must be serious. It should constitute an impairment of the complainant’s dignity,
taking into account her circumstances and the respective positions of the parties in the workplace. This nearly
always involves an infringement of bodily integrity such as touching, groping, or some other form of sexual
assault; or quid pro quo harassment’. The Labour Appeal Court (fn 28) overturned this decision.
305
• the rule or standard has been consistently applied by the employer; and
standard.
This approach, derived from North American private arbitration practice, has
under the LRA. Each of the headings is discussed in more detail below.
terms of the general approach to onus in dismissal cases, is for the employer to
of any misconduct.31
The rule must regulate conduct in, or be of relevance to, the workplace. This
may require a consideration of the validity of the rule, since rules that purport to regulate conduct outside of the
workplace or that have no relevance to the
employment relationship would not generally be valid.32
to disclose knowledge of misconduct committed by another employee.33 The disputes about derivative
misconduct more often than not arise in the context
of strike-related violence. In National Transport Movement & others v Passenger Rail Agency of SA Ltd34 the
Labour Appeal Court did not question the principles by which derivate misconduct may be established but found,
on the facts, that
the employer had failed to prove that the burning of trains was carried out by
striking employees or that those employees had any knowledge of the torching
To the extent that Western Platinum Refinery Ltd v Hlebela suggests that there is a positive duty on an employee to
disclose any knowledge of misconduct
committed by other employees, the decision must be read subject to the later
________________________
31 See para 1.4 ‘Procedural fairness’ below. In Metsimaholo Local Municipality v South African Local
Government Bargaining Council & others [2016] 5 BLLR 435 (LAC) the employer failed to prove the alleged
practice that written permission was required for employees to undertake private work. The dismissal for
moonlighting due to the contravention of the collective agreement that simply required permission for private work
was found unfair.
32 See para 1.2.12 ‘Off-duty conduct’, discussed above and at para 1.3.2 ‘Was the rule valid or reasonable?’
below.
33 See Western Platinum Refinery Ltd v Hlebela & others [2015] 9 BLLR 940 (LAC). The label
‘derivative misconduct’ in the context of the workplace was first used in Chauke v Lee Services Centre t/a Leeson
Motors (1998) 19 ILJ 1441 (LAC).
306 Law@work
obo Nganezi & others v Dunlop Mixing and Technical Services (Pty) Ltd.35 That
present when strike-related violence was committed. They had been dismissed
by the employer on the basis that they had failed to come forward and either
tor found that the dismissal of this group of employees was substantively unfair
and reinstated them. The Constitutional Court ultimately upheld this decision.
Writing for a unanimous court, Froneman J held that the contractual duty of
good faith does not as a matter of law imply the imposition of a unilateral fidu-
ted by co-employees to the employer.36 The court concluded that: To impose a unilateral obligation on an
employee to disclose information to her
strike would be akin to imposing a fiduciary duty on the employee. In the context of a strike, the imposition of a
unilateral duty to disclose and undermine the collective bargaining power of workers by requiring positive action
in the interests of the employer without any concomitant obligation on the part of the employer to give
something reciprocally similar to the workers in the form of guarantees for their safety and protection before, when
and after they disclose. 37
The appeal was upheld on the basis that the employer’s reciprocal duty of
good faith required it at least to guarantee the safety of its employees before
A rule that is unlawful, invalid or simply capricious cannot form the basis of a fair dismissal. Generally, a rule
should be capable of justification by reference to the nature and requirements of the employer’s business. This
obviously permits a significant degree of variation from business to business. An employer engaged in
the retail trade may, for example, have a strict rule in terms of which dismissal is the prescribed penalty for theft,
irrespective of the value of the item stolen.
Strict rules relating to intoxication are justifiable in respect of drivers or workplaces where potentially hazardous
materials are manufactured or handled.
35 National Union of Metalworkers of South Africa obo Nganezi & others v Dunlop Mixing and Technical
Services (Pty) Limited & others (Casual Workers Advice Office as amicus curiae) 2019 (8) BCLR 966 (CC). See
also Western Platinum Refinery Ltd v Hlebela & others (fn 33).
36 At para 62.
37 At para 73.
Conduct and capacity
307
for particular misconduct, the rule should be upheld in the absence of any
manifest unreasonableness. 38
way in which this requirement is framed does not, however, require the employer
reasonably be expected to have knowledge of the rule. The courts have con-
firmed that there are many instances where an employee can be expected to
know that the misconduct was unacceptable without being specifically ad-
This is a principle more easily applied in cases of gross misconduct such as theft and assault. In cases in which the
alleged misconduct comprises more arcane
Fairness would generally require that an employer apply the same standards of
conduct to all employees, and that if two or more employees have committed
the same wrong and there is nothing to distinguish the one case from the other,
they receive the same penalty. This principle is recognised by the Code of
exercising discipline and in particular when effecting a dismissal (items 3(1) and (6)). This means that the
employer should apply a penalty of dismissal consistently with the way in which the penalty has been applied to
other employees in
consistency’). The courts have held that this requirement is no more than an
element of the obligation to act fairly, and that it is the perception of bias inherent in selective discipline that makes
it unfair.
This does not mean that the employer has no discretion in respect of the
consistency. But difference is often a matter of degree and it is in this respect that the courts themselves have not
always been consistent. A narrower
________________________
38 See the finding of the Supreme Court of Appeal in the Rustenburg Platinum Mines Ltd ( Rustenburg Section) v
CCMA & others [2006] 11 BLLR 1021 (SCA). With regards to so-called ‘zero-tolerance’-rules, see Shoprite
Checkers ( Pty) Ltd v Tokiso Dispute Settlement & others [2015] 9 BLLR 887 (LAC) for a cautionary note to
employers not to rely inflexibly on a zero-tolerance approach without having regard of the totality of the
circumstances.
39 If an employer dismisses for breach of an unwritten rule, but fails to establish the existence and scope of the
alleged rule and to rebut the employee’s denial of being unaware of it, the dismissal will be unfair. See, eg, Dikobe
v Mouton NO & others [2016] 9 BLLR 902 (LAC) which dealt with a dismissal for the unauthorised possession
and use of a drinks voucher to purchase drinks at a casino bar.
308 Law@work
at least a perception of bias and an unfair dismissal.40 Some doubt as to the correctness of this approach was
expressed by the Labour Appeal Court in Cape
Town City Council v Masitho & others, 41 where the court stated that while it was
the employer to let it be known that the earlier application of disciplinary measures cannot be expected to be
adhered to in future.
The problem arises most often where a dismissed employee seeks to take
advantage of a previous decision not to dismiss another employee for the same
bound thereafter, as the Labour Appeal Court has put it, to ‘be expected to
To summarise, the answer is clearly ‘no’, but there are subtle differences in the various approaches adopted by the
courts. The first, as described above, is to
suggest that consistency is not a rule unto itself and that the excessively lenient treatment of one employee should
not serve to advantage another. The second, described above with reference to Masitho, is to place more emphasis
on the perception of bias and the expectations of employees.
is alleged that only some employees were selected for disciplinary action and
that the action against them is inconsistent on that basis.42 Two important con-
ceptual considerations are raised in the context of group misconduct, both of
which have been alluded to above. The first relates to the notion of progressive
discipline and the requirement that the disciplinary record of each employee
ally reluctant to dismiss an entire workforce and prefer to issue disciplinary sanctions on an individual basis. The
consequence of course is a differentiation in the penalty imposed. Typically, employees with final warnings for
misconduct are
dismissed and those with disciplinary records in a better state escape with writ-
and that the differences in disciplinary record justify the differential treatment.
However, the courts initially adopted a sceptical view and more than once
held that a dismissal in these circumstances was unfair for want of compliance
with what they termed the ‘parity principle’. The consequence of these de-
cisions was that an employer was not entitled to take into account warnings
________________________
40 See SA Commercial Catering & Allied Workers Union v Irvin & Johnson Ltd (1999) 20 ILJ
2302 (LAC), where the court stated that it is the perception of bias inherent in selective discipline that makes it
unfair, and that some inconsistency is the price to be paid for flexibility, which in turn requires the exercise of a
discretion in each case.
309
brought this approach into question. The court had to consider the fairness of a
remaining members of the gang had received a final warning. The employees
had all been disciplined for refusing to work, but the employer sought to justify the differential penalty on the basis
that the two dismissed employees had final
warnings on their disciplinary records. The court held that the parity principle
was designed to prevent unjustified selective punishment and to ensure that like
cases are treated alike. It was not intended, however, to force an employer to
mete out the same punishment to employees with different personal circum-
stances just because they were guilty of the same offence. A disciplinary record
stances where the offence for which the employee is dismissed is unrelated to
where cases are distinguishable and parity is ‘only one factor relevant to assessing fairness of dismissal’ so that
where leniency was shown to one employee for
a dishonest act this does not imply that the employer grants a license to other
employees ‘to indulge in similar misconduct’. 44 The Labour Appeal Court has stated in a judgment following that
of Irvin & Johnson Ltd that Irvin & Johnson should not be seen to upset the established principle that, in general, it
is unfair to impose different sanctions on employees guilty of similar offences. 45 In ABSA Bank Ltd v Naidu, the
Labour Appeal Court again stated that the parity principle, as expressed in Irvin & Johnson, is a general rule.
where the employer identifies and disciplines some but not all of the employees
who are alleged to have participated in the misconduct. The courts have gen-
erally adopted a pragmatic view and will not find inconsistency to exist where
the employer has taken disciplinary action against only those employees whom
absence of any deliberate or negligent differentiation on this basis, the fact that some employees might escape
disciplinary action will not in itself permit others
much the same way should incur much the same penalty. When reference is
made to previous decisions made by the employer for the purposes of estab-
situations that are the subject of the comparison must be truly similar, the em-
ployer must have been aware of the conduct of any employees it is alleged to
have treated differently and been reasonably capable of identifying them,
there should be a rational basis for any differentiation in treatment between the ________________________
43 See SA Commercial Catering & Allied Workers Union v Irvin & Johnson Ltd (fn 40).
310 Law@work
employees who are the subject of the comparison, 46 and finally, any significant
employees.
the rule?
This is probably the most difficult of all of the requirements referred to in the code to satisfy. An employer finding
an employee guilty of misconduct potentially has a number of penalties that might be imposed, ranging in severity
from
Code of Good Practice requires that the substantive fairness of a possible dis-
missal for such misconduct is considered having regard to (item 6(1)): the facts
of the case; the seriousness of the contravention of the Act; attempts made to
comply with the Act; and whether or not the strike was in response to unjustified conduct by the employer.
In Sidumo & another v Rustenburg Platinum Mines Ltd & others, 48 the conduct of a security guard, Sidumo, who
ignored the mine’s search rules, was captured
by a video camera and he was dismissed by the mine. The CCMA commissioner
found that, regardless of the fact that the guard’s failure to search constituted misconduct, dismissal was too harsh
a sanction in view of the guard’s length of
service and his clean record. The commissioner reinstated the guard subject to
a final warning. When the mine took the award on review, it was unsuccessful in
both the Labour Court and the Labour Appeal Court where it was held that
there was no basis for interfering and setting aside the award.49 The mine was more successful in the Supreme
Court of Appeal where that court, in a unanimous judgment, disagreed with the courts a quo and ruled that the
award be set aside.
The Supreme Court of Appeal held that commissioners must recognise that
the discretion to impose a sanction for proven misconduct rests in the first in-
stance with employers and that they should intervene only if the decision was
________________________
46 In some instances an employer may justifiably distinguish between employees. See, eg, NUM v Council for
Mineral Technology [1999] 3 BLLR 209 (LAC), where employees who had played a more active role in the
detention of members of management during the course of a sit-in were dismissed but others were not.
47 See item 3(4) of the Code of Good Practice: Dismissal. In Impala Platinum Ltd v Jansen & others [2017] 4
BLLR 325 (LAC) the Labour Appeal Court held that where the effect of misconduct on the employment
relationship is self-evident no evidence of the breakdown is required. The Labour Appeal Court has also confirmed
that where an arbitrator reinstates an employee found guilty of serious misconduct without considering whether the
employment relationship had been rendered intolerable the award will be set aside –
Moodley v Department of National Treasury & others [2017] 4 BLLR 337 (LAC).
48 Fn 3.
49 See Rustenburg Platinum Mines Ltd ( Rustenburg Section) v CCMA & others [2003] 7 BLLR
676 (LAC).
311
manifestly or demonstrably unfair.50 The court held that the Code of Good Practice: Dismissal made it clear that
employers enjoy a measure of discretion as to
the penalty to be imposed for misconduct.51 The court stated that ‘The fact that the commissioner may think that a
different sanction would also be fair, or fairer,
or even more than fair, does not justify setting aside the employer’s sanction’.52
After COSATU’s intervention, the Constitutional Court was given the opportunity
to consider the fairness of Sidumo’s dismissal.53 The issue before the court called for a decision on whether
commissioners should defer to employers on the question of sanction (and interfere with the sanction imposed by
an employer only in
broader view of what constitutes an appropriate sanction in each case. The first
permits interference only if the employer’s decision falls outside a band of de-
There is nothing in the constitutional and statutory scheme that suggests that, in determining the fairness of a
dismissal, a commissioner must approach the matter
from the perspective of the employer. All the indications are to the contrary. A
plain reading of all the relevant provisions compels the conclusion that the com-
158 of 1982 (ILO Convention) requires the same. Any suggestion by the Supreme
Court of Appeal that the deferential approach is rooted in the prescripts of the LRA
cannot be sustained.54
________________________
50 Rustenburg Platinum Mines Ltd ( Rustenburg Section) v CCMA & others (fn 38). The Supreme Court of Appeal
held that interference with dismissals for conduct, according to earlier judgments, should be permitted only when
the sanction fell outside the range of the reasonable, or induced a sense of shock. In casu, having regard to the
losses suffered by the mine the dismissal of a security guard that had wilfully neglected to guard and search the
employer’s property did not induce a sense of shock. The court therefore held that the dismissal was reasonable
and fair in the circumstances and that another finding would be irrational.
51 In Minister of Correctional Services v Mthembu NO (2006) 27 ILJ 2114 (LC) the Labour Court also considered
the extent to which an arbitrator may correctly interfere with the sanction of dismissal imposed by the employer.
The court confirmed that an arbitrator’s function is in fact to decide whether the employer’s decision to dismiss
was ‘fair’ and not to exercise an independent discretion of his own. Furthermore, the court held on the issue of
consistency of punishment that the ‘parity principle’ should not be applied rigidly and that the fairness of a
dismissal in such circumstances involves a ‘moral or value’ judgment.
52 At para 46.
54 At para 61.
312 Law@work
The court therefore rejected the ‘reasonable employer’ test,55 and held that the Constitution and the LRA seek to
redress the power imbalance between employees and employers. Since neither the Constitution nor the LRA
affords any
preferential status to the employer’s view on the fairness of a dismissal, the court held that it would be against
constitutional norms (and against the right to fair labour practices) to give pre-eminence to the views of either
party to a dispute.
The court considered that the approach of the Supreme Court of Appeal, de-
scribed above, had tilted the balance against employees. 56 Commissioners are required to decide whether the
dismissal that is the subject of the dispute be-
fore them was fair, not whether a reasonable employer might think it was.57
The test that a commissioner must employ when impartially considering the
fairness of a dismissal dispute therefore requires that the commissioner will take into account the totality of
circumstances:58 ‘A commissioner is not given the power to consider afresh what he or she would do, but simply
to decide whether
what the employer did was fair’.59 The Constitutional Court listed the following factors that a commissioner will
have to consider:
l whether additional training and instruction may result in the employee not
that commissioners weigh each of these factors when assessing whether the
________________________
55 The court emphasised the importance of ‘holding the scales between the competing interests of employees and
employers evenly in the balance’ (at para 66). The court stated that ‘Ultimately, the commissioner’s sense of
fairness is what must prevail and not the employer’s view. An impartial third party determination on whether or
not a dismissal was fair is likely to promote labour peace’ (at para 76).
56 At para 74.
57 The court held that ‘Ultimately, the commissioner had to balance, on the one hand, employment justice and the
need to protect the worker from harsh and arbitrary action, and on the other hand, the need for efficient operation
of the employer’s business and the employer’s entitlement to satisfactory conduct and work performance from
Sidumo. Balancing these interests, in the light of the facts and circumstances of this case, the conclusion by the
commissioner that dismissal was not fair, cannot be said to be unfair to the employer’ (at para 88).
58 At para 78.
59 At para 79. The court stated that in arriving at a decision a commissioner is not required to defer to the decision
of the employer, rather what is required is that he or she must consider all relevant circumstances.
60 At para 78. The court also stated that these factors are not exhaustive.
61 See Myburgh ‘ Sidumo v Rusplats: How have the courts dealt with it?’ (2009) 30 ILJ 1.
The LRA requires that a dismissal be effected in accordance with a fair pro-
cedure. In the case of a dismissal for misconduct, the Act does not prescribe
the procedure to be followed, but item 4 of the Code of Good Practice pro-
determine whether there are grounds for dismissal, which the code suggests
need not be a formal enquiry. This provision was somewhat novel at the time
the code was enacted and it remains ignored by many CCMA commissioners,
procedural fairness. Under the 1956 LRA the Industrial Court adopted a ‘check-
respect of the disciplinary enquiry. The court came close to equating an internal
This approach has been questioned. In Avril Elizabeth Home for the Mentally
Handicapped v Commission for Conciliation, Mediation and Arbitration63 the Labour Court noted that the code
clearly envisages something less formal. The
court considered that the word ‘investigation’ indicates that what is at least
employer is obliged to communicate the decision made and should furnish the
The code makes no mention of any right of appeal to a higher level of man-
the extent that disciplinary codes and procedures retain these requirements,
they are obviously enforceable and may form the basis of a finding of proced-
ural unfairness if they are ignored. However, the redefinition of the requirements of procedural fairness in the LRA
is a deliberate attempt to reduce the level of
________________________
62 The following elements of a disciplinary enquiry were held to be essential: the hearing should take place within
a reasonable period after the allegations of the misconduct have been brought to the attention of the employer; the
employee must be informed of the charge or charges brought; the employee is entitled to be present at the hearing
and is entitled to participate in the proceedings (see, however, Old Mutual Life Assurance Co SA Ltd v Gumbi
[2007] 8 BLLR 699 (SCA) where the court held that an employee’s deliberate absence from a disciplinary enquiry
will not affect the validity, or procedural fairness, of an ensuing dismissal); in the proceedings, evidence should be
led and be subjected to cross-examination; the employee is entitled to assistance during the proceedings; the
person taking the disciplinary decision should be unbiased and should enter the proceedings with an open mind;
and a dismissed employee should be accorded a right of appeal to a higher level of management.
314 Law@work
with jurisdiction or to the CCMA. Item 4(3) of the code requires employers to
All of the above is subject to the rule that an employer will be held to the
standards established by its own disciplinary procedure. If the applicable disciplinary code establishes stricter
standards than those established by the guide-
line, the fairness of the dismissal would be determined according to the stricter standards. Many employers
unnecessarily continue to apply the terms of disciplinary codes and procedures that reflect an outmoded approach.
64
for dismissal, the code provides that the employee should be given a reason-
able time to prepare a response to the employer’s allegations, and should have
enquiry, the employer should give the employee the reason for any decision to
dismiss, and remind the employee of the right to refer any disputed dismissal to
the appropriate statutory dispute resolution agency. Finally, the code provides
that the employer may dispense with these guidelines, if in exceptional circum-
to contact the trade union official to discuss the course of action it intends to take. The employer must also issue an
ultimatum, in clear and unambiguous
terms, which ultimatum should state what is expected of the employees and
what the sanction will be if they should fail to do so (item 6(2)). 65 In the case of
dismissals for participation in unprotected strike action the Labour Appeal Court, in a number of decisions that
have not always been unanimous, has applied
the audi alteram partem principle.66 The court has held that before an employer may dismiss employees in the
circumstances, some form of hearing is
required, but that the nature of the hearing will be determined by the circum-
stances of each case. In some cases a formal hearing will be required, in others
an informal hearing will be sufficient. In some instances the court held that
sending a letter to the strikers or their union or other representatives inviting them to make representations by a
given time as to why they should not be dismissed
________________________
64 Employers occasionally do not follow their own codes to the letter. It seems that a dismissal can be found
substantively and procedurally fair even in the presence of minor technical irregularities in the conducting of a
hearing and appeal, in the absence of loss or prejudice to the employee – Rand Water Board v CCMA (2005) 26
ILJ 2028 (LC). In general, an employer must follow its own code. See, eg, where a code provided for the expiry
and destruction of warnings after six months and the employer issued warnings valid for 12
months, the employer was found to be acting inappropriately. It was held that the 12-month warnings expired or
were invalid and could not be considered when disciplining employees later on for misconduct ( NUMSA & others
v Atlantis Forge ( Pty) Ltd (2005) 26 ILJ
1984 (LC)).
65 The striking employees should be given sufficient time to reflect on the ultimatum and to respond to it. In cases
where an employer cannot reasonably be expected to comply with these steps, they may be dispensed with.
66 In Modise & others v Steve’s Spar Blackheath (2000) 21 ILJ 519 (LAC) the court held that unprotected strikers
are entitled to be heard before being dismissed.
315
was adequate. In essence, said the court, they should be given a fair opportunity to state their case. On the other
hand, in NUM & others v Billard Contractors CC
& another67 the court required an employer to hold two ‘hearings’ in addition to
In Semenya v CCMA & others69 the procedural fairness of a dismissal was dis-
When they realised their mistake, they offered the employee a hearing after the dismissal had taken place. An
independent third party would have conducted
this hearing, but the employee refused this option. Contrary to the findings of
the arbitrator and the Labour Court, the Labour Appeal Court held that, in cer-
tain circumstances, a hearing after a dismissal could indeed meet the require-
after an employee has been found not guilty of that offence? The answer
would appear to be a qualified ‘yes’. The majority of the Labour Appeal Court
has held that if an employee has already been disciplined for an offence, this
does not mean that the employer is precluded from holding a formal disciplin-
ary enquiry and dismissing the employee for the same offence. The determining
and where more senior management considers the penalty too lenient or a
The ‘double jeopardy’ defence, derived from criminal law, provides that an
accused person cannot be tried twice for the same offence. In an employment
context, the defence is to the effect that once an employer has imposed a
________________________
68 The first hearing would entail discussing the unprotected nature of the strike and the giving of an ultimatum
(including its timing and effect). The second hearing would entail an opportunity for the strikers to advance
reasons as to why they did not comply with the ultimatum.
70 The court held that ‘where the opportunity to be heard is offered after the decision has been taken but the
person who will consider the representations and decide on whether the decision should be in favour or against the
affected person is a different person from the one who initially made the decision and is independent of him or her
( sic) organisation and can act impartially and make a fresh decision on the matter, there is no reason in principle
why an opportunity to be heard given after the decision has been taken should not be accepted as satisfying the
audi alteram partem rule. It seems to me that in such a case that opportunity to be heard satisfies the . . . rule
because, though given after the decision, it is as fair as, if not in fact fairer than, the opportunity that should have
been given before the decision’ (at 528B–E).
71 See Branford v Metrorail Services ( Durban) & others (2003) 24 ILJ 2269 (LAC).
316 Law@work
disciplinary penalty, the matter may not be re-opened to allow the employer
the opportunity to revise the penalty, and in particular, to impose a more severe penalty.
l an employer does not always have the right to institute disciplinary action a
l this does not mean that an employer can never institute disciplinary action a
second time;
l the labour courts and arbitrators should not adopt a rigid approach;
l fairness will determine whether an employer is justified in instituting disciplinary action a second time;
l the terms of the employer’s disciplinary code and the existence of any ex-
l if the employer’s code provides that the person chairing a disciplinary en-
l when issues were not fully canvassed in a hearing, or where new evidence
In South African Revenue Service v Commission for Conciliation, Mediation and Arbitration and others73 the
Labour Appeal Court was not willing to read into the
person’s decision with the employer’s sanction.74 The court also held that whether or not the disciplinary code
was incorporated in a collective agreement makes
no difference.
1.6 Disciplinary action against shop stewards
The Code of Good Practice makes special provision for disciplinary proceedings
against trade union representatives, office-bearers and officials. Item 4(2) pro-
vides that discipline against these persons should not be instituted without first informing and consulting with the
trade union. This is a guideline and the labour ________________________
72 See UASA obo Davidtz & others v Kloof Gold Mining Company Ltd [2005] 7 BALR 787
(CCMA).
74 At paras 27–28. In general, an employer is not entitled to change a lesser sanction to one of dismissal. This is in
particular the case where the Public Service Act guidelines (Proc 103
of 1994) oblige the employer to implement the decision of a chairperson. See Moodley v Department of National
Treasury & others (fn 40).
317
courts have held that an employer’s failure to notify the union does not mean
The labour courts have occasional y suggested that in regard at least to cer-
tain kinds of conduct committed by union officials when they exercise their
relationship and one of a representative of a trade union is to be respected, the existence of the latter does not
exempt a union official from disciplinary action, including dismissal, when this is warranted. The Labour Appeal
Court has held
that protection does not extend, for example, to a union official who threatens
violence during a negotiation. In that case, and in the context of a particularly violent strike, the company was
entitled to dismiss the employee. 75 When there is
an unprotected strike and shop stewards are singled out for dismissal but other
employees who participate receive only final warnings the only plausible con-
clusion may very well be that the shop stewards are discriminated against be-
the Code of Good Practice: Dismissal. Item (4) of the code provides that an
expected to comply with the guidelines set out in that item. Cases decided in
the labour courts since the requirement for a fair hearing established by the
stances. The first has been described as a ‘crisis-zone’ situation, in other words where there is a danger to life and
property that justifies an employer dispensing with a hearing. These cases have normally involved incidents of
unrest and violence in the workplace. The second recognised exception is the failure or re-
waived the right to a hearing. The Labour Court has also held that an employer
________________________
75 See Adcock Ingram Critical Care v CCMA & others (fn 23). The majority of the court in National Union of
Public Service and Allied Workers obo Mani & others v National Lotteries Board 2014 (3) SA 544 (CC) took a
more lenient approach to conduct that is permissible during collective bargaining. See ch 10 at para 6 ‘Dismissal
for exercising any right conferred by the LRA’. See also NUMSA & others v Atlantis Forge ( Pty) Ltd [2005] 12
BLLR 1238
(LC) where the court upheld the dismissal of a shop steward who had exhorted employees to commence an
unprotected strike without advising them of the consequences. See
also ch 14.
76 Martin & East ( Pty) Ltd v National Union of Mineworkers & others (2014) 35 ILJ 2399 (LAC).
See ch 10 at paras 2 ‘Dismissals contrary to section 5’ and 3 ‘Participation in a strike or protest action’.
318 Law@work
ments, were excused from the obligation to hold a hearing primarily because
lished by the code and, in particular, the nature of the investigation that now
forms the basis of the requirement of fair procedure should not preclude an
2.1 Introduction
The LRA recognises incapacity as a legitimate ground for dismissal.77 The Act
does not define the term, but the Code of Practice in Schedule 8 to the Act
refers to two forms that incapacity might assume – poor work performance and
ill health or injury. In both instances, the employee is incapacitated in the sense of an inability to do the job for
which the employee was engaged.
Although the distinction between incapacity in the form of poor work per-
formance or ill health may seem obvious, the line can be blurred. Generally, if
faculties necessary to do the job, this would in the ordinary course be regulated by the rules relevant to incapacity
in the form of ill health or injury. The labour courts have accepted that incapacity in the form of ill health or injury
is not
matically unfair.78 A dismissal for poor work performance, on the other hand, is usually justified on account of a
lack of the skills or qualities necessary to perform the tasks that the employee is required to accomplish. To use the
words of
the Code of Practice, a dismissal is effected because the worker ‘fails to meet a required performance standard’.
Incapacity can be distinguished from misconduct on the basis that in the lat-
ter instance some degree of ‘fault’ is required on the part of the employee. An
employee who feigns illness is therefore guilty of misconduct rather than in-
more detail in the context of poor work performance. The Labour Appeal Court
the code, and that it can take other forms, for example, the imprisonment of an
employee. 79
The rules applicable to a dismissal for both forms of incapacity are set out in
________________________
79 Samancor Tubatse Ferrochrome v Metal & Engineering Industries Bargaining Council & others (2010) 31 ILJ
1838 (LAC).
319
Difficulties also arise when an employee’s inability to perform is attributable to a factor other than poor
performance or medical incapacity – for example,
forming the job. Recently, incompatibility has been treated as something akin to
incapacity. 80
The Code of Good Practice establishes the following guidelines on dismissals for
l if the employee’s ill health or injury is of a temporary nature, but the em-
ployee is likely to be absent from work for an unreasonably long time, the
ing alternatives, factors such as the nature of the job, seriousness of the ill-
l in the case of permanent ill health or injury, the employer should consider
to some extent.81
________________________
80 Van der Merwe and Agricultural Research Council (2013) 34 ILJ 3366 (CCMA). See para 2.4.2
‘Incompatibility’.
81 In Parexel International (Pty) Ltd v Chakane NO & others (2018) 39 ILJ 644 (LC), the Labour Court stated that
‘By now it is reasonable to expect that employers clearly understand the obligations in terms of items 10 and 11 of
the Code. Even though an employer may not be obliged to retain an employee who is not productive, fairness
requires that a proper assessment be made of whether that situation has been reached before the employer resorts
to dismissal’ (at para 29). See also Parexel International (Pty) Ltd v Chakane NO & others [2019] 11 BLLR 1245
(LAC) where the Labour Appeal Court set aside the arbitration award and the court a quo’s decision not to review
such award. In this case the court found a proper assessment had been made even in the absence of consideration
of further alternatives after the position had been kept open for 9 months. This was because
‘whether an employee is willing and able to work and when she may be in a position to do so are material
considerations to which regard must be had when considering an employee’s incapacity’ (at para 20).
320 Law@work
In a dispute about the fairness of a dismissal arising from ill health or injury the arbitrator will generally consider:
First, the employer must establish the nature of the employee’s condition, the
likely prognosis and the extent to which the employee is incapable of doing the
work for which he or she was employed. This obviously entails a discussion with
remembered, though, that a decision to dismiss is not a medical question; it is a decision to be taken in the light of
available medical evidence and opinion. An
the employee refuses to do so, the employer must make a decision on the facts
available to it, although an arbitrator is entitled to draw a negative inference
from work. In the case of permanent incapacity the employer’s obligations are
part of the employee. This element of the guideline appears to assume that the
not dissimilar to those that apply in the case of employees with a disability. The affirmative action measures
required by the EEA include making reasonable
they enjoy equitable representation and that they are equitably represented in
ment that will enable a person with a disability to have access to, participate in or advance in employment’.
In National Education Health & Allied Workers Union obo Lucas v Department of Health ( Western Cape)82 the
arbitrator found that, in the course of determining
________________________
82 (2004) 25 ILJ 2091 (BCA). The applicant employee was injured on duty, which resulted in her not being able to
bend and lift heavy objects. As she was previously employed as a general worker in the nursing department of a
hospital she was transferred to the sewing department while her case was considered. There, however, she did not
cope well. She applied for a more senior administrative post but was unsuccessful. Her employment was
consequently terminated on grounds of incapacity due to ill health or injury and the continued on next page
321
The objective of both the LRA and the EEA is to encourage employers to
argued that the general objective of the statutory instruments (the LRA and the
found that the general concept of fairness required of the employer to consider
Practice on Employment of People with Disabilities) could be made for the em-
ployee rather than to dismiss. This consideration clearly goes further than that
under the LRA Code of Dismissal. In terms of the EEA code ‘reasonable accom-
modation’ is defined in the same manner as section 1 of the EEA (see item 6).
An employer will therefore have to show that it made efforts to do the same.83
In Wylie v Standard Executors & Trustees84 an employee who suffered from a physical disability (multiple
sclerosis) claimed unfair dismissal. The commissioner distinguished between a dismissal for incapacity on the
grounds of ill health
(found in the LRA Code of Good Practice: Dismissal) and ‘disability’ as defined
in the EEA and its code. The commissioner concluded that the requirements of
these two Acts are not interchangeable and that more is required of an em-
principles the contract may terminate by operation of law, in other words there
is no dismissal.85 This having been said, employers may wish to confirm prior to
A further practical issue that often arises in the context of permanent in-
capacity is whether the employer is required to follow the procedure set out in
________________________
employer purported to have complied with items 10 and 11 of the LRA Code of Good
Practice: Dismissal.
83 See item 11(b)(i)–(iii). Item 6.11 of the EEA code provides that the duty to make ‘reasonable accommodation’
must not impose an ‘unjustifiable hardship’ on the employer. In the case of Lucas (fn 82) the arbitrator stated that
in deciding what is reasonable depends on the circumstances of the workplace and the employee (including the
extent, the purpose, arrangements of the accommodation and the employer’s resources). There need not be an
existing vacancy where an employee cannot continue to perform his or her current duties – the employer is obliged
to consider adapting the duties or work circumstances of the employee. It is also a well-established principle that
the duty on an employer to accommodate an employee with an injury or illness is more onerous where the same
was contracted as a result of his or her employment (item 10(4) of the LRA Code of Good Practice: Dismissal).
This principle was confirmed in Tshaka and Vodacom ( Pty) Ltd (2005) 26 ILJ 568 (CCMA).
322 Law@work
the code if the employee has successfully applied for disability benefits in terms of a benefit fund. Where the rules
of the fund contemplate termination of employment as an automatic consequence of qualifying for the benefit,
there
would be little or no purpose served by following the guidelines and the ques-
tion arises whether there has in fact been a dismissal at all. In these circum-
stances, the termination can be likened to a retirement on ill health and does
not constitute a dismissal. If an employee is unsuccessful in qualifying for a disability benefit, the employer is not
precluded from investigating of its own
In the case of a temporary inability to work, the code draws a distinction be-
tween absence for ‘a time that is unreasonably long in the circumstances’ and
other situations, presumably those where the absence is not likely to extend for
itself give rise to a right to dismiss – the employer is required to consider alternatives to dismissal. The viability of
any available alternatives must be deter-
mined against considerations relevant to the nature of the job, the likely period of absence and the prospect of
obtaining a temporary replacement for the
employee. In Burger v Governing Body of Newcastle Senior Primary School86 an employee was dismissed for
incapacity after she indicated that she required
that management had neither investigated the extent of the employee’s in-
capacity nor did they give her an opportunity to state her case. Not surprisingly, her dismissal was found to be
unfair. This case reinforces the fact that a lengthy period of absence alone will not justify a dismissal on the
grounds of incapacity.
The more difficult cases occur when each of an employee’s periods of ab-
sence is not unreasonably long but, cumulatively, that is their effect. This has
absence and the cumulative effect of those periods on the employer’s business
response.
The existence of any alternatives to dismissal and the extent of any adapta-
case. The employer should demonstrate the steps it took to find alternative work
that was within the employee’s capacity to perform, even if that is at a re-
duced rate of pay. In Standard Bank of South Africa v CCMA & others, 87 the court equated an employee’s
incapacity on account of injury with disability,
and held that a dismissal was unfair because the employer had failed to take
Two special circumstances exist. The first is where medical incapacity is drug-
________________________
323
from a capacity rather than a conduct perspective and that counselling and rehabilitation should be considered. 88
The second circumstance is that where the employee’s condition is a consequence of an occupational injury or
illness.
The code suggests that ‘particular consideration’ should be given to the accom-
modation of these employees and records show that the labour courts have
an employee where none exists, nor is there an obligation to keep any position
open indefinitely.90
In Tshaka and Vodacom ( Pty) Ltd91 the principle that an employer’s duty to accommodate an employee is more
onerous where the incapacity is work-related was reinforced, and it was found that the fact that the company had
not considered alternative positions outside the city where the employee was
for medical incapacity unless and until the employee has exhausted the sick
leave or any disability benefits to which the employee is entitled. This is not
necessarily the case, nor is it the case that the employer is automatically en-
titled to dismiss an employee once the employee has exhausted these benefits.
factors discussed above. The existence of any benefits for any specified period
to the employer’s obligation to pay an employee during any sick leave rather
than the right to dismiss. Section 23 of the BCEA provides that an employer is not required to pay an employee
who has been absent for more than two consecutive days or on more than two occasions during an eight-week
period if the
employee fails to produce a medical certificate stating that the employee was
unable to work during the employee’s absence. The certificate must be issued
An employer often has reason to doubt that the employee’s absence from
work is attributable to illness or injury despite the production of a valid medical certificate. In this regard, the
Labour Court has previously indicated that an employer was entitled to dismiss an employee for misconduct who
engaged in
activities that were not associated with someone who was too sick to come to
________________________
88 Jansen v Pressure Concepts (2005) 26 ILJ 2064 (BCA) illustrates this point. An employee was dismissed for
poor time keeping, which was related to his alcoholism. It was found that there was a duty on the employer to
accommodate the employee’s problem and that
discipline for the poor time keeping had to be managed on the basis of incapacity. The dismissal was unfair –
dismissal was not considered the appropriate sanction.
90 However, see the Lucas case (fn 82) regarding ‘reasonable accommodation’ for people with disabilities.
91 Fn 83.
324 Law@work
work, despite the fact that the employee produced a medical certificate upon
procedure. Many of the obligations imposed on the employer are best dis-
the code does suggest that an employee should be afforded the opportunity
to ‘state a case’ in response to the employer’s investigation into the employee’s incapacity, and that the employee
has a right to be assisted by a trade union
relate specifically to the consideration of the appropriateness of dismissal as an outcome. But, as stated above, the
prior investigation into the nature of the
employee’s incapacity, the employee’s prognosis and the extent to which the
with the employee and any representative before there is any consideration of
dismissal.
ployers are frequently faced with the dilemma of classifying the employee’s
appropriate procedure is very different to that if it is incapacity-related. In the former case, the employee would be
subject to disciplinary measures, while in
the latter case, the employer is generally obliged to assess the source and ex-
tent of the problem, attempt to redress it and investigate the existence of alternative measures prior to dismissing
the employee. In Pillay v NuMetro Theatres, 92
ance and misconduct. The dismissal of the employee was found to be unfair
because he was dismissed for misconduct in circumstances where the issue was
in fact one of poor performance and the correct procedures had not been fol-
lowed. 93 In Palace Engineering ( Pty) Ltd v Ngcobo & others94 the Labour Appeal
standard and, accordingly, does not need the degree of regulation or training
________________________
93 Confirmed in Gold Fields Mining South Africa ( Pty) Ltd ( Kloof Gold Mine) v CCMA & others
[2014] 1 BLLR 20 (LAC). It is also possible that an employee’s medical condition may impact his or her job
performance. In Transnet Rail Engineering v Mienies & others [2015] 11
BLLR 1144 (LAC) the dismissal of Mr Mienies for shoddy work while suffering from clinical depression was
found unfair. All relevant evidence (eg recommendations from medical practitioners) must be taken into
consideration when deciding on the fairness of the dismissal, as dismissal ‘must always be an action of last resort.
Indeed, dismissal becomes unnecessary if, given a reasonable opportunity and reasonable assistance, the employee
can meet the required standard’ (at para 19).
325
that lower skilled employees require in order to perform their functions, an em-
ployer is not absolved from providing such an employee with resources that are
In this case, the setting of unrealistic targets and failure to assist and hear the employee led to the dismissal being
unfair. 96
The Code of Good Practice permits an employer to require a newly hired em-
is confirmed. The wording of the provision would seem to indicate, first, that probation is not compulsory; it is a
requirement that an employer may elect to
completed. As appears from the discussion below, this does not give the em-
ployer an unlimited right to refuse to confirm the appointment – there are cer-
confirming the employee’s appointment. The code makes it clear that pro-
bation should not be used for any other purpose and, in particular, should not
of example, the code cites the practice of dismissing employees who have
recently completed a probationary period and replacing them with newly hired
employees. This abuse is not consistent with the purpose of probation and con-
stitutes an unfair labour practice (the definition of unfair labour practice in section 186 of the Act is extended to
any unfair act or omission that arises between an employer and employee involving unfair conduct by the
employer relating
bation).
the nature of the job, and the time it would take to determine the employee’s
cial year.
________________________
95 At para 24.
96 See also Damelin ( Pty) Ltd v Solidarity obo Parkinson & others [2017] 7 BLLR 672 (LAC) which shows that
where the period for improvement was too short or the target was incapable of being achieved the dismissal will be
unfair because there is no fair reason and the sanction of dismissal is not appropriate (at paras 41–42).
326 Law@work
During the period of probation the employer should assess the employee’s
vice. In Tharatt v Volume Injection Products ( Pty) Ltd97 the arbitrator found that
the employer had not investigated the cause of the deficiency in performance
and had dismissed the employee before the end of the probationary period,
If the employer determines that the employee’s performance does not meet
in which he or she is alleged to fail to meet those standards, and if the employer is of the view that the employee is
incompetent, the employer should advise the
employee of the respects in which the employee is not competent. If the em-
form work of an inadequate standard, the employer can elect either to extend
extend the probationary period, it may only do so for a reason that relates to
evaluate the employee’s work performance. The period of the extension should
also not be disproportionate to the legitimate purpose that the employer seeks
to achieve. As a result, the period of an extension of a probationary period must be determined by what is
reasonable in the circumstances and the specific
If the employer elects to dismiss the employee, it may only do so after issuing
missal and after considering any representations that are made. A trade union
unfair because the employer had terminated her employment without a hear-
ing. If the employer decides to dismiss the employee or to extend the pro-
bationary period, the employee is entitled to be advised of the right to refer the matter to a bargaining council
having jurisdiction or to the CCMA.
the Code of Practice is the requirement that any person making a decision
dismissal that ‘may be less compelling’ than would be the case had the dis-
missal been effected after the completion of the probationary period. What
precisely is intended by this provision is unclear, but it would seem that the
________________________
327
hurdle of substantive fairness is to be set at a lower level in disputes about the dismissal of probationary
employees. In other words, the burden of proof on the
this introduces any significant change to the law is debatable – the labour
courts have generally deferred to the employer in matters such as this, provided
that the standards of work performance required by the employer are not
interpretations of item 8(1)(j) of the code, is that it does not amount to a reversal of the onus on the employer to
prove the substantive fairness of a dismissal. In
summary, the burden of proof remains with the employer, but it is a lighter bur-
not only to assess whether the employee has the technical skill or ability to do
the job but also to ascertain whether the employee is suitable, in a much wider
right to continued employment until the end of the probationary period. The
labour courts have consistently held that if it becomes apparent prior to the end of an agreed probationary period
that the employee is unsuited for continued
ployee’s suitability for the new position is determined. What is less clear is
during the probationary period or if the employer may only require the em-
________________________
99 In Palace Engineering ( Pty) Ltd (fn 94) the court held that, ‘Even though less onerous reasons can be accepted
for dismissing a probationary employee, the fairness of such reasons still needs to be tested against the stipulations
of items 8(1)(a)–(h) of the Code of Good Practice’. The court continued, saying that, ‘At the end of the day, the
onus rested on the employer to prove that the dismissal was substantively fair’ (at para 24).
100 Rheinmetall Denel Munition ( Pty) Ltd v National Bargaining Council for the Chemical Industry & others
[2015] 6 BLLR 633 (LC). In this case the employee was fairly dismissed for dishonesty and poor work
performance before the end of the probationary period.
328 Law@work
Practice provides that an employee should not be dismissed for poor work per-
formance unless:
other than that the procedure leading to dismissal should include an ‘investiga-
tion’. The purpose of the investigation should be to establish the reasons for the employee’s inability to meet the
required performance standards and to allow
The code provides that in this process the employee should have the right to be
• the employee was given a fair opportunity to meet the required perform-
• the dismissal was an appropriate sanction for not meeting the required
performance standard.
The first stage in any enquiry into an employee’s failure to meet required per-
close poor work performance on the part of the employee. In other words, the
particularly when an employee is engaged in tasks that are not easily capable
establish the reasons for the employee’s shortcomings and a judgement in re-
lation to the employee’s performance. The CCMA has held that a failure in itself
to meet targets set by management is not conclusive proof of poor work per-
formance; the targets may have been unattainable or arbitrarily set. 101
________________________
101 See White v Medpro Pharmaceuticals ( Pty) Ltd [2000] 10 BALR 1182 (CCMA), Palace Engineering ( Pty)
Ltd (fn 94), Robinson v Sun Couriers [2001] 5 BLLR 511 (CCMA), and Sun Couriers ( Pty) Ltd v CCMA & others
(2002) 23 ILJ 189 (LC). In Robinson v Sun Couriers ( Pty)
Ltd an employee failed to reach the sales target. Although the guidelines in the code were superficially followed,
the employer had a duty to determine the underlying causes for the employee’s failure and whether they were
under the employee’s control or due to external reasons. Without such an enquiry, the employer could not provide
proper instruction, training and guidance. As a result, the dismissal was unfair.
329
The labour courts have established two important principles that affect the
that it requires its employees to meet. Secondly, it is for the employer to determine whether or not the required
performance standards have been met. In
both instances, the court will interfere only if either the standard or the assessment made by the employer is
unreasonable. Therefore, the employer ought to
at least establish that its assessment of the employee’s performance was object-
ment.
It is not always necessary that the employer establish a pattern of poor work
calamitous performance’ will be sufficient to justify dismissal. This is particularly so where a mistake made by an
employee may result in serious consequences. For
example, the driver of a truck or a train or an airline pilot must exercise the highest degree of professional skill,
and the smallest departure from that standard, even on a single occasion may justify dismissal.
employee’s performance in relation to that of others and may require the em-
ployer to ascertain whether other employees have experienced similar difficulties in meeting the employer’s
requirements. An important element of substantive
must satisfy itself that dismissal is an appropriate penalty for that failure. In general terms, the employer will be
required to show that alternatives to dismissal
were at least considered. Again, as in the case of medical incapacity, the em-
employee.
2.3.3 Procedure
and procedure in cases of poor work performance. The Code of Practice re-
330 Law@work
Neither the LRA nor the code provides much in the way of guidelines as to the
seem, though, that the employer ought at least to enquire into the matters
raised in item 8 of the code, in other words whether the employee failed to
have been aware of the standard, any opportunities extended to the em-
ployee to improve his or her performance, and, assuming that all of these re-
The requirement of a fair appraisal entails not only an appraisal of the em-
ployee’s performance but a discussion with the employee of any criticisms that
the employee may have. At this point the responsibilities of management toward
The existence of proper support, adequate training and supervision and a satis-
or her performance implies that the employee should be warned of any short-
employee that his or her work performance does not measure up to the stand-
ard required by the employer, and should be coupled with details of the
respects in which the performance falls short of that standard. It may be neces-
sary to ensure that a system of progressive warnings is applied subject to the rule referred to above relating to
single calamitous events.
The last of these grounds is often controversial, but the labour courts have con-
tions ought, by reason of the nature of their jobs, to be fully aware of what is
required of them and fully capable of judging for themselves whether they are
________________________
102 A trade union representative is defined to mean ‘a member of a trade union who is elected to represent
employees in a workplace’ (s 213).
103 See in general Mangope v SA Football Association [2011] 4 BLLR 391 (LC).
104 See New Forest Farming CC v Cachalia & others [2003] 10 BLLR 105 (LC). However, the Code of Good
Conduct: Dismissal must still be satisfied and the onus of proof remains on the employer (as held in Palace
Engineering ( Pty) Ltd (fn 94) and Palluci Home Depot ( Pty) Ltd v Herskowitz & others [2015] 5 BLLR 484
(LAC) at paras 53–54).
a warning to improve. In this regard the employer must impose a period that is
There is also no reason why probation should be limited to newly hired em-
ployees. Employers may, for example, wish to determine the suitability of an em-
ployee in relation to a position to which he has been promoted. But what if the
employee fails to perform in the promoted position? May the employer dismiss
pied prior to promotion? The general view seems to be that there is a duty on
not possible for the employer to reinstate the employee in the position held prior to promotion.
Although the LRA does not define the concept of incapacity, the labour courts
have indicated that cases of a lack or loss of qualification is appropriately dealt with under this heading.
Qualification, in this sense, usually means a licence,
that an employee retains a driver’s licence, the loss of the licence would be
causally linked to the employee’s ability to do the job and would generally
warrant dismissal. 105 It is not necessary that the existence and retention of the qualification be an express term of
the contract of employment – the employer
is entitled to apply the guidelines relating to incapacity if the loss of the qualification affected the employee’s
ability to perform the work for which he or she
was employed.106
2.4.2 Incompatibility
The CCMA and the labour courts have acknowledged that an employer is en-
titled to insist on reasonably harmonious interpersonal relationships in the workplace and that, while
incompatibility is something of a nebulous concept, it can
legitimately form the basis for a fair dismissal. Incompatibility can manifest itself in a number of ways, ranging
from mild eccentricity to overtly hostile behaviour
the workplace, the employer is entitled to take remedial action. Although there
patibility is probably best dealt with as a form of incapacity since it generally ________________________
105 See, eg Armaments Corporation of South Africa ( SOC) Ltd v CCMA & others [2016] 5 BLLR
461 (LC) where the employee was refused security clearance by an outside agency.
332 Law@work
prevailing corporate culture or, usually at the level of personality, with other employees. Obviously, the degree of
disharmony that is created is relevant to the
employer’s right to dismiss and it may be appropriate for the employer to coun-
personal relations when dealing with a manager whose work is otherwise per-
fectly satisfactory”’.109
under incompatibility. In Jabari v Telkom SA ( Pty) Ltd110 the applicant was dis-
missed after the chairperson of the disciplinary inquiry found that the employ-
ment relationship had irretrievably broken down because the applicant was in-
however, that the true reasons for his dismissal were the grievances and legal
severance package. The court held that it needed to determine the dominant
reason for the dismissal, and found that the dismissal constituted victimisation
and was therefore automatically unfair in terms of section 187. In this case the court noted that incompatibility is a
species of incapacity, which essentially
value judgment. To justify a dismissal for incompatibility, the court said, the employer must prove that the
employee’s conduct was the primary cause of the
disharmony and that he or she was to blame. The Labour Court held that the
employee must then be given the chance to correct his or her behaviour or, if
The arbitrators and the labour courts have generally deferred to the employer
in cases of dismissals for incompatibility. 111 While the inherent degree of subjective
________________________
107 Incompatibility might be a consequence of misconduct – where eg an employee uses foul language, makes
racist remarks, or engages in acts tantamount to insubordination, and, on that basis, disrupts workplace harmony.
Incompatibility might equally be the basis for a dismissal for operational reasons – incompatibility might have the
effect that a business is disrupted by disharmony, with serious economic consequences. In general, see Rycroft
‘The Intolerable Relationship’ (2012) 33 ILJ 2271.
108 Joslin v Olivetti Systems and Networks Africa ( Pty) Ltd (1993) 14 ILJ 227 (IC); Jardine v Tongaat Hulett
Sugar Ltd (2002) 23 ILJ 547 (CCMA); Wagenaar v United Reform Church in SA [2005] 1 BALR 127 (CCMA);
Miyeni and Chillibush Communications ( Pty) Ltd (2010) 31
ILJ 3054 (CCMA); Sondlo / University of Fort Hare [2011] 5 BALR 551 (CCMA).
111 In Lotter v SA Red Cross Society (2006) 27 ILJ 2486 (CCMA) the applicant challenged the fairness of his
dismissal for alleged incompatibility. The commissioner summarised a number continued on next page
333
judgment in these cases has been acknowledged, if the employer has acted in
good faith and has reasonable grounds for its conclusion that the employment
employer.
It may happen that a third party, for example a client or customer, requests an
employer to dismiss an employee.112 Even though the employee might not have
committed an act of misconduct and the employer may be reluctant to dis-
The labour courts have established the following test to determine the fairness
l the demand for the dismissal of the employee concerned must have a
‘good and sufficient foundation’ and must constitute a real and serious
l the employer must take reasonable steps to dissuade the party making the
l dismissal must be the only option that is fair to both the employer and em-
ployee concerned.
In a case in which the Labour Appeal Court had to consider what was meant
two different ethnic groups, the court reiterated that dismissal would be coun-
tenanced only if it was satisfied that the employer acted reasonably and that it
had no alternative. This sets the test for a fair dismissal at a different level (in other words, necessity), but one that
is justifiable given the circumstances. 115
________________________
of guidelines that have materialised for determining when a dismissal for incompatibility would be justified or fair.
The guidelines, as originally formulated in Jardine v Tongaat Hulett Sugar Ltd (fn 108), include whether the
employee had caused disharmony in the workplace; whether the disharmony was of such an extreme measure that
it was irre-mediable; whether the disharmony had an adverse or potentially adverse effect on the organisation;
whether the employee was put on terms to correct the behaviour and was given a reasonable opportunity to make
amends; and whether dismissal was the only reasonable way in which to deal with the matter.
113 However, where a contract provided for the termination of employment if the client of a temporary
employment service for whatever reason no longer wished to use the employee to carry out the assignment for the
client, it was held that the employer could not contract out of its obligation to ensure fair labour practices for its
employees. The termination of the employee’s contract (by placing the employee in a standby pool) therefore
constituted an unfair dismissal – Smith v Staffing Logistics (2005) 26 ILJ 2097 (BCA).
114 See, eg, Lebowa Platinum Mines Ltd v Hill (fn 11).
115 East Rand Proprietary Mines Ltd v UPUSA (1996) 17 ILJ 1134 (LAC).
334 Law@work
2.5 Permanent/temporary impossibility of performance
prisoned for an unspecified period of time, which in turn renders him physically
There are instances, however, where the employee is imprisoned for an entirely
matter on the basis that the employee has committed misconduct. Logic would
ance. The labour courts have, however, penalised employers who have not
should not be terminated, particularly when employees are dismissed for ab-
sence without leave because they have been imprisoned for a definite or indef-
inite period.117
convictions. In Kievits Kroon Country Estate ( Pty) Ltd118 the employee was absent without leave because she
wanted to complete training as a traditional
healer and genuinely feared that failure to do so would result in great misfor-
tune for her. She was dismissed for misconduct. The Supreme Court of Appeal
held that regardless of her refusal or failure to resume work after one week, as
she was required to do by her employer, the court is entitled to grant a dis-
missed employee relief if such failure to obey was justified or reasonable. 119
Although the employer and chairperson did not recognise the employee as
being ‘ill’, the commissioner ‘accepted that the respondent genuinely believed
that her health would be in danger had she not heeded the calling of her
ancestors. And that her belief stemmed from deeply held cultural convictions,
which were confirmed by Mrs Masilo, the respondent’s traditional healer’. 120 The
court was satisfied that this cultural belief made the employee’s failure to re-
sume work justifiable even in the absence of ‘expert evidence regarding the
nature of her illness and its association with her cultural convictions’. The court stated that it is beyond dispute that
such belief systems ‘exist and are part of
the culture – the customs, ideas and social behaviour – of significant sections of ________________________
117 See Trident Steel ( Pty) Ltd v Commission for Conciliation, Mediation and Arbitration & others (2005) 26 ILJ
119 (LC). See also Zondi v PPM Security Services ( Pty) Ltd (2009) 30 ILJ
981 (CCMA) where the arbitrator held that termination of employment in circumstances where the client of a
temporary employment service had insisted on the applicant’s dismissal did not amount to a supervening
impossibility of performance.
118 Fn 6.
335
this country’s people’121 and pointed out that the employer could have explored alternatives with the employee to
try and accommodate her request,
It is not entirely clear on what basis employers should deal with such absences,
but misconduct does not seem appropriate. Incapacity based on illness or tem-
________________________
12
requirements
Page
1 Introduction
......................................................................................................
339
339
2.3 Dismissal prior to a fixed-term contract’s running its course ................ 343
2.4
Selection
criteria
.......................................................................................
344
3 Procedural fairness
..........................................................................................
348
................................................................................
352
4.3
Severance
pay
.........................................................................................
358
5 Preferential rehiring
..........................................................................................
361
337
1 Introduction
‘no fault’ dismissal. In these circumstances, it is the employer’s constraints and needs rather than any act or
omission on the part of the employee that causes
the termination of employment. For this reason, the law is more prescriptive, in
terms of both substance and procedure, than in the case of a dismissal for con-
duct or capacity. If there is any discernible purpose to this prescription, it is to effect a balance between the
promotion of the social good of preserving em-
The LRA promotes this purpose by creating the structures that permit affected
about a proposed dismissal and its consequences. The relevant sections, namely
the extent to which the labour courts and collective action can interfere with
Following the amendments to the Act in 2002, the LRA distinguishes between
lated by section 189A, which affords the affected employees the election to
resort to industrial action on the substantive basis of the dismissal or to refer the dispute to the Labour Court. The
Labour Court deals with disputes about whether
the employer adopted the required procedure on a separate and more exped-
itious basis.
The original section 189 (with relatively minor amendments) continues to regu-
Prior to a discussion on the procedures that are prescribed for large and small
2 Substantive fairness
References made to the reason for dismissal in terms of section 189 are nearly
tion can no doubt be classified in that fashion, section 188 refers to dismissal based on the employer’s operational
requirements. Section 213 of the LRA
________________________
1 For a comprehensive treatment on the law regulating dismissals for operational requirements, see Le Roux
Retrenchment Law in South Africa (2016).
340 Law@work
Both the term ‘operational requirements’ and its definition are drawn from ILO
Convention 158.2 The statutory definition in the LRA is broad. Its scope certainly
new technology or work programmes, and the reorganisation of work and the
stances that might legitimately form the basis of a dismissal in these circum-
stances. The code goes on to suggest that economic reasons are those that relate to the financial management of the
enterprise, technological reasons refer to new technology that affects work relationships, and structural reasons
relate to the redundancy of posts consequent on the restructuring of the employer’s enterprise. With due respect to
the code, these are not the only cat-
courts over the years to include in this category dismissals for incompatibility, and a refusal to accept changed
conditions of employment consequent upon
the need to reorganise work as well as dismissals at the behest of a third party. 4
ence (if there is one) is that the retrenchment of an employee is often a conse-
The labour courts have generally held that operational requirements cannot
reason for dismissal is conduct or capacity. The line can often be a fine one. In SA Transport and Allied Workers
Union & others v Khulani Fidelity Security Services ( Pty) Ltd, 5 for example, the Labour Appeal Court ruled that
it was legitimate for an employer to dismiss for operational requirements those of its employees who
had failed a polygraph test, in circumstances where the purpose of the test was
not to show that theft had actually taken place rather than to test the integrity of employees who worked in an area
where the incidence of theft was high.
________________________
2 Art 4 of the Convention recognises a valid reason ‘based on the operational requirements of the undertaking,
establishment or service’ as a legitimate justification for dismissal.
Art 13 of the Convention imposes specific obligations on employers who contemplate terminations for ‘reasons of
an economic, technological, structural or similar nature’. The Convention provides little further guidance as to
precisely what reasons are contemplated by this provision. The Recommendation that accompanies the Convention
(Termination of Employment Recommendation No. 166 of 1982) refers to consultation with workers’
representatives when an employer contemplates ‘the introduction of major changes in production, programme,
organisation, structure or technology that are likely to entail terminations’.
4 Freshmark ( Pty) Ltd v CCMA & others (2003) 24 ILJ 373 (LAC) and Fry’s Metals ( Pty) Ltd v National Union
of Metalworkers of SA & others (2003) 24 ILJ 133 (LAC).
substantive fairness have always been controversial. Despite the general pro-
vision in section 188 of the LRA that an employer must establish a fair reason for dismissal, the courts were
initially disinclined to subject the employer’s rationale for retrenchment to extensive scrutiny. Earlier cases
suggested that all that was required of an employer to establish substantive fairness was to demonstrate
that it had a bona fide reason to retrench. In later decisions the employer was only required to establish that there
was a commercial rationality to its decision to retrench – the fact that alternative measures were available to the
employer
would therefore not necessarily render the dismissal unfair provided always that
the employer could establish that his decision was commercially rational. Unless
that decision was not genuine, the labour courts stressed that they would not
second-guess what was termed the ‘commercial and business efficacy’ of the
decision. 6
In BMD Knitting Mills ( Pty) Limited v SA Clothing & Textile Workers Union,7 the
Labour Appeal Court questioned whether this earlier approach could continue
that the reason for dismissal is fair. The court suggested that the employer should establish that it was necessary to
retrench, as opposed to merely accepting the
employer’s decision at face value. While the court acknowledged that the
starting point was whether there is a commercial rationale for the employer’s
decision, the court suggested that it was entitled to enquire whether there was
a reasonable basis for that decision. In a later case, CWIU & others v Algorax ( Pty) Ltd,8 the Labour Appeal Court
took the test a substantial step further: not
only should the court guard against merely accepting the say-so of the em-
resort’.9
Until its deletion in 2014, section 189A(19) provided that the court had to find
________________________
6 See SACTWU & others v Discreto – a Division of Trump & Springbok Holdings [1998] 12 BLLR
1228 (LAC). The Labour Appeal Court’s approach to substantive fairness relied on rationality and it held that the
question is ‘whether the ultimate decision arrived at by the employer is operationally and commercially justifiable
on rational grounds, having regard to what emerged from the consultation process’.
9 See also County Fair Foods ( Pty) Ltd v OCGAWU & another [2003] 7 BLLR 647 (LAC) and Enterprise Foods
( Pty) Ltd v Allen & others [2004] 7 BLLR 659 (LAC).
342 Law@work
This provision raised the spectre of a test for substantive fairness to be applied under section 189A different from
that applicable to retrenchments effected
under section 189. Despite its repeal, the wording of the provision is likely to
Appeal Court that predates its enactment. In SA Clothing and Textile Workers
Union & others v Discreto – A Divisison of Trump and Springbok Holdings10 the Labour Appeal Court held:
The function of the court in scrutinising the consultation process is not to second-guess the commercial or business
efficacy of the employer’s ultimate decision (an issue on which it is, generally, not qualified to pronounce upon),
but to pass judgment on whether the ultimate decision arrived at was genuine and not merely a
sham (the kind of issue which courts are called upon to do in different settings, every day). The manner in which
the court judges the latter issue is to enquire
whether the legal requirements for a proper consultation process have been fol-
lowed and, if so, whether the ultimate decision arrived at by the employer is operationally and commercially
justifiable on rational grounds, having regard to what emerged from the consultation process. It is important to
note that when determining the rationality of the employer’s ultimate decision on retrenchment, it is not the court’s
function to decide whether it was the best decision under the circumstances, but only whether it was a rational
commercial or operational decision,
properly taking into account what emerged during the consultation process.11
In National Union of Mineworkers v Black Mountain Mining (Pty) Ltd,12 the Labour Appeal Court confirmed that
dismissal for operational requirements must be a
measure of last resort and that a dismissal in the circumstances can only be
operationally justifiable on rational grounds if the dismissal is suitably linked to the achievement of the end goal
for rational reasons. This is obviously a higher
& Allied Workers Union & others v Woolworths (Pty) Ltd13 the Constitutional Court
held that it was not necessary for the purposes of the appeal to revisit the de-
cision in Black Mountain Mining, but it did not reject that approach. On the facts of the case, the court found that
the dismissals for operational requirements of a number of employees who had refused to accept proposals regard-
ing their conversion from full-time employment to a more flexible working hour
rational grounds. In particular, the court found that the employer had not prop-
possibility of ring fencing. The affected employees were reinstated with retro-
spective effect.
________________________
10 Fn 6.
11 At para 8 of the judgment.
13 (2019) 40 ILJ 87 (CC). See Le Roux ‘A Recipe for Procedural Success in the Case of Large Scale
Retrenchments: Woolies Times Three, with a Pinch of Edcon and Steenkamp for Taste’ (2019) 40 ILJ 1421.
It remains a basic rule that the reasons for any retrenchment must be bona
fide. So, for example, in National Union of Metalworkers of SA v Genlux Lighting ( Pty) Ltd14 the Labour Court
held a retrenchment to be a sham in circumstances
where the vast majority of the retrenched employees were re-engaged through
in Goddard v Metcash Trading Africa ( Pty) Ltd15 the court reinstated an employee who was induced to sign a
settlement agreement accepting the terms
of his dismissal after a misrepresentation by the employer to the effect that his position was redundant. 16
Finally, in earlier decisions of the Labour Courts it was accepted that employ-
ers could also dismiss for operational reasons where the employer wanted to
become more competitive and increase its profits. The Labour Appeal Court
confirmed this proposition in Mazista Tiles ( Pty) Ltd v NUM & others. 17 In this case, the union argued that
dismissals were automatically unfair because they were
that they become independent contractors, which they did not want to do.
However, the company argued that the dismissals were not designed to achieve
the court agreed and decided, in accordance with the principle of Fry’s Metals, that the dismissal was accordingly
not automatically unfair. The further matter to be considered then was whether the dismissals were otherwise
unfair (in other
words, an ‘ordinary’ unfair dismissal). The Labour Appeal Court considered that
even though Mazista Tiles had indeed continued to make profits this in itself did not preclude a company from
retrenching the employees because employers
would obviously have to satisfy a court that the dismissals were substantively
fair. 18
contracts may not be dismissed before the expiry of their contracts unless it is a case of a material breach of the
contract by such employee (or where the
contract expressly allows for early termination). This is the case even where the employer might have had good
reason to retrench and where it followed a fair
________________________
16 See also Maritz v Calibre Clinical Consultants ( Pty) Ltd & another (2010) 31 ILJ 1436 (LC).
18 See National Union of Metalworkers of SA & another v Aveng Trident Steel (A Division of Aveng Africa
Property Limited) & others [2019] 9 BLLR 899 (LAC) at para 70.
19 The Labour Court has also held that that employees prematurely dismissed before the expiry of fixed-term
contracts cannot claim compensation in excess of the remuneration they would have received if their contracts had
run their course – Nkopane v Independent Electoral Commission [2007] 2 BLLR 146 (LC).
344 Law@work
In Nkanyiso Eustace Buthelezi v Municipal Demarcation Board20 the Labour Appeal Court reaffirmed this
common-law position and justified the rule as
follows:
This is so simply because the employer is free not to enter into a fixed term contract but to conclude a contract for
an indefinite period if he thinks that there is a risk that he might have to dispense with the employee’s services
before the expiry of the term. If he chooses to enter into a fixed term contract, he takes the risk that he might have
need to dismiss the employee mid-term but is prepared to take
that risk. If he has elected to take such a risk, he cannot be heard to complain
when the risk materialises. The employee also takes a risk [in] that during the term of the contract he could be
offered a more lucrative job while he has an obligation to complete the contract term. Both parties make a choice
and there is no
One may argue that this approach is perhaps just a little too simplistic. 21
If employees are selected in terms of criteria that are unfair, their dismissals will be considered substantively unfair
and possibly automatically unfair. Selection
criteria are one of the matters on which an employer is obliged to consult. In the absence of agreement on selection
criteria, an employer must apply fair and
objective criteria when selecting employees for dismissal.22 This requirement precludes an employer from
applying capricious or subjective criteria, and certainly excludes the application of any criteria that would amount
to an infringement
would certainly result in their retrenchment’s being unfair and may constitute
automatically unfair dismissal. Generally acceptable selection criteria are based on length of service, skills and
qualifications, or an amalgam of those criteria.
The most commonly employed criterion is that of ‘last in, first out’, often referred to as ‘LIFO’. This criterion has
consistently been accepted by the labour
courts as a fair, if not the preferred, criterion.23 The application of LIFO is generally applied subject to a right to
retain special skills, especially where these are
necessary for the continued operation of the employer’s business. In NUM & others v Anglo American Research
Laboratories ( Pty) Ltd24 this was confirmed and it was accepted that the employees who were retained (who had
skills
that the applicant did not) had shorter periods of service. The employer used
________________________
21 See Smit ‘Everything Fixed about Fixed-term Contracts of Employment: Or Not?’ (2005) TSAR 200.
22 See generally CWIU & others v Latex Surgical Products ( Pty) Ltd (2006) 27 ILJ 292 (LAC) and National
Union of Metalworkers of SA obo Members v Timken SA ( Pty) Ltd (2009) 30 ILJ 2124
(LC).
23 S 197(2)(d) of the LRA ensures that employees whose contracts are transferred from the transferor to the
transferee are protected from the potential impact of LIFO as a criterion as such transfer does not interrupt their
continuity of employment.
special skills that needed to be retained, and such test was considered as suffi-
ciently objective to warrant departure from LIFO. The Labour Court did not
accept an argument that the selected employee could acquire the skills pos-
The application of LIFO presupposes a pool from which the employer will
select employees for dismissal. Obviously, in the case of the closure of an undertaking, selection criteria are of
little relevance. But, when there is a reduction in the workforce and selection is to be based on length of service,
the identity of
the group of employees to whom the criterion is applied can often determine
the identity of the selected employee. For example, in Neuwenhuis v Group Five Roads & others26 a company
decided to close its Cape Town office. The human resources manager based in Cape Town at the time of the
closure was selected
for retrenchment on the basis that his job had become redundant. He success-
fully challenged his selection for retrenchment on the basis that the company
had operations countrywide, and that he had longer service than other human
In other words, it is not those employees who are actually doing the jobs or
occupying the posts that are identified as redundant who necessarily form the
own jobs have become redundant. The term applied to this principle is ‘bump-
An employer is not always required to apply the bumping principle when select-
if the selection of employees for dismissal is challenged on this basis, the em-
ployer ought to have some rational justification for refusing to apply it. In Porter Motor Group v Karachi, 27 the
Labour Appeal Court confirmed that an employer
court also discusses the ten principles that have been developed to guide the
suspect the court will interfere. An employer cannot therefore, in anticipation of the closure of a part of its
operation, transfer an employee to that part to ensure the employee’s selection for dismissal in circumstances
where the employee
would otherwise not be selected. Bumping is disruptive, and the Labour Court
________________________
25 However, see CEPPWAWU obo Gumede v Republican Press ( Pty) Ltd [2006] 6 BLLR 537
(LC) where the Labour Court found that the qualification that LIFO should be applied subject to retention of
‘special skills’ introduced a subjective variable into the selection procedure.
346 Law@work
has excused its application for this reason. In a recent case, the refusal by a
that contract. They alleged that they were entitled to bump their colleagues
engaged on other contracts, and that their selection for retrenchment purely
on the basis that they had been engaged to service the client that had cancel-
led the contract with their employer was unfair. The court considered the nature
of the business, the detrimental effect that bumping would have on the em-
ployer’s operation and its clients, and the burden that the need to train re-
the court found that a failure to apply the bumping principle was not unfair.
The court, in Porter Motor Group v Karachi, referred to the term ‘domino
bumping’ to describe large scale bumping which inevitably leads to ‘vast dis-
should consult its employee with a view to minimising the disruption to the em-
ployer. Other factors which might be relevant include the mobility and status of
ence of departments or divisions (although the court has indicated that inter-
and other employees’). In General Food Industries Limited t/a Blue Ribbon
Bakeries v FAWU & others 28 the failure by the employer to apply the principle of bumping resulted in an
employee with long service being selected for retrenchment as opposed to employees in the same position, albeit at
different branches,
who had far shorter service. In these circumstances, the Labour Appeal Court
should be determined. If there is little or no disruptive effect to the business, the courts will probably be more
inclined to find that it should have been applied.
Other criteria that have been held to constitute a fair basis on which to select
employees for retrenchment include merit, performance and work records pro-
vided the employee is given an opportunity of defending their application.29 On the other hand, ABET as a
selection criterion in a restructured organisation was
found to be unfair, inter alia, on the basis that it was not a reliable means of
measuring the employee’s actual ability to do the job.30 The Labour Court has
also taken issue with an employer who applied a basket of selection criteria
such as personal attributes, skills, interpersonal relationships, performance, length of service and experience. The
criteria were never discussed, agreed or communicated and were vague. It followed that the employees were
selected for
________________________
cise in terms of which all or a group of employees’ positions are made redun-
dant and they are required to re-apply for the same or a restructured position.
In Grieg v Afrox Limited32 the arbitrator noted that by declaring all positions redundant and requiring employees
to reapply for restructured jobs, the employer
avoids the need to decide selection criteria up front. The Labour Court has held
required to apply for his own job must be closely scrutinised because it ignores
the principle that an existing employee enjoys job security that will be protected
especially against no-fault terminations.33 The Labour Appeal Court addressed the issue squarely in a recent
decision in which it drew a distinction between
selection for dismissal and seeking to avoid the need to dismiss. When an em-
ployer initiates a competitive process to select an incumbent for a new post
from selection criteria. The employer is not making any selection for dismissal –
The role of affirmative action measures when selecting employees for re-
trenchment is a controversial issue. In Thekiso v IBM South Africa ( Pty) Ltd35 the
Labour Court held that affirmative action does not give rise to an enforceable
Sections 189 and 189A comprehensively regulate the parties’ respective obli-
compliance with the applicable section render a dismissal fair? Put another
way, can a dismissal be unfair even if the employer complies with all the rele-
vant statutory requirements? It has been suggested that the generally expressed
employer and that, as the Labour Court put it, compliance with section 189 is
not a necessary or sufficient condition for the fairness of a dismissal. The Labour Appeal Court recently suggested
that this was not the case and that section
________________________
31 Moodley v Fidelity Cleaning Services ( Pty) Ltd t/a Fidelity Supercare [2005] 6 BLLR 588 (LC).
33 Wolfaardt & another v Industrial Development Corporation of SA Limited (2002) 23 ILJ 1610
34 SA Breweries (Pty) Ltd v Louw [2018] 1 BLLR 26 (LAC). See the case note by Rycroft ‘The Dislocated
Employee in a Restructured Process South African Breweries (Pty) Ltd v Louw (2018) 39 ILJ 189 (LAC)’ (2018)
39 ILJ 1470.
348 Law@work
3 Procedural fairness
After determining that the reason for a contemplated dismissal is one relating to the employer’s operational
requirements, a further classification is necessary.
The LRA draws a distinction between smaller and larger retrenchments, and
regulates each separately. Section 189 which, until the 2002 amendments to the
LRA, regulated all dismissals for operational requirements now contains a num-
Section 189A applies in the case of the dismissal of larger numbers of employees.
The formula to determine the applicability of section 189 is complex, and care
should be exercised in ascertaining its applicability, not least on account of the different procedures that apply but
also because, unlike section 189A, it does
ployees; 20 employees, if the employer employs more than 200, but not more
gether with the number of employees that the employer has dismissed by reason
ing a notice in terms of section 189(3), is either equal to or exceeds the relevant number of employees determined
by the application of the formula set out
above, then section 189A applies. In other words, any employees retrenched in
the 12 months prior to the date of the notice of intention to retrench must be
taken into account in determining whether the threshold has been met.38
Section 189A does not confine the counting of employees to defined bar-
might operate. It would seem that the reference to ‘the employer’ is a ref-
erence to the legal entity that constitutes the employer in terms of the employ-
have regard, for example, to any employees previously dismissed in any region
37 Ie, 30 employees, if the employer employs more than 300, but not more than 400 employees; 40 employees, if
the employer employs more than 400, but not more than 500 employees; and 50 employees, if the employer
employs more than 500 employees.
it may well be the case that employees who work on the same site are em-
site that is relevant but rather the number of employees employed by each
employer.
The definition of ‘employee’ in section 213 of the LRA would seem to apply to
the determination of the number of employees for the purposes of section 189A.
Persons who perform services at a particular site or in a particular workplace but who are not employees ought
therefore not to be brought into account.
It should be emphasised that the trigger for the application of section 189A is
the number of employees that the employer contemplates dismissing, not the number of employees who are
ultimately retrenched. Once it has been ascertained which of the relevant statutory provisions apply, the steps
applicable to
the relevant consultation process should be followed. But there are a number of
Consultation is initiated by the employer issuing a written notice in terms of section 189(3) inviting the other
consulting parties to consult with it, and the disclosure, in writing, of the following:
l the alternatives that the employer considered before proposing the dis-
l the time when, or the period during which, the dismissals are likely to take
effect;
l any assistance that the employer proposes to offer to those employees likely
to be dismissed;
dismissed;
l the number of employees that the employer has retrenched in the preced-
ing 12 months.
Section 189(3) does not specify when the notice of invitation is to be issued, but a reading of that subsection with
subsection (1) requires an employer to consult
a decision in principle, a decision that dismissal is possible or probable, or that dismissal is a prima facie option. It
is clear from the statutory formulation that an
350 Law@work
employer may not make a final decision to dismiss prior to initiating the consult-
ciple may be taken prior to the initiation of the consultation process, the em-
ployer may not make a decision that is final in effect or that presents a fait accompli to the consulting parties. 40
The rationale for this requirement can be located in the nature of the consultation process. The labour courts have
described consultation as a process in which the parties jointly seek consensus. To permit the employer to make
final decisions prior to consultation defeats the
ence to bear on the issues that, from the employer’s perspective, have given
ensued. The court’s response to the union’s complaint that the employer had a
fixed intent to outsource by the time the formal section 189 consultations began
was that:
there is nothing wrong with an employer coming to the consultation table with a
predisposition towards a particular method of solving the problem which has given rise to the contemplation of
dismissal of employees for operational requirements.
What is critical is that the employer should nevertheless be open to change its mind if persuasive argument is
presented to it that that method is wrong or is not the best or that there is or may be another one that can address
the problem either
The life span of a notice issued under section 189(3) depends on the content of
the notice and the prevailing circumstances. In National Union of Metalworkers of South Africa & others v
General Motors of South Africa ( Pty) Ltd43 the Labour Court held that an employer was not entitled to rely on a
section 189(3) notice
notice had been issued five months prior to the contemplated date of the
second round of dismissals and where new justificatory factors were relied on.44
________________________
39 See Atlantis Diesel Engines ( Pty) Ltd v NUMSA (1994) 15 ILJ 1247 (A). See also SA Commercial & Allied
Workers Union & others v JDG Trading (Pty) Ltd (2019) 40 ILJ 140 (LAC), where the Labour Appeal Court held
that the fact that the employer's executive committee had taken a resolution that the company ‘must further reduce
store staff numbers through operational requirements to reduce operational costs’, although couched in peremptory
terms, did not disclose any final decision to dismiss. On the facts, the resolution was no more than a prima facie
view on the need for retrenchments and did not amount to a final decision to dismiss employees for operational
requirements.
40 See General Food Industries Limited v FAWU [2004] 7 BLLR 667 (LAC) and Enterprise Foods ( Pty) Ltd v
Allen & others (fn 9).
42 At para 55.
44 Note that a ‘two track’ retrenchment process (one process conducted under s 189, the other regulated by s
189A) is possible – see Continental Tyre SA ( Pty) Ltd v NUMSA [2008] 9
lished by section 189(1). Any person with whom the employer is required to
consult in terms of a collective agreement has a primary claim. If there is no collective agreement that requires
consultation, and if the employees likely to be
which there is a workplace forum, the forum and any registered trade union
whose members are likely to be affected by the proposed dismissals have equal
union whose members are likely to be affected by the proposed dismissals must
tice. Retrenchments are often effected across the board. Collective agreements
that require consultation more often than not apply to only some employees,
in a bargaining unit to which the agreement applies. What is clear is that the
displaces all others, certainly in the event of directly competing claims. So, for example, a minority union has no
claim to be consulted in circumstances where
agreement concluded with that union (unless, of course, the agreement itself
extends that right to minority unions – an unlikely event). In Association of Mineworkers and Construction Union
and others v Royal Bafokeng Platinum Ltd and
others45 the Labour Appeal Court rejected a constitutional challenge to the extension of a collective agreement to
non-parties that had the effect that the
employer was required to consult only with parties to the agreement. The court
reaffirmed the principle of majoritarianism, and held that there was no reason
why it should not apply to the extension of an agreement that regulated the
In Sikhosana v Sasol Synthetic Fuels46 the Labour Court confirmed that the purpose of section 189(1) of the LRA
is to renounce dual consultation in favour of
the single level of consultation for which it provides. However, what is the case, for example, where there is a
collective agreement to that effect but the employer contemplates the dismissal of a number of members of junior
and middle
who are not union members, or to whom the collective agreement does not
________________________
352 Law@work
workers of SA v Aunde SA ( Pty) Ltd47 the Labour Court held that in the absence
was obliged to consult with a non-recognised union and any other consulting
The Labour Court has yet to develop a set of definitive guidelines in this re-
gard, but on the basis that the purpose of section 189 is to ensure proper con-
affected employees, the net should be spread widely rather than narrowly. It
SACCAWU & another v Amalgamated Retailers ( Pty) Ltd48 the Labour Court was
of the view that section 189(1) does not relieve the employer of an obligation to consult with affected employees
who are not represented in some manner or
union. Conversely, in United National Breweries ( Pty) Ltd v Khanyeza & others, 49
the Labour Appeal Court had to deal with the question of whether it was also
necessary to consult with a union if the employer had consulted with the em-
ployee who fell outside the bargaining unit for which the union was recognised.
The court held that, given the provisions of section 189(1)(c) of the LRA, in terms of which the employer had to
consult any registered union whose members are
The Labour Court has also held that an agreement between an employer
and a union cannot be forced upon another union, and the employer still has
ful joint consensus-seeking process’. This rather obscure wording represents the
to consult. It is a wording that has its origins in judgments of the Labour Court that have given definition to the
obligation to consult that was incorporated
into section 189 in its original form. The labour courts held then, and there is no reason why the position should be
any different now, that the purpose of section 189 is to ensure a process of joint consensus-seeking rather than a
mechan-
________________________
50 See CEPPWAWU obo Gumede v Republican Press ( Pty) Ltd (fn 25).
l to avoid retrenchment;
under these headings, but it does require the employer to allow the other con-
with in the statute, as well as any other matter relating to the proposed re-
tations and, if it does not agree with them, to state its reasons for disagreement.
that this is not a mechanical process. Meaningful joint consensus-seeking implies an obligation to act in good faith
to seek common ground and honestly explore
the prospects of agreement.51 The Labour Court has held that the retrenchment of an employee was unfair in
circumstances where she was advised while on
leave that her post was redundant. The court found that on the facts, by the
time that she was consulted, her dismissal was already a fait accompli. 52
Section 189(3) lists the information that must be given to consulting parties concurrently with the invitation to
commence consultation (see the discussion
above). The list is not a closed one, and the Code of Good Practice on Dismis-
than those listed in section 189(3) become relevant, there should be additional
less if they were not able to participate on an informed basis. Nevertheless, the right to disclosure of information is
not absolute. An employer is only required to disclose information that is relevant (section 16(2)) and is
specifically not required to disclose information that (section 16(5)):
l is legally privileged;
________________________
51 This is also true for employees and their representatives – where a union employs tactics to frustrate or delay
the consultation process an employer may proceed with the retrenchments. See NUMSA & others v Kaefer
Thermal Contracting Services ( Pty) Ltd [2002] 6 BLLR
570 (LC) and NUMSA v Tiger Wheels Limited Group [2001] 12 BLLR 1353 (LC).
52 Crowhurst v ABSA Investment Management Services ( Pty) Ltd ( AIMS) [2004] 6 BLLR 540
(LC).
354 Law@work
It is difficult to provide specific guidelines on disclosure of information simply because what is relevant and what
is adequate disclosure will depend on the
facts of each case and, in particular, the issues that become the subject of dis-
sought and is to be provided should be measured against the purpose that the
information is intended to serve. So, for example, the Labour Court held that an
where the reason for the retrenchment was a drop in demand for one of its
In any dispute about the relevance of information the onus is on any employer
that resists disclosure on the grounds of lack of relevance to prove that the
information that it has refused to disclose is not relevant for the purposes for
which the information is sought. Once relevance is established, the onus is again on the employer to demonstrate
that, notwithstanding the relevance of the
information sought, one of the four grounds described above precludes the
If section 189A applies, then the consultation process remains triggered by the
notice in terms of section 189(3), but either the employer or a consulting party
section 189(3) notice, and any consulting parties wishing to request facilitation must notify the CCMA within 15
days of the employer’s notice. If either party has lodged such a request, the CCMA must appoint a facilitator.
Facilitation is
section 189(3), there is an effective 60-day period within which the parties are
required to engage with one another and during which an employer may not
dismiss any employees, nor may any registered trade union that is a consulting
ment exercise any of the options that will ultimately become available to them.
date of the section 189(3) notice and, until it has elapsed, the employer may
not give notice of its intention to terminate the contracts of employment of the
________________________
53 See ch 14.
have received notice of termination may neither give notice of a strike nor refer a dispute about whether there is a
fair reason for dismissal to the Labour Court
for adjudication. There is no need in this instance to first refer the dispute to a council or the CCMA.
If a facilitator is not appointed, neither consulting party may refer a dispute to a bargaining council or to the
CCMA unless a period of 30 days has elapsed
from the date on which notice of the intended retrenchment was given. Once
the referral has been made, and a certificate is issued stating that the dispute
remains unresolved, or 30 days (or any agreed extension to that period) has
elapsed since the referral was received by the council or the CCMA, the em-
affected employees, and they may give notice of a strike or refer the dispute to
section 189A applies has been removed by the Labour Appeal Court’s decision
in De Beers Group Services ( Pty) Ltd v NUM. 55 In that case, the Labour Appeal
Court held that section 189A(8) envisages that where no facilitator is appointed, the employer may give notice of
termination of employment only after the
lapse of an initial period of 30 days from the date on which the section 189(3)
Section 189A(2) provides that consulting parties may agree to vary the time
effected by the 2014 Amendment Act, that a consulting party may not un-
reasonably refuse to extend the period for consultation if the extension is re-
notice of dismissal before the expiry of any of the above time periods, then a
ing party may not give notice of a strike in terms of section 189A in respect of a retrenchment if any dispute about
whether there is a fair reason for the dismissal has been referred to the Labour Court. Conversely, a dispute about
whether
there is a fair reason for a dismissal may not be referred to the Labour Court if the consulting party has given
notice of a strike in terms of this section in respect of that dismissal.
________________________
356 Law@work
This formulation gives rise, of course, to the prospect of different options being exercised by different consulting
parties. For example, a trade union that is a
party to the consultation process may elect to give notice of a strike, while a
their dispute to the Labour Court. This is a reality that the section contemplates but that it limits in only one
respect. If a trade union gives notice of a strike in terms of this section, no member of that union and no employee
to whom a
tation in respect of retrenchments has been extended in terms of the LRA may
refer a dispute to the Labour Court. Any referral to the court that may have
The right to strike or lock-out in terms of the new section is discussed else-
where.56 However, it should be noted here that the sections of the LRA regu-
lating strikes and lock-outs broadly apply, including the right to engage in a
secondary strike action. 57 If a consulting party alleges that the employer did not comply with a fair procedure,
that party may approach the Labour Court by
brought not later than 30 days after the employer gives notice of intention to
terminate the employee’s services, or if notice is not given, the date on which
the employees are dismissed. The Labour Court may, on good cause shown,
condone any failure to comply with this time limit. In NUMSA & others v SA Five Engineering & others, 59 the
Labour Court placed the subsections dealing with resolution of disputes into context. If the employees elect to
refer a dispute
about the substantive fairness of the dispute to the Labour Court as opposed to
embarking on strike action, they must do so in the normal course. In other words, the dispute must first be referred
to the CCMA for conciliation and after a certificate has been issued, a statement of claim must be filed in the
Labour Court.
On the other hand, disputes about procedure in access falling within the ambit
of section 189A must be dealt with by way of application directly to the Labour
Court.
________________________
56 See ch 16.
problems before the substantive issues become ripe for adjudication or indus-
trial action. The court considered whether the mechanism precludes an appli-
to the Labour Court in the normal course but did not make decisive pro-
would be appropriate, as well as the nature of the relief. The applicant trade
dismissing its employees until it had complied with the provisions of the LRA. The union’s complaint was that the
employees’ retrenchment was a fait accompli
prior to the commencement of the consultation process. The union also insisted
that it was entitled to facilitation within 15 days of issuing of the notice in terms of section 189(3) of the LRA. The
Labour Court made a number of findings. The
first was that only majority unions have the right to request facilitation under
section 189A. Secondly, the court stated that the mechanism provided for in
section 189A in terms of which an applicant could approach the Labour Court
employees to compel employers to correct ‘clear cut’ breaches of the LRA. 61 It is not a tool to be used by unions
or employees to thwart the consultation pro-
In SACCAWU v Southern Sun Hotel Interests ( Pty) Ltd, 63 the Labour Court refused to consolidate two disputes,
the one substantive and the other procedural,
in circumstances where section 189A applied. The court stated that employees
in those circumstances were limited to relief in respect of any procedural unfairness by way of motion proceedings
in terms of section 189A(13); disputes about
substantive fairness are to be referred by way of trial. The section does not contemplate any consolidation of these
proceedings.
Ordinarily, once the consultation process has been exhausted, the employer
contractual provisions. The Constitutional Court recently held that where notice
is given in breach of the procedural requirements of section 189A(7) or (8), this did not have the consequence that
the notices or dismissals were a nullity. The
LRA affords employees a right not be unfairly dismissed, and provides remedies
________________________
61 In Insurance & Banking Staff Association & another v Old Mutual Services & Technology Administration &
another [2006] 6 BLLR 566 (LC), the court held that a union cannot approach the court for relief in the nature of
compensation after a retrenchment exercise had already run its course. The union should approach the court as
soon as such procedural flaws are detected.
62 The Labour Court held that an insistence on the part of the union that the employer commence consultations
afresh because of an alleged defect in the retrenchment notice bordered on bad faith in circumstances where the
employer was making attempts to
cure the defect by genuine consultation, and a restraining order, in terms of s 189A(13), was consequently refused.
358 Law@work
for unfair dismissals. The LRA does not provide remedies for unlawful or invalid
dismissals.64
Where other legislation establishes a process of notice to a regulatory authority and an investigation and report, the
fact that these processes are not synchro-nised with section 189A does not preclude an employer from exercising
its right
to dismiss after having satisfied all of its obligations under the LRA. So, for example, in NUM v Ezulwini Mining
Co ( Pty) Ltd, 65 the Labour Court dismissed an application to interdict an employer from dismissing certain of its
employees on
The statutory formula for the payment of severance pay is contained in section 41
of the BCEA. That Act requires an employer to pay each retrenched employee
a minimum of one week’s remuneration for every completed and continuous
year of service with that employer, and the amount is not capped.
The definition of remuneration extends beyond basic salary and generally in-
cludes all payment in cash or in kind.66 The definition is refined in the instance of severance pay by section 35(5),
which permits an employer to exclude gratu-ities, allowances paid for the purposes of enabling an employee to
work, and
tion 35 of the BCEA prescribes the formula for the calculation of severance pay,
to period.
The computation of a severance package must take into account the for-
Although section 41 requires the payment of one week’s remuneration for each
provides that for the purposes of determining length of service for any provision of the BCEA, previous
employment with the same employer must be taken into
account if the break between the periods of employment is less than a year. If,
for example, an employee resigns and is re-employed seven months later, the
________________________
64 Steenkamp v Edcon Limited 2016 (3) BCLR 311 (CC). The majority of the court held that the LRA
contemplated only fair and unfair dismissals, the Act does not envisage an unfair dismissal being ‘invalid’.
Therefore ss 189 and 189A have nothing to do with the ‘unlawfulness’ or ‘invalidity’ of a dismissal. The minority
judgment held that lawfulness and fairness overlap. The lawfulness claim is ultimately one that seeks compliance
with the Act; the LRA has not ‘impoverished a wronged worker’s cache of weapons’ (at para 51). See the case
note Kujinga and Van Eck ‘Large Scale Operational Requirements Dismissals: How Effective are the Remedies?’
(2018) 39 ILJ 76.
employee’s length of service prior to the resignation must be added to the ser-
vice after re-employment to determine length of service for the purposes of cal-
culating severance pay. The period of absence is not brought into account –
only the periods during which the employee worked are regarded as periods of
service, but this does not mean that the employee may claim the double pay-
ment of a severance benefit. If, for example, an employee was retrenched but
time, despite the fact that the break in service must be disregarded, the em-
ployer is entitled to take into account the severance package paid at the time
ployment. Section 41 of the BCEA makes it clear that the obligation to pay
severance pay arises only when an employee is dismissed for reasons related to
the employer’s operational requirements. 67 This formulation assumes that the employee must have been
dismissed. Employees who retire are not dismissed
and are therefore not entitled to severance pay. The dismissal must also have
This excludes a dismissal for misconduct and incapacity, and is no doubt a con-
reasons.
What is less clear from section 41 is the policy consideration underlying the
It has been suggested, for example, that severance pay is a form of compen-
sation for long service. In other words, employees are thought to have some
‘right’ to a job, which like a fine wine or valuable objet d’art, increases in value with time. This finds some
support in the statutory formula that rewards longer
serving employees, but does not explain why the right to severance pay is
capacity in the form of ill health, for example, might be equally as faultless as an employee selected for
retrenchment, but has no claim to severance pay.
Another justification for the payment of severance benefits is the need to tide
this justification does not explain why all retrenched employees benefit from
section 41, and not only those who fail to secure alternative employment.
Another reason, reflected in Irvin & Johnson Ltd v CCMA & others,68 is that em-
________________________
67 See MISA/SAMWU obo members v Madikor Drie ( Pty) Ltd [2006] 1 BLLR 12 (LC) for a dispute about
severance payment in the context of a s 197 transfer.
68 [2006] 7 BLLR 613 (LAC). See also Astrapak Manufacturing Holdings ( Pty) Ltd t/a East Rand Plastics v
Chemical, Energy, Paper, Printing, Wood & Allied Workers Union (2014) 35 ILJ 140
(LAC).
360 Law@work
a significant exclusion from the right to severance pay. Section 41(4) provides
alternative employment with that employer or any other employer, is not en-
titled to severance pay’. This exception would seem to provide that if the em-
severance pay if the employee unreasonably refuses to accept that offer. 69 An alternative offer may include a
transfer from one employer to another with the
employment in the context of a restructuring exercise. 70 This provision seems to support the ‘tiding over’
justification because it would appear to deny a right to severance pay when alternative employment is on offer.
However, the wording
of the subsection is not clear. It provides for the forfeiture of a package when
explicitly deny a severance package to the employee who accepts that em-
ployment. 71 What is clear, though, is that there are circumstances in which an employee will get neither
severance pay nor alternative employment. In the
However, there is a scenario where he gets neither. That is where he has himself to blame because he has acted
unreasonably in refusing the offer of alternative employment. Where he has refused the offer of alternative
employment but cannot
be said to have acted unreasonably in doing so, he still gets paid his severance
pay.
It remains to consider the factors that should be taken into account in deter-
rather than the reasonableness of the offer. These are obviously not unrelated
stage test by enquiring into the reasonableness of the terms of the offer and
then into the reasonableness of the refusal. Indeed, the Code of Good Practice
________________________
69 Irvin & Johnson Ltd v CCMA & others (fn 68). See, however, Nxumalo & others v Industrial Contract Catering
Services t/a Corporate Chefs [2006] 4 BALR 423 (CCMA) where the commissioner held that employees who
accepted offers of alternative employment are entitled to severance pay if the new employer refuse to accept their
years of service with the old employer.
71 See the Freshmark case (fn 4) where the Labour Appeal Court suggested that the purpose behind s 41(4) of the
BCEA is to punish the employee where the employee is to blame for being without employment, and therefore
does not deserve to be treated on the same basis as the employee who is deprived of employment without fault.
The terms of the offer require an evaluation of the proposed terms and con-
ditions of employment, the nature of the work, the extent of any relocation that
may be required, and any change in status and the nature and extent of any
formulation adopted in section 197(3) of ‘on the whole not less favourable’ in
the employment of a spouse or other family members and the education of any
children, access to health care facilities, and the like.
The BCEA provides that any dispute about entitlement to severance pay ‘in
CCMA. 73 The council or the CCMA must attempt to resolve the dispute by conciliation. If conciliation fails, the
dispute may be referred to arbitration. If the Labour Court is adjudicating a dispute about a dismissal for
operational requirements, the court is entitled to inquire into and determine the amount of any
section 41 means that it is confined to making an award to the effect that the
ment process has been concluded, this does not ordinarily amount to a waiver
5 Preferential rehiring
event that future vacancies arise. The possibility of future employment of dis-
mation at the time a notice of intention to dismiss is issued,76 but in the absence
________________________
73 S 41(6).
74 In Mathews v GlaxoSmithKline SA ( Pty) Ltd [2007] 3 BLLR 230 (LC) the court was of the view that if an
employer grants one employee a ‘far more generous’ or a ‘vastly more superior’
severance package than another, such differentiation, in the absence of justification, may amount to an unfair
dismissal.
75 NASUWU & another v Pearwood Investments ( Pty) Ltd t/a Wolf Security & another [2009] 3
is an unfair labour practice for an employer to fail or refuse to reinstate or re-employ a former employee in breach
of that agreement. 77
to two provisos – first, the employee must express a desire to be rehired within a reasonable time of having been
asked; and secondly, the employer may place
a reasonable time limit on any preference it extends to former employees (item 12).
________________________
13
Page
1 Introduction
....................................................................................................
365
363
365
1 Introduction1
Globalisation has had the consequence, both internationally and more paro-
‘corporate events’, as they are sometimes described, have had a massive im-
many services and functions once provided ‘in-house’ are being outsourced, to
businesses to another, a situation where commercial interests in greater flexibility and profitability are often in
conflict with employee interests in work security.
The common law, based as it is on the historical ‘master and servant’ relation-
ship, regards the employment relationship as personal. For this reason, the com-
mon law respects an employee’s right to choose his or her employer, and an
employer’s right to choose whom it wishes to employ. Consistent with this con-
ception of employment, the common law also provides that in the absence of
transfer, when an employer for some reason disposes of the business in which
the employee has no right to continued employment by any new owner of the
business.
While this rule may have been appropriate in an era when employment was
mary relationship is with managers and supervisors rather than the owners of the
business. In most instances, the disposal of a business poses concerns for em-
ployees about their work security rather than their freedom of contract and the
identity of any new employer. Employers acquiring a new business may equally
have an interest in the continuity that is achieved by a transfer of employment
________________________
1 For a detailed discussion on business transfers and labour rights, see Todd, Du Toit and Bosch Business Transfers
and Employment Rights in South Africa (2004). See also Bosch
‘Balancing the Act: Fairness and Transfers of Businesses’ (2004) 25 ILJ 923, and also Bosch
‘Of Business Parts and Human Stock: Some Reflections on Section 197(a) of the Labour Relations Act’ (2004) 25
ILJ 1865.
2 See Nokes v Doncaster Collieries Ltd [1940] All ER 549 (HL). In this case, Lord Atkin famously said that the
right to choose one’s employer is ‘the main difference between a servant and a serf’. The policy-related
consideration that underlies the decision is that employees should be free to choose their employer, recognition
that employees attach significance to the identity of their employer. In contractual terms, when an employment
contract is transferred from one employer to another, there is a cession and delegation of the employment contract.
This requires the consent not only of the employee but also the transferor and transferee employers.
366 Law@work
contracts – the skills and experience of employees rather than their individual
personalities is more likely to be an integral component of the business that is to be acquired. The termination of
contracts between the transferor employer and
its employees and the payment of severance allowances makes little commer-
cial sense when most, if not all, of the employees are in any event to be rehired by a transferee employer who
wishes to retain their skills.
Prior to the enactment of the LRA, the Industrial Court had begun to develop
guidelines to protect employees when businesses were transferred, but had not
2 Transfer of a business
Sections 197 and 197A of the LRA regulate the employment-related conse-
quences of the transfer of the whole or part of a business. Section 197A regu-
ately at the end of this chapter. These sections vary the common-law conse-
quences of a business transfer both for employees and the employer parties to
Section 197 requires that, unless otherwise agreed, the transferee employer
(referred to as ‘the new employer’) be substituted for the transferor (referred to as the ‘old employer’) as the
employer of all employees engaged in the business being transferred. In other words, except for the change in
identity of the
employer party, the contracts of employment in place at the time of the trans-
fer remain unaffected and any term of the contract between an employee
and the old employer can be enforced, after the transfer, against the new
employer.
In this sense, the policy that underlies section 197 is one that overrides the interests of the individual in the
interests of the greater collective good. It does so in the context of the two principles at work here. The first is the
principle referred ________________________
3 See Kebeni v Cementile Products ( Ciskei) ( Pty) Ltd (1987) 8 ILJ 442 (IC). For an overview of the guidelines
developed by the Industrial Court and the need for statutory regulation, see Smit ‘Why Should Transfer of
Undertakings be Regulated Statutorily in South Africa?’
4 The legitimate interests discernible in these instances include employees’ interest in the person for whom they
are working and their interest in preserving their employment. Furthermore, a transferee will usually be reluctant
to comply with obligations that originate from the former employment relationship. A transferee would prefer to
make unfettered choices regarding the running of the undertaking (including who to employ or not and on what
terms). Finally, the transferor would not want anything to diminish the chances of transferring the undertaking.
Any burdens that will transfer to the transferee will most likely influence the purchase price of the undertaking and
are, therefore, also not in the interests of the transferor. On the other hand, should the contracts not transfer the
transferor will be liable for notice and severance pay, liabilities which will undoubtedly also be reflected in the
price.
367
is to be employed. The competing policy position is to give priority to security of employment, rather than an
employee’s freedom of choice, by obliging the
new employer to take all the old employer’s employees as an inseparable part
of the business bundle that is the subject of the transfer. Section 197 gives ex-
pression to the latter principle. The employee’s freedom to work for the employer of choice yields to the broader
interest of protecting the work security of all
employees affected by the transfer. For employers, as noted above, there may
be advantages in taking transfer of a business with all of its employees. In this sense, section 197 seeks to relieve
both employers and employees of the adverse consequences that may flow at common law from a transaction in
terms
The Constitutional Court made this point eloquently and succinctly in NEHAWU
Section 197 . . . relieves the employers and the workers of some of the conse-
quences that the common law visited on them. Its purpose is to protect the em-
ployment of workers and to facilitate the sale of businesses as going concerns by enabling the new employer to
take over the workers as well as other assets in certain circumstances. The section aims at minimising the tension
and the resultant
labour disputes that often arise from the sales of businesses and impact negatively on economic development and
labour peace. In this sense, section 197 has a dual
purpose, it facilitates the commercial transactions while at the same time protect-
Section 197 gives effect to this dual purpose by providing for an automatic and
action assumes the form of the transfer of the whole or part of a business as a
going concern.
6 At 118F–H. In Aviation Union of SA & another v SA Airways ( Pty) Ltd & others (2011) 32 ILJ
2861 (CC) the court held at para 38 that ‘The section achieves its purpose by preserving all contracts of
employment between the workers and the owner of the business which is transferred as a going concern. In this
way, on the one hand, the workers’ employment is safeguarded and, on the other, a new owner is guaranteed a
workforce to continue with the operation of the business’.
7 See NEHAWU v University of Cape Town & others [2000] 7 BLLR 803 (LC) and NEHAWU v University of
Cape Town & others [2002] 4 BLLR 311 (LAC). In the latter case, the majority of the Labour Appeal Court held
that there was a transfer of contracts of employment on the same terms only if the two employer parties agreed that
the contracts should transfer.
This interpretation was rejected in the subsequent appeal to the Constitutional Court. The amendments to s 197
effected in 2002 were intended to address the ambiguity in the wording of the section identified by the judgments
of the Labour Court and the Labour Appeal Court.
8 At least in respect of s 197 as it existed prior to the 2002 amendments to the LRA.
368 Law@work
for an automatic and obligatory transfer, irrespective of the wishes of the em-
put the matter beyond doubt. Section 197(2) uses the device of a substitution of
the transferee employer for the transferor in respect of all contracts of employ-
ment in existence immediately before the date of the transfer. When the under-
lying transaction has the consequence of the transfer of the whole or part of a
business, the transfer of employment contracts9 from the transferor to the transferee employer occurs by operation
of law, unless the contracting-out mech-
anism established by section 197(2) is invoked. Subsection (2) is the crux of section 197. It reads as follows:
If a transfer of a business takes place, unless otherwise agreed in terms of subsection (6)—
(a) the new employer is automatically substituted in the place of the old employer in respect of all contracts of
employment in existence immediately before the
date of transfer;
(b) all the rights and obligations between the old employer and an employee at
the time of the transfer continue in force as if they had been rights and obli-
(c) anything done before the transfer by or in relation to the old employer, in-
(d) the transfer does not interrupt an employee’s continuity of employment, and
For a transaction to fall within the scope of section 197, three elements must
l the transferred entity must be the whole or part of a business (or, is there an economic entity capable of being
transferred?); and
l the business must be transferred as a going concern (or, does the economic entity that is transferred retain its
identity after the transfer?).
When all three elements are present, the consequences described in section
________________________
9 In view of the statutory substitution of one employer for another, it may be a misnomer to refer to a ‘transfer’ of
employment contracts. Strictly speaking, the business transfers, from the old employer to the new, not the
contracts. However, the commonly used colloquial reference to transfers of contracts poses no real conceptual or
other harm.
10 See the Aviation Union of SA v SA Airways ( Pty) Ltd case (fn 6) at para 44: ‘It must be stressed that the key
event which brings s 197 into play is the transfer of business as a going concern. The question whether the section
applies to a particular case cannot be determined . . . with reference to the label of the transaction effecting transfer.
The section does not cite transactions to which it applies. Nor does it refer to any labels. Instead, its application
must always be determined with reference to three requisites, namely, business, transfer and going concern’.
369
A ‘transfer’ is defined in section 197(1)(b) to mean ‘the transfer of a business by one employer (“the old
employer”) to another employer (“the new employer”)
as a going concern’ (our emphasis). This definition sheds little light on which
kinds of transfers potentially fall within the ambit of section 197. Two distinct enquiries should occur. First, was
there a transfer within the meaning of section 197?
The concept of a ‘transfer’ thus relates to the method of the transfer of a business.
Business transfers occur most often consequent on a sale of the business, but
the reach of section 197 clearly extends beyond transfers effected in these cir-
structuring potentially falls within the ambit of section 197, as does an exchange of assets, a donation12 and the
outsourcing of non-core functions or business
activities.13 For there to be a transfer, there must be a shifting of a business entity by one employer to another.
This assumes that there must be at least two distinct employers involved in the transaction. 14 The business ‘must
have changed
hands, whether through a sale or other transaction that places the business in
question in different hands. Thus the business must have moved from one person
to the other’. 15 On this basis, the Labour Appeal Court has held that the perfection of a notarial bond and the
taking control of a business does not consti-
tute a transfer for the purposes of section 197. The creditor took control of the business only for the limited
purpose of selling movable property to recover the
debts owing by the debtor with the intention of withdrawing from that arrange-
________________________
11 In the European context, the European Court of Justice has held in Allen v Amalgamated Construction Co Ltd
[2000] IRLR 119 (ECJ) that the Directive is intended to cover ‘any legal change in the person of the employer’.
See also Foreningen af Arbejdsledere i Danmark v Daddy’s Dance Hall 1988 ECR 739 (ECJ) and Berg v
Besselsen 1988 ECR 2559 (ECJ) where the ECJ again pointed out that the Directive applied not only where there
had been a change in the ownership of an undertaking, but also in circumstances where there was a change of
employer.
14 However, it may occur between two companies that are in the same group (see the Allen case (fn 11)). See also
FAWU v The Cold Chain ( Pty) Ltd & another [2010] 1 BLLR 49 (LC) where the transfer of warehousing and
distribution functions from one company to another within a group fell within the scope of s 197. For a discussion
on second-generation contracting and whether there is a transfer of a business as a going concern in these
circumstances, see para 6 ‘Outsourcing’.
16 Spar Group Ltd v Sea Spirit Trading 162 CC t/a Paledi [2018] 10 BLLR 1000 (LAC).
370 Law@work
agreement between the transferor and transferee and that the intention of the
parties, although relevant, is not the ultimate consideration. The true nature of the transaction will be crucial.
Confining transfers to those effected by the old employer would be at odds with the clear scheme of the section
and its intended wide scope. A transfer can therefore be effected by means of a sale or
some other kind of disposition, or by operation of law. It does not matter whether the transfer is effected by a series
of two or more transactions. 17 The courts have
in each case:
For a transfer to be established there must be components of the original business which are passed on to the third
party. These may be in the form of assets or the taking over of workers who were assigned to provide the service.
The taking over
of workers may be occasioned by the fact that the transferred workers possess
particular skills and expertise necessary for providing the service or the new owner may require the workers
simply because it did not have the workforce to do the
work.19
The Constitutional Court made the observation in the South African Airways case that ‘generally, a termination of
a service contract and a subsequent award of
it to a third party does not, in itself, constitute a transfer as envisaged in the section’. The court held that for a
transfer to be established ‘there must be com-
ponents of the original business which are passed on to the third party’. 21 Prior to
the court’s ruling, the Labour Relations Amendment Bill of 201022 proposed a change in the definition so that it
would read ‘the transfer of a business from one employer (“the old employer”) to another employer (“the new
employer”)
as a going concern’. This proposed change was not included in the 2014
4 What is a ‘business’?
A ‘business’ is defined in section 197(1)(a) to include ‘the whole or any part of a business, trade or undertaking, or
service’. This broad definition is unhelpful but crucial, since section 197 applies only when a business, as opposed
to some
________________________
17 See Jenkin v Khumbula Media Connexion ( Pty) Ltd [2010] 12 BLLR 1295 (LC) at para 28:
‘The issue as to whether or not there has been a transfer should not only depend on the existence of an agreement
but on the facts’.
18 See Smit ‘The Labour Relations Act and Transfer of Undertakings: The Notion of a Transfer’
371
other entity, is transferred.23 It may be necessary, therefore, to subject the entity that is the subject of a transfer to
scrutiny to determine whether it is a business, or a part of a business, for the purposes of section 197.
The South African courts have sought guidance from European jurisprudence,
which pursues a specific objective’. 24 This concept is easily applied when a sub-
stantial business, along with its tangible assets, is the subject of a transfer. But some businesses comprise only the
provision of services, and may have few if
any assets other than the expertise of its employees. In Süzen’s case, the ECJ
emphasised the organisational component of the entity being transferred,
rather than the nature of the business or the activity that it conducts.
Labour Appeal Court in SAMWU v Rand Airport Management Co Ltd. 25 The Rand Airport Management
Company intended to outsource its security and
gardening functions. It gave notice to the trade union representing its employees engaged in those functions of its
intention to retrench them. The union brought
an urgent application in the Labour Court for a declaratory order to the effect
that the transaction was one to which section 197 applied, and that the em-
ployees were therefore engaged on the same terms by the service providers to
whom the functions had been outsourced. The Labour Court dismissed the
application, but the union’s appeal against that ruling was upheld. In its judg-
ment, the Labour Appeal Court placed some emphasis on the 2002 amend-
ment to section 197(1)(a), when the definition of the word ‘business’ was
vice’ for the purposes of section 197, and that they were therefore businesses
The Labour Appeal Court’s Rand Airport judgment can be criticised for confusing form and substance – the
relevant enquiry is into the existence or other-
wise of a discrete economic entity. This requires a court to enquire into the
including assets, goodwill, a workforce, management staff, the way in which the
able to the business, and so forth. 27 To dismiss the necessity for this enquiry, as
________________________
23 The definition of a ‘business’ is particularly important to the determination of the application of s 197 to
outsourcing agreements. See para 6 ‘Outsourcing’.
26 Since the agreements giving effect to the outsourcing had either not been signed or implemented, the court
granted an order to the effect that s 197 would apply were the transactions to be implemented.
27 Francisca Sánchez Hidalgo ea v Asociación de Servicios Aser and Sociedad Cooperativa Minerva 1998 ECR
8237 (ECJ).
372 Law@work
the court appears to have done, is to elevate a single component in the statu-
tory definition of ‘business’ (a ‘service’) from an illustrative to a determinative level, and effectively to allow form
to dictate substance. 28
This is not to say that a ‘service’ can never be a business for the purposes of
section 197. But in some circumstances at least, the whole or part of a business
in the form of the provision of services might not meet the threshold require-
ments that ought to define a business. As the ECJ has acknowledged, this is
often a difficult exercise when the business concerned is labour intensive and
What is clear though is that a business entity cannot be said to consist solely of
the activity being performed by it.29 A court ought to examine all of the relevant elements and components that
comprise the business, and determine whether
In Aviation Union of SA v SA Airways ( Pty) Ltd31 Jafta J stated that ‘It is apparent from this definition that the
section is designed to cover every conceivable
business’. There are, however, instances in which section 197 is not applicable.
For example, in Transport & Allied Workers Union of SA v Transnet ( Pty) Ltd &
others 32 the provision of a municipal bus service was not 'a business' but the exercise of a statutory obligation
imposed on the municipality. In this instance, Transnet was appointed to act as the agent of the municipality until
such time
________________________
28 See Van Niekerk ‘Bleached Skeletons Resurrected and Vibrant Horses Corralled – SA Municipal Workers
Union v Rand Airport Management Company ( Pty) Ltd & others and the Outsourcing of Services’ (2005) 26 ILJ
66. See also Bosch ‘Transfers of Contracts of Employment in the Outsourcing Context’ (2001) 22 ILJ 840.
29 See Süzen’s case (fn 24). In Spijkers v Gebroeders Benedik Abattoir v Alfred Benedik en Zonen BV [1986] 2
CMLR 296 (ECJ), the ECJ held that the fact that a similar service continued to be provided pre- and post-transfer
does not ‘support the conclusion that an economic entity has been transferred. An entity cannot be reduced to the
activity entrusted to it’. See para 5 ‘Transfer as a “going concern”’ regarding what is required for the transfer of a
business as a going concern: the transfer of ‘an economic entity that retains its identity, meaning an organised
grouping of resources which has the objective of pursu-ing an economic activity, whether or not that activity is
central or ancillary’.
30 On this basis, the Labour Appeal Court might well have concluded, as Landman J did in the court a quo, that
Rand Airport’s gardening and security functions were activities, rather than parts of businesses capable of transfer
in terms of s 197. In Rural Maintenance ( Pty) Ltd & another v Maluti-A-Phofung Local Municipality 2017 (1)
BCLR 64 (CC) the court rejected the notion of a separate test for cases of a change in service providers. The
Constitutional Court (in the first judgment at para 41) held that: ‘the definition of “business” in section 197(1) of
the LRA includes a service. This court has clarified that this means that it is the business that supplies the service,
and not the service itself, that must be transferred’.
31 Fn 6, at para 40.
373
The statutory definitions do little to clarify the key concept of a ‘going concern’
and it has been left to the courts to determine the circumstances in which it can be said that, for the purposes of
section 197, a business has been transferred as a going concern. The labour courts have held that the tests applied
to determine whether or not a business is transferred as a going concern for other pur-
for the purposes of section 197. The first is the acquisition of control of a company through a purchase of shares.
33 The reason for this is that there is no
stances where the transferee employer is substituted for the transferor. There has been some suggestion that in the
case of a sham, a court might be entitled to
go behind a sale of shares and find in truth that the transaction was the sale of a business, but the Labour Court has
not been called on to decide this issue.
The second instance where the Labour Court has held that section 197 does
not apply is where the underlying transaction assumes the form of a disposal
only of the assets of a business. 34 The transfer of a business as a going concern is impossible if there is no
operating business to transfer. The Labour Court therefore held in Maloba v Minaco Stone Germiston ( Pty) Ltd &
another35 that when
the employer’s operating division had been closed, the machinery commercially
disposed of, the bulk of employees retrenched and the premises sublet there
________________________
33 In Ndima v Waverley Blankets Ltd [1999] 6 BLLR 577 (LC), Waverley Blankets Ltd v CCMA
[2003] 3 BLLR 236 (LAC) and Long v Prism Holdings Ltd & another (2012) 33 ILJ 1402 (LAC) the labour courts
held that the transfer of control of a business, effected by means of a sale of shares, does not trigger the application
of s 197. However, as noted above, the resignation of a partner from a partnership has been held to attract the
application of s 197 – see Burman Katz Attorneys v Brand NO (fn 13).
34 See Kgethe & others v LMK Manufacturing & another [1997] 10 BLLR 1303 (LC), overturned on appeal (see
Kgethe & others v LMK Manufacturing & another (1998) 19 ILJ 524 (LAC)), but on grounds other than the
finding that an agreement to sell some of the company’s assets did not constitute a transfer as a going concern.
36 Welch v Kulu Motors Kenilworth ( Pty) Ltd & others (2013) 34 ILJ 1804 (LC).
37 Grinpal Energy Management Services ( Pty) Ltd v City Power Johannesburg ( Pty) Ltd & others (2013) 34 ILJ
905 (LC). In this case, infrastructure was temporarily transferred to an outsourcing party as a holding operation
pending an arrangement with the new contractor.
374 Law@work
concern is effected when the economic entity that comprises the business
retains its identity after the transfer.38 Typically, the identity of the entity that comprises a business, trade,
undertaking or service comprises the employees
added.
This is not to say that there can never be a transfer of an undertaking without
The ECJ has gone so far as to hold that the transfer of cleaning duties of a single employee to a company providing
those services at other premises constitutes
employees and activities, it may well be that an economic entity could com-
prise only activities and employees. When the activities consist of the provision of services, tangible assets may be
less important when attempting to define an
ness as a going concern by a South African court thus far is that by the Consti-
tutional Court in NEHAWU v University of Cape Town, where Ngcobo J said the following:
must be had to the substance and not the form of the transaction. A number of
________________________
In City Power ( Pty) Ltd v Grinpal Energy Management Services ( Pty) Ltd & others [2015] 8
BLLR 757 (CC) the Constitutional Court confirmed that where there is a transfer of business between entities
performing public functions for municipalities, it may constitute the transfer of a business within the meaning of
the term in s 197. The LRA supersedes local government legislation.
38 NEHAWU v University of Cape Town & others (fn 5). The court referred to the leading European case of
Spijkers v Gebroeders Benedik Abattoir v Alfred Benedik en Zonen BV (fn 29) in which the ECJ stated the
following: ‘The decisive criterion . . . is whether the business in question retains its identity. Consequently a
transfer of an undertaking, business or part of a business does not occur merely because its assets are disposed of.
Instead it is necessary to consider whether the business was disposed of as a going concern, as would be indicated,
inter alia by the fact that its operation was actually continued or resumed by the new employer, with the same or
similar activities’.
39 Ponties Panel Beaters Partnership v NUMSA & others [2009] 2 BLLR 99 (LAC).
40 See, eg, Schmidt v Spar und Leihkasse der Fruheren Amter Bordesholm, Kiel und Cronshagen
41 In the Schmidt case ( ibid) the ECJ went on to state that the absence of any transfer of tangible assets does not
preclude the existence of a transfer (even though the transfer of such assets is among the various factors to be
taken into account when assessing a complex transaction as a whole and deciding whether an undertaking has in
fact been transferred). The ECJ concluded that the safeguarding of employees’ rights, which constitutes the subject
matter of the Directive, could not depend exclusively on consideration of a factor that the court has held not to be
decisive on its own. However, see para 6 ‘Outsourcing’ for a discussion of a seemingly contradictory view now
held by the ECJ.
375
factors will be relevant to the question whether a transfer of a business as a going concern has occurred, such as
the transfer or otherwise of assets both tangible
and intangible, whether or not the workers are taken over by the new employer,
whether customers are transferred and whether or not the same business is being
carried on by the new employer. What must be stressed is that this list of factors is not exhaustive and that none of
them is decisive individually. They must all be
isolation.42
This approach, based as it is on that established by the ECJ, is perhaps best summarised by asking whether there
has been a transfer of an economic entity that
retains its identity after the change has taken place. This would be indicated,
l the fact that its operation was actually continued or resumed by the new
l whether or not tangible assets, such as buildings and movable property, are
transferred;
l whether or not the majority of its employees are taken over by the new em-
ployer;
l the degree of similarity between the activities carried on before and after
ation is necessary and none of the single factors mentioned above are de-
resumes the old employer’s operations, with the same or similar activities. 44 In
________________________
42 Fn 5, at 119F–120A.
44 See also CEPPWAWU v Hydro Colour Inks ( Pty) Ltd & another [2011] 7 BLLR 655 (LC) where after 6 years
of operations the employer ceased trading after liquidation and a new company was formed to conduct the
business. The court held that the fact that a different company was formed was immaterial (ie, the argument that
the old business ‘closed’ and a new one started ‘its own and new business’ (at para 13)) since the business passed
into the hands of the new company. In Rural Maintenance ( Pty) Ltd & another v Maluti-A-Phofung Local
Municipality (fn 30) the Constitutional Court (at para 37) stated that there could be no transfer as a going concern
without the ‘transfer of the means to do the work’. The court continued that where assets that were ‘essential to the
profitability and operation of the business’ were not transferred back by Rural Maintenance (the outgoing
contractor), the municipality could not have carried on the business without major difficulties. (Similarly, in
Maluti-A-Phofung Local Municipality v Rural Maintenance ( Pty) Ltd & another [2016] 1 BLLR 13 (LAC) the
Labour Appeal Court had found that the outgoing contractor’s business was not transferred to the municipality as a
going concern after the cancellation of the contract by the municipality, because the service provider retained most
of its equipment, thus making it impossible for the municipality to assume the service continued on next page
376 Law@work
other words, the degree to which the transferred business preserves a distinct
and separate identity that continues or resumes the operation of the activity
for the purposes of section 197.45 It appears, however, that in cases of ‘service changes’ decision makers do not
concur on the correct application of the
Nehawu test.
In Harsco Metals SA ( Pty) Ltd & another v Arcelormittal SA Ltd & others46 a ser-
vice agreement was cancelled and new contractors were appointed. Some of
the outgoing contractor’s assets and the majority of its employees were trans-
and using the same operational methods. Applying the 2011 constitutional test,
the court held that the business of the outgoing contractor continued as an
the court found that the business had been transferred as a going concern for
the purposes of section 197. In finding so, the court confirmed that the decisive criterion was whether the business
retains its identity after the transfer.
The principle is often more easily stated than applied in practice. Wallis has
________________________
provider’s functions.) The second judgment per Jafta J (at par 101) lists the infrastructure that was indeed
transferred from Rural Maintenance to the municipality and is critical (see para 103) of the fact that the Labour
Appeal Court ‘held that it could not be said that there was a transfer of business because some of the assets were
not transferred’. It therefore differed from the LAC and CC and held that there was indeed the transfer of a part of
the business as a going concern (at paras 107 and 118). The second judgment furthermore does not require a valid
contract to trigger s 197: ‘What activates the application of the section is the transfer of [a] business as a going
concern and not the reasons underlying the transfer’ (at para 127). Also the third judgment (per Zondo J) held that
there was indeed a transfer of a business as a going concern (at para 136) and that the underlying contract need not
have been a valid contract (at para 152 contra to the first judgment that holds obiter that the legal cause is not
totally irrelevant (at para 39)). The first judgment is open for criticism, see Zondo J’s statements (at para 190–191)
that nowhere in the municipality’s answering affidavits did they submit that the municipality ‘had not been able to
provide all the electricity related services to its inhabitants because of Rural’s failure to hand over certain assets’
and ‘said that the assets that Rural did not hand over to it were essential for it ie for the Municipality to continue to
operate the “business” that Rural contends it had transferred to it’.
45 See FAWU v The Cold Chain ( Pty) Ltd & another (fn 14). In Rural Maintenance (fn 30) the majority of the
Constitutional Court (per Justice Froneman) declined to develop a different test for ‘service provision changes’ (at
para 40). The minority judgment of Jafta J held that the Labour Appeal Court misapplied ‘the test laid down by
this Court in NEHAWU.
According to that test none of the relevant factors is individually decisive. So even if the factor, and not part of it,
is entirely absent, there may still be a transfer as a going concern. Here the absence related to part of the assets
only’. See also Davis ‘Should s 197 of the LRA be Amended to Automatically Protect Employees when Labour
Intensive Services are Outsourced or when a New Service Provider is Appointed?’ (2016) 37 ILJ 45.
377
argues that:
there is considerable sense in an approach that says where the owner of a build-
ing terminates the lease of a Thai restaurant and finds a new tenant who serves
French cuisine, that should not be regarded as the transfer of a business by any-
one to anyone else. It is the closure of one business and the opening of another.47
outgoing contractor and with the entering into of a new warehousing agree-
ment with a different incoming contractor, the Labour Appeal Court was satis-
from the old employer to a new employer.48 The fact that the applicant had not
taken over any of the erstwhile employees was, according to the approach set
out by the Constitutional Court, only one consideration amongst several.49 Furthermore, it was held that the
existence of multiple entities may be examined to
determine who the de facto employer is and whether these entities may be
treated as a single entity (the outgoing contractor had used a separate legal
As foreshadowed by the previous section, the application of section 197 has been
most controversial in transactions in which businesses, or parts of businesses, are outsourced. The Labour Court
has described outsourcing in the following terms:
Outsourcing involves the putting out to tender of certain services for a fee. The contractor performs the outsourced
services and in return is paid a fee for its troubles by the employer . . . An outsourcing transaction is usually for a
fixed period of time at the end of which it again goes out to tender and the existing contractor could
197, potentially at least, in relation to the definition of a ‘business’, and whether or not there has been a transfer of
a business as a going concern.
________________________
48 TMS Group Industrial Services ( Pty) Ltd t/a Vericon v Unitrans Supply Chain Solutions ( Pty)
49 At para 30: ‘Thus, the services are “performed at the very same site and fixed premises as the services that were
performed by Unitrans in terms of the Warehousing agreement.”
Appellant was required to make use of the same equipment and IT systems that were previously employed by first
respondent including forklifts, computers, printers, a computer system as well as other assets such as furniture’.
50 At para 38: ‘Accordingly, this case fits directly within the scope of the dictum of the European Court of Justice
in Albron Catering BV v FNV Bondgenoten: “Within a group of companies, there are two employers, one having
contractual relations with the employees of that group and the other non-contractual relations with them, it is also
possible to regard as a ‘transferor’, within the meaning of Directives 2001/23, the employer responsible for the
economic activity of the entity transferred which, in that capacity, establishes working relations with the staff of
that entity, despite the absence of contractual relations with those staff.”’
51 NEHAWU v University of Cape Town & others (fn 7) at 816 at para 30.
378 Law@work
the meaning of a transfer as a going concern have been held to apply to trans-
fers that occur when an employer decides to outsource a part of its activities to a service provider. Again, the
leading decision is NEHAWU v University of Cape Town.52 In that case, the university sought to outsource certain
of its services including cleaning, gardening and sports ground maintenance. When the trade
retrench, it sought a declaratory order in the Labour Court that section 197
applied to the outsourcing agreements, and that its members were employed
by the newly appointed service providers on the same terms on which they had
been engaged by the university. The Constitutional Court ultimately held that
this was a transaction that potentially fell within the ambit of section 197, but
declined to make a specific ruling on the facts.53 The Constitutional Court, as we
noted above, applied the test developed by the ECJ to determine the exist-
Although it is generally accepted that section 197 will apply to most instances
new contractor (which may but not necessarily have been the service provider
contractor. This typically occurs when the terms on which the service provided
by a contractor are reviewed or put out to tender, and another service pro-
the service.
________________________
52 Fn 5. The case was first heard by the Labour Court, which held that it disagreed with, but considered itself
bound by, the approach adopted to s 197 in the judgment of the Labour Appeal Court in Foodgro, a Division of
Leisurenet v Keil (1999) 20 ILJ 2521 (LAC). On the facts, the court found that the outsourcing exercises did not
constitute a transfer of a part of a business as a going concern. The Labour Appeal Court, in a split decision, held
that s 197 permitted the employer parties to decide whether the section should apply to their transaction. If they so
agreed, there was a transfer of employment contracts on the same terms. In other words, the application of s 197
was not automatic, and depended on the consent of the transferor and transferee employers. The approach adopted
in the dissenting judgment of Zondo JP was ultimately upheld by the Constitutional Court. For a discussion on the
judgments of the Labour Court and the Labour Appeal Court, see Bosch
‘Two Wrongs Make it More Wrong, or a Case for Minority Rule’ (2002) 119 SALJ 501.
53 The matter was referred back to the Labour Appeal Court for a decision on the facts, and then settled.
54 If the Labour Appeal Court’s judgment in the Rand Airport case is correct, there can be very little in the way of
an outsourced function that will not fall within the ambit of s 197.
See, however, Chemical, Energy, Paper, Printing, Wood & Allied Workers Union & others v Print Tech ( Pty) Ltd
& others (2010) 31 ILJ 1850 (LC) where the employer decided to retrench its entire workforce and to outsource its
future labour requirements to a labour broker – this was held not to constitute the transfer of a business as a going
concern where only the workforce was transferred.
379
the principles of Schmidt still seem to apply. Several factors are therefore considered and the decisive criterion
seems to be the actual continuance of the
same or similar activities by the new contractor. In second-generation transfers, however, additional requirements
are set before finding that a relevant transfer
has occurred. These relate to the transfer of some tangible or intangible assets
and the transfer of a major part of the staff (in terms of numbers and skills).56
In COSAWU v Zikhethele Trade ( Pty) Ltd & another57 the Labour Court held that while the express language of
section 197 arguably precludes the application of the section to second-generation contracting out, the section was
capable of sustaining that conclusion. The court held that the requirement that
there be a transfer of a business by one employer to another (which would ordinarily exclude the application of
section 197 since there is no transfer from the first contractor to the second) should be read as a reference to a
transfer
from one employer to another. This construction, said the court, would extend the application of section 197 to a
second and subsequent contracting out,
since there was inevitably a transfer of the responsibility for the operation of the undertaking from the first
contractor to the second, when the second contractor assumed its obligations to the client. On this basis, the court
held that section 197 applied to a contract where the provision of stevedoring services
was the subject of an agreement with a new contractor, the first contractor
having been placed in liquidation. In effect, held the court, the contracts of
________________________
55 The ECJ has held that the Directive applied to the termination of a lease of a restaurant, followed by the
conclusion of a new management contract with another operator
56 Oy Liikenne AB v Liskojärvi and Juntunen [2001] IRLR 171 (ECJ) is a good example. Here the ECJ had to
consider whether there had been a relevant transfer when D took over seven bus routes that had previously been
operated by C for X. C dismissed all of the drivers on that route on the grounds of redundancy. Two drivers, A and
B, among a number of C’s former drivers, were subsequently employed by D on less favourable terms and
conditions than they enjoyed with C. The ECJ held that the mere fact that the new contractor, D, carried on a
similar service to C would not give rise to an automatic conclusion that there had been a relevant transfer of an
economic entity. The ECJ conceded that in certain sectors in which activities are based essentially on manpower, a
group of workers engaged in a joint activity on a permanent basis could constitute an economic entity. In casu,
however, bus transport required substantial plant and equipment, according to the court. The fact that D did not
take over any of C’s assets was thus a significant factor leading to the conclusion that no economic entity had
transferred. It thus seems as if the ECJ elevated this one factor above the others. The fact that no tangible business
assets (the buses) were transferred (in spite of the fact that D continued the same activity as C, presumably
serviced the same customers on the same bus routes and engaged 73 per
cent of C’s employees to perform the contract) was thus sufficient to preclude the transfer from falling within the
scope of the Acquired Rights Directive. (In this case, the ECJ did not consider the reason why employees did not
transfer, thus it failed to consider the issue of deliberate avoidance or evasion of the Directive.)
380 Law@work
employment reverted to the client (the old employer) and were then transfer-
red to the new contractor.58
This ‘two-phase’ interpretation has been the subject of much criticism. It has
been suggested that all that transpires when a ‘second generation’ contract is
ment of a new contract, in other words that neither in fact nor in law is there
To read this provision to mean (as the court did in Zikhethele) that section 197
________________________
58 The Labour Court considered foreign law and relied on Dines v Initial Services [1994] IRLR
336 (EAT) for a two-phased approach. The court also relied on European law for its wide interpretation of s 197:
‘In short, the European courts tell us this in relation to second-generation contracting-out. The absence of a
contractual link between the old and the new employer is not decisive, hence a two-phased transaction can indeed
constitute a transfer. Secondly, the decisive criterion for determining whether there has been a transfer of an
undertaking (read “business”) is whether, after the alleged transfer, the undertaking has retained its identity, so that
employment in the undertaking is continued or resumed in the different hands of the transferee . . . The mode or
method of transfer is immaterial. The emphasis is on a comparison between the actual activities of and actual
employment situation in an undertaking before and after the alleged transfer ( Kelman v Care Contract Services
Ltd [1995] ICR 260 (EAT)). What seems to be critical is the transfer of responsibility for the operation of the
undertaking. Mummery J’s conclusion in Kelman offers a salutary guideline. He said: “The theme running through
all the recent cases is the necessity of viewing the situation from an employment perspective, not from a
perspective conditioned by principles of property, company or insolvency law. The crucial question is whether,
taking a realistic view of the activities in which the employees are employed, there exists an economic entity
which, despite changes, remains identifiable, though not necessarily identical, after the alleged transfer.” Our own
law, I believe, is not much different . . . I accept that the two-phase transaction intrinsic to second-generation
contracting-out does indeed constitute a “transfer” as contemplated by section 197 of the LRA. As in European
law, the mode or method of transfer is less important. The crux of the determination is whether what is transferred
is “a business in operation so that the business remains the same but in different hands”’ (at paras 34–35).
59 In Zikhethele Trade ( Pty) Ltd v COSAWU obo members & others [2008] 2 BLLR 163 (LAC) the Labour
Appeal Court upheld the objection to the non-joinder of Fresh Produce Terminals to the proceedings before the
Labour Court. The two-phase approach of the Labour
Court resulted in the Labour Appeal Court’s finding that the ‘client’ should have been joined in the proceedings (at
para 24).
60 See Wallis (fn 47): ‘What the section says is that the old employer is a positive actor in the process. This is not
what occurs when an institution has concluded a contract for the provision of cleaning services and at the expiry of
the contract puts it out for tender and the existing contractor loses the tender. In those circumstances the role and
function of the old employer is to strive to keep the contract not to transfer all or any part of its business to
someone else. When it fails in its endeavours it does not, in fine old public school fashion, extend a hand of
congratulations to the winner and promise it every support. It’s more likely response is to consult its attorneys to
see if it can challenge the tender process under PAJA and at the least the institution is likely to see a marked
decline in service levels. As Hugh Collins says it is surreal to say that this is a transfer of part of a business’ (at
10). It must be said that there need not be a direct contractual link between the transferor and the transferee: see Oy
Liikenne AB v Liskojärvi and Juntunen (fn 56) where the ECJ held that the Directive could apply even where there
was no direct contractual link between two undertakings successively awarded a contract to operate a public bus
transport service continued on next page
The transfer of undertakings
381
applies when there is a transfer from one employer to another is not sustainable given the plain meaning of the
words. If the application of section 197 is so
limited, the section will affect first-generation outsourcing (since there is invariably a transfer of part of a business
from one employer to another), but not
When the literal wording of the section is applied, the result is that employees
involved in the second transfer have less protection than those involved in the
first transfer. This also has commercial ramifications, as the replacement or second contractor bidding for the new
contract is in a much better position than
the potentially outgoing contractor – the bidder is not bound by section 197
transfer provisions and so can save employment-related costs that the first con-
tractor could not avoid. The first contractor will also be liable for severance pay and statutory notice payments. All
in all, it seems to be an unsatisfactory result for the employees as well as the outgoing contractor.
In Zikhethele the Labour Court preferred to follow a purposive approach to the question whether or not section 197
applied to a situation involving second
outsourcing in its scope.61 In Aviation Union of South Africa & others v South African Airways the Labour Court
stated that it preferred a purposive interpretation of section 197, 62 but ultimately the court held that the wording
of section 197
was not ambiguous nor unclear and therefore regard must be had to the plain
wording of the provision (in other words section 197(1)(b)). 63 Consequently, the
________________________
but did not apply in casu because no significant transfer of tangible assets between the undertakings took place.
For South African authority refer to the Tekwini case (fn 12).
61 See Aviation Union of South Africa & others v South African Airways ( Pty) Ltd, LGM SA Facility Managers
and Engineers ( Pty) Ltd & others [2008] 1 BLLR 20 (LC).
62 See para 28: ‘At the outset, I must point out that I am of the view that, if regard is had to the purpose of the
section 197 of the LRA which is to protect the work security of employees when a business is transferred as a
going concern (although I am not ignoring the right and legitimate need employers have in promoting the
efficiency or productivity of their businesses), that preference should be given to a more liberate interpretation
rather than a conservative or narrow interpretation of section 197 and that the interpretation applied to section 197
should lean in favour of protecting the rights of employees affected by the often harsh effects of a transfer as a
going concern’.
63 At para 31: ‘Although I am in agreement with the sentiment expressed that section 197
should be read so as to protect the work security of employees affected by a business transfer, I am of the view that
it is clear from section 197 of the LRA that the legislature had only contemplated a transfer from the old employer
to the new employer and nothing else (the so-called first generation transfer). The intention of the legislature
appears to me to be readily apparent from the clear wording of section 197(1)(b). Consequently, I am of the view
that there does not appear any necessity to read into section 197 words that are not there’ (our emphasis). (It is
apparent that contrary to the express finding that the wording does not allow such an interpretation, the court itself
refers to s 197(1)(b) as providing for a transfer from the old employer to the new employer, and not a transfer by
the old employer to the new employer, on several occasions in the judgment, eg: ‘Section 197 will apply where a
“business” is “transferred” from one employer to another employer “as a going” concern’ (at para 24)).
382 Law@work
court was not willing to grant relief to the applicants. The court did, however,
First, the court seemed to accept that if the services were to have been trans-
apply;64 secondly, the court also stated that Zikhethele is authority for the proposition that where the second
business is so closely aligned to the first business that it is in fact identical, section 197 may be applicable in a
second-generation contracting out. 65 The Labour Appeal Court rejected the finding of the Labour
Court.66 The ultimate question whether judges can ‘rewrite’ a statutory provision
was answered positively by the Labour Appeal Court having regard to the fact
that the purpose of the section was clear and certain, while the court a quo refused to do so having regard to the
fact that the wording of the section was express and unambiguous. Not surprisingly, the judgment was taken on
appeal
and the Supreme Court of Appeal preferred the outcome and reasoning of the
court of first instance. 67 The court relied on what was held to be the impermissible distortion of the ordinary
meaning of a word and a wrong finding regard-
The ‘purposive’ interpretation adopted by the Labour Appeal Court was aimed, it
said, at preventing abuse. This concern on the part of the court is misconceived
because there is, as SAA argued, no suggestion of any abuse in the present case.
And even if we accepted that such abuse is possible, that is no reason to distort the plain meaning of the section.
We accordingly conclude that the Labour Appeal Court erred in adopting an approach to the interpretation of
section 197
which is at odds with the ordinary meaning of the words chosen by the Legislature.
On a further appeal to the Constitutional Court rejected this approach. In Aviation Union of South Africa & another
v South African Airways ( Pty) Ltd & others, 69
the court held that section 197 should be purposively interpreted. As a result the ________________________
65 At para 32. The court stated that this would be a situation ‘akin to the so-called piercing of the corporate veil’.
66 Aviation Union of SA obo Barnes & others v SA Airways ( Pty) Ltd & others [2010] 1 BLLR 14
(LAC). The court per Zondo JP stated (at para 28) that a literal interpretation of the section: ‘would render section
197 for all practical purposes worthless since any employer who wishes to transfer his business without the
workers as a going concern could do so by dumping the workers with another party through an outsourcing or
lease arrangement and thereafter transfer his business as a going concern to someone else without the workers’.
The court per Davis AJA also held that an examination of the word ‘by’ linguistically does not justify an assertion
that the literal interpretation of section 197 precludes any possible extension of protection to second-generation
transfers or that ‘the transferor has to play an immediate, positive role in bringing about the transfer’ (at para 56).
However, according to the court the original contract between LGM and SAA in casu constituted positive action
on the part of the old employer even if the word ‘by’ was indeed taken at face value and the section was
interpreted narrowly (at para 61).
67 South African Airways ( Pty) Ltd v Aviation Union of South Africa & others [2011] 2 BLLR 112
(SCA).
69 Fn 6.
383
majority of the court (per Yacoob J) emphasised that the substance rather than
In determining whether contracting out amounts to the transfer of a business as a going concern, the substance of
the initial transaction, more specifically whether what is outsourced is a business as a going concern rather than the
provision of an outsourced service remains significant during subsequent transfers. If the outsourcing institution
from the outset did not offer the service, that service cannot be said to be part of the business of the transferor.
What happens here is simple contracting out of the service, nothing more, nothing less . . . There is no transfer of
the business as a going concern. The outsourcee is contracted to provide the service, and becomes obliged to do so.
And it is the outsourcee’s responsibility to make
staff, letting appropriate property for office or other work space, and acquiring fixed assets, machinery and
implements, computers, computer networks and the
like. Cancellation of the contract in these circumstances entails only that the outsourcee forfeits the contractual
right to provide the service. The whole infra-
structure for conducting the business of providing the outsourced service would
As stated above, in the more recent decision of Rural Maintenance ( Pty) Ltd v Maluti-A-Phofung Local
Municipality,71 the Constitutional Court upheld the principle that what is capable of being transferred is the
business that supplies the service, and not the service itself.
This principle was applied by the Labour Court in a case in which a retailer
invited contractors (including the incumbent contractor) to tender for the pro-
vision of security services. The incumbent contractor failed to win the tender
and alleged that its employees’ contracts had transferred to the successful
bidder in terms of section 197. The court held that there was no transfer for the purposes of section 197 only
because one service provider had been substituted for another. It remained open to the incumbent contractor to
continue with
viously been outsourced by the university to a private contractor.73 When as a result of student pressure the
university decided to insource the service, it also decided that a new model would be implemented in terms of
which most
security guards would be employed by the university with a new service pro-
vider to assume managerial responsibility for the security division. The outgoing contractor claimed that its
employees were transferred to the university in terms of section 197. The Labour Appeal Court held that section
197 did not apply
since on the facts, the business of providing security at the campuses comprised
more than a group of guards – the management, equipment and strategy with
________________________
71 Fn 30.
72 SVA Security (Pty) Ltd v Makro (Pty) Ltd – a Division of Massmart & others (2017) 38 ILJ 2376
(LC).
73 Imvula Quality Protection (Pty) Ltd v UNISA [2018] 12 BLLR 1151 (LAC).
384 Law@work
regard to their responsible deployment was not taken over by the university. The
court confirmed that the application or otherwise of section 197 was a fact-
driven enquiry, and that to constitute a transfer as a going concern, not all the
In summary, the mere termination of a service contract does not trigger the
least of some of the means to do the work they performed for the outgoing
contractor. The principles developed by the courts relating to the application of section 197 must be applied –
comparative law (and especially European and
English law) provides useful guidance at most, but section 197 must be applied
The South African courts have emphasised that employers cannot rely on sec-
tion 197 as a stratagem to transfer employees from its employ where there is no
business being transferred or where the employer simply wishes to utilise the section to divest itself of a number of
employees. In NUMSA v Staman Automatic
The Labour Court held that there was no transfer of a business for the purposes
of section 197. Similarly, in National Union of Metalworkers of SA obo Matlala & others v Active Distributors76
the employer purported to include in the transfer of
its administration and industrial relations functions four employees who had
nothing to do with either function. The arbitrator found that the employer’s
In Franmann Services ( Pty) Ltd v Simba ( Pty) Ltd & another, 77 the Labour Court
held that the termination of a service agreement with a labour broker, when ________________________
74 See also Sisonke Partnership t/a DSV Healthcare v Medtronic SA (Pty) Ltd & others (2017) 38 ILJ 2812 (LC)
where the Labour Court held that there was no s 197 transfer in circumstances where a company had internalised a
service previously outsourced to a logistics company. What was handed over on insourcing was ‘nothing like an up
and running
warehouse operation’.
77 (2013) 34 ILJ 897 (LC). With regard to a ‘service’ agreement the court stated (at para 18) that ‘there will be no
transfer of a business as a going concern for the purposes of s 197 only on account of the termination of the
contract . . ., and the appointment of the second respondent to provide the same or a similar service. This is a case
where . . ., an outsourcee is contracted to provide a service, and becomes obliged to do so in circumstances where
it is the outsourcee’s responsibility to make appropriate business infrastructure arrangements, and in particular, the
securing of staff. In relation to the applicant, cancellation of the contract between it and the first respondent entails
only that the applicant’s contractual right to provide the service terminates in circumstances in which the whole
infrastructure for conducting the business of providing temporary labour will ordinarily remain the applicant’s
property’.
The transfer of undertakings
385
transferred and no employees offered employment with the new service pro-
Although a merger could fall within the scope of section 197, the absence of
facts or evidence to the effect that the merger of two businesses resulted in the transfer of a going concern could
prevent section 197 from being applied. 78
Because commercial transactions are varied, questions may still arise on the
basis of the particular set of facts. Most recently the Labour Court had an op-
terms of a franchise agreement. On appeal, the court stated that ‘Great care
operation’.79 The court paid much attention to the nature of franchise agreements. The same result (ie, a finding
that, having regard of all relevant facts,
section 197 does not apply) may well have been achieved by the proper appli-
going concern. 80 That approach would leave the door open for section 197 to apply only when the facts demand
its application rather than categorise certain types of transfer (eg, franchise contracts) as generally incapable of
trigger-
otherwise agreed:
l the new employer is automatically substituted for the old employer in respect
the transfer;
________________________
78 Sanlic House of Locks ( Pty) Ltd v Strydom (2014) 35 ILJ 2287 (LC). The applicant sought to enforce a
restraint-of-trade agreement.
79 PE Rack 4100 CC v Sanders & others (2013) 34 ILJ 1477 (LAC) at para 21.
80 See, in particular, para 24: ‘The franchise agreement gives rise, in effect, to a joint venture (JV) business
between the franchisor and franchisee. In terms thereof, there is a quid pro quo for the right to carry on the
franchise business and the concomitant use of the franchisor’s assets by the franchisee (including, in this matter, an
entitlement to occupy the premises leased by the franchisor) in the form of a franchise fee and/or a share of the
profits. Upon the termination of this franchise agreement, the JV business dissolves, with the franchisor retaining
the assets. The franchisee’s right to carry on the franchise business comes to an end and concomitantly the business
of the franchisee come to an end’.
81 In Sanders v Cell C Provider Co ( Pty) Ltd & others (2010) 31 ILJ 2722 (LC) eg the franchisor terminated the
franchise agreement with the old franchisees and entered into a similar contract with the new franchisee. The court
held that in accordance with a purposive interpretation of s 197 the literal meaning of s 197 does not safeguard the
jobs of employees or give effect to the constitutional right to fair labour practices or to the aims of the LRA.
The court held that the franchisor was effectively outsourcing its business to franchisees and later changing the
entity to which it outsourced its business. Although it was entitled to do so, it could not do so in a manner that
detracted from the rights of employees affected by the decision.
386 Law@work
l all the rights and obligations between the old employer and an employee
at the time of the transfer continue in force as rights and obligations be-
includes:
the employee’s contract continues with the new employer as if with the old
employer.84
Section 197 is not inflexible and specifically provides for the agreed variation of some or all of its consequences.
85 The agreement must be in writing and must
be concluded between the old employer, the new employer or both of them
acting jointly on the one hand, and a consulting party defined by section 189(1)
on the other hand.86 Section 189 establishes the following hierarchy of consulting parties:
agreement;
________________________
82 In Edgars Consolidated Stores Ltd v SACCAWU & others [2010] 12 BLLR 1282 (LC) it was confirmed that the
new employer is bound by arbitration awards that were binding on the old employer regardless of how long before
the transfer such awards were issued. This is only subject to the proviso that the claim should not yet have
prescribed. See also Fleet Africa ( Pty) Ltd v Nijs [2017] 5 BLLR 450 (LAC).
83 See NUMSA & another v Success Panelbeaters & Service Centre CC t/a Score Panelbeaters and Service
Centre (1999) 20 ILJ 1851 (LC), where the Labour Court held that the transferee employer was obliged to engage
an employee dismissed by the transferor employer, but reinstated after the sale of the business to the transferee.
This judgment concerned the application of s 197 in its pre-2002 form (see also Anglo Office Supplies ( Pty) Ltd v
Lotz (2008) 29 ILJ 953 (LAC)) . Section 197(2)(c) removes any doubt that a reinstatement order granted against
the transferor employer in respect of any dismissal effected prior to the transfer can be enforced against the
transferee. See also Ngema & others v Screenex Wire Weaving Manufacturers ( Pty) Ltd & another (2013) 34 ILJ
1470 (LAC) where it was held that the new employer assumes liability for all the actions of the old employer in
relation to employees and that employees seeking to enforce an order for reinstatement must do so against the new
employer ( in casu, the new employer should have been joined before judgment was handed down).
84 See Keil v Foodgro ( a Division of Leisurenet) [1999] 4 BLLR 345 (LC) where the court rejected the transferee
employer’s application of LIFO as a selection criterion for retrenchment in circumstances where the employer had
failed to take into account service with the transferor employer.
85 S 197(2).
86 If this is not the case, the agreement will be invalid and the employee(s) will transfer on the same terms and
conditions of employment. See Douglas & others v Gauteng MEC for Health [2008] 5 BLLR 401 (LC); SAMWU
& another v SALGA & others [2010] 8 BLLR 882 (LC).
387
forum and any registered trade union whose members are likely to be af-
fected; or
that purpose.87
may allow employees to object and to remain in the employ of the old employer.
This course of action may, however, be to the detriment of the employee when
dismissal.88
that all rights and obligations continue to remain in force as against the new
employer, 89 the new employer need not apply identical terms and conditions of employment to those of the
previous employer after the date of the transfer. 90
Section 197(3) provides that it is sufficient for the new employer to employ the
transferred employees on terms and conditions that are ‘on the whole not less
favourable’ to them than those on which they were employed by the old em-
ployer. However, this provision does not apply to employees if any of their con-
of the section suggests that even if a single term and condition of employment
is regulated by a collective agreement, the ‘on the whole not less favourable’
________________________
87 There is no general duty to consult – see Banking Insurance Finance & Assurance Workers Union v Zurich
Insurance Co Ltd (2014) 35 ILJ 2146 (LC).
88 In Krishna v University of KwaZulu-Natal (2012) 33 ILJ 1688 (LC), eg, the court held that an employee who
was transferred to the National Health Laboratory Service from a labora-tory service operated by her university on
behalf of the national department had not been dismissed, as she claimed, by reason of the university’s operational
requirements.
Her contract had been transferred when the business was transferred. Her transfer had taken place with her
consent, and she had been aware that a possible alternative to refusing the transfer was her retrenchment. The court
held that an employer acts properly when it informs an employee of his or her possible dismissal for operational
requirements if he or she were to object to the transfer – it is not a threat or a form of constructive dismissal. See
also ch 10 at para 9 ‘A transfer contemplated by section 197’.
89 See Securicor ( SA) ( Pty) Ltd v Lotter (2005) 26 ILJ 1029 (E) where it was held that in a case where s 197
applies to a transfer, any restraint of trade is also transferred as part of the goodwill of the undertaking and the
employee remains bound to same. In Experian SA ( Pty) Ltd v Haynes & another (2013) 34 ILJ 529 (GSJ) the
court confirmed that a new restraint of trade could be concluded with the transferee and that that agreement would
not fall foul of s 197(2).
90 Transferees must, however, follow the correct procedure to change terms and conditions
– in MISA/SAMWU obo members v Madikor Drie ( Pty) Ltd [2006] 1 BLLR 12 (LC) it was held that the new
employer would act unfairly in changing unilaterally the severance pay policy after a transfer under s 197.
388 Law@work
197 does not preclude an employee from being transferred onto a pension,
provident, retirement or similar fund other than the fund of which the employee
was a member prior to the transfer, provided that the criteria in section 14(1)(c)
Unless otherwise agreed, the new employer is bound by any arbitration award
made in terms of the LRA,92 any binding agreement and any collective agreement that has been extended in terms
of section 32 of the Act.
agreement. Whatever the reasons for this practice might be, for the purposes of
section 197, the relevant date is the day on which the transaction is complete,
and the new employer takes unencumbered transfer. If the transaction is sub-
ject to suspensive conditions, the conditions must have been fulfilled.93 This pre-
vents the old and new employers from backdating a transfer, thus eroding the
12-month joint and several liability imposed on the old employer in respect of
a business transfer falling within the ambit of section 197 is effected. In any
agreement to transfer a business, the old employer must agree with the new
________________________
91 Act 24 of 1956.
92 See the Edgars Consolidated Stores Ltd case (fn 82). See also High Rustenburg Estate (Pty) Ltd v National
Education Health & Allied Workers Union obo Cornelis & others (2017) 38 ILJ
1758 (LAC) where the Labour Appeal Court held that the new employer was bound by an arbitration award
binding on the old employer immediately before the transfer even where the award was reversed and substituted by
the Labour Court in review, after the transfer.
93 See Van der Velde v Business and Design Software ( Pty) Ltd & another ( 1) [2006] 10 BLLR
995 (LC), particularly at 1001–1002, where the court set out the reasons why the effective date of a transaction
affected by s 197 could not be fixed by the employer parties, particularly when they sought to make the transaction
retrospective. (The finding was upheld in Business & Design Software ( Pty) Ltd & another v Van der Velde (2009)
30 ILJ 1277
(LAC).) This does not prevent them from agreeing to the retrospectivity of the transaction for lawful purposes
unrelated to s 197. See also AST Holdings ( Pty) Ltd v Roos [2007] 10 BLLR
891 (LAC).
94 These are liabilities for leave pay, severance pay and other payments that have accrued to the employee but
have not been paid (see s 197(7)(a)).
389
l the severance pay that the transferred employees would have received had
they been dismissed by the old employer for a reason related to its oper-
l any other payments that have accrued to the transferred employees but
The old employer and the new employer are then required to conclude an
agreement in writing to specify which of them is liable for the above amounts. If they agree to apportion that
liability, the terms of the apportionment must be
agreed. The agreement must further specify the provisions made for the pay-
receive that payment. The terms of the agreement must be disclosed to each
employee who is transferred and the old employer must also take ‘any other
equate provision is made for any obligation that may arise, in respect of the
The old employer is jointly and severally liable with the new employer to any
the employee is dismissed for a reason related to the new employer’s oper-
ational requirements or its liquidation or sequestration. The old employer is only able to escape this liability if it is
able to establish that it has complied with the provisions of section 197. This presumably refers in particular to the
obligation to take reasonable measures to ensure that adequate provision is made for the
vision is made for consultation regarding a proposed transfer, its timing, effect or consequences. There is only a
limited duty to disclose relevant information,
found in section 197(6)(b), namely in those instances where the transferor or transferee wishes to negotiate an
agreement as contemplated in section 197(2). The
businesses.
95 S 197A(1) and Hydro Colour Inks ( Pty) Ltd v CEPPWAWU [2011] 7 BLLR 637 (LAC). The discussion at
paras 3–5, above, is also applicable in these instances: ‘the same principles would apply in determining whether a
business has been transferred as a going concern for the purposes of section 197A, save for the consequences of
such transfer. Furthermore, section 197(1) quoted above, defines the words “business” and “transfer” as having the
meaning in both sections 197 and 197A. There is no indication in the Act that the two words in the same section
were intended to have different meanings depending on the circumstances’ (at para 13).
390 Law@work
insolvency.96 Section 197A provides that despite the Insolvency Act,97 if a transfer of a business takes place in
circumstances where the old employer is insolv-
In this instance, there is no assumption by the new employer of any of the old
employer’s obligations. However, the transfer does not interrupt the employee’s
continuity of employment. Any obligations that flow from this, for example sever-
Most of the reported judgments dealing with section 197 concern urgent appli-
cations where, in effect, the Labour Court has been asked to issue a declara-
tory order to the effect that a transaction is affected by the section. The 2002
by a transfer. The first is a claim for an automatically unfair dismissal, where the
reason for dismissal is the transfer itself, or a reason related to the transfer.99 The second amendment was to
include in the definition of a dismissal circumstances
________________________
96 In the Hydro Colour Inks case (fn 95) the Labour Appeal Court held that s 197A was in fact applicable because
‘It is not a matter of the appellant picking up “bits and pieces” of a dying business for himself to start a new
business. Such a finding would not be a reasonable one given the extent of the overlap between the two entities’ (at
para 16). The transferee therefore stepped into the shoes of the transferor and was bound to remunerate the
employees who had obtained reinstatement orders against the old employer as they had automatically transferred
to the new employer. However, the transferee was not obliged to take over other rights and obligations incurred by
the transferor before its winding-up.
97 Act 24 of 1936.
98 There is a conflict between s 197 and the amended s 38 of the Insolvency Act. This is because of the short
period (45 days) for which contracts of employment are suspended, before termination takes effect. It is doubtful
whether transfers of insolvent businesses, or parts thereof, will be effected that quickly. S 38(10) nevertheless
provides that, subject to s 197A, employment contracts terminate 45 days after the date of the appointment of a
trustee. The problem that therefore persists, pertains to instances where contracts are terminated after 45 days, in
terms of s 38, but where the business is actually transferred as a going concern after such terminations. See
Boraine and Van Eck ‘The New Insolvency and Labour Legislative Package: How Successful was the
Integration?’ (2003) 24 ILJ 1840
and Van Eck, Boraine and Steyn ‘Fair Labour Practices in South African Insolvency Law’
99 See s 187(1)(g) of the LRA. See also Smit ‘A Chronicle of Issues Raised in the Course of Dismissals by the
Transferor and/or Transferee in Circumstances Involving the Transfer of an Undertaking’ (2005) 26 ILJ 1853. This
topic is dealt with in more detail in ch 10 at para 9 ‘A transfer contemplated by section 197’.
391
The Constitutional Court recently held that a court may grant relief and make
ment that had not yet been implemented (ie, a transfer that had not yet occur-
red).101 The court explained that another view would be unfair to the workers
because it would perpetuate the very mischief that the legislature sought to
avoid in the first place. 102 A court may therefore make a declaratory order and declare that a transaction falls or
will fall within the scope of section 197. 103
________________________
100 See s 186(1)(f) of the LRA. This topic is dealt with in more detail in ch 9 at para 2.1 ‘The statutory meaning of
“dismissal”’, especially at para 2.1.6 ‘Transfer of a business’.
101 Aviation Union of SA & another v SA Airways ( Pty) Ltd & others (fn 6) at para 116. The court stated (at para
115) that ‘It is true . . . that section 197(2) says that the consequences mentioned should follow if a transfer of a
business as a going concern occurs between the old employer and a new one. But that provision cannot be said to
mean that a transfer must have taken place before any court proceedings can be instituted. As is demonstrated here,
the dispute about whether an agreement provides for the transfer of a business arises mostly when two
circumstances are present: the workers contend that the agreement does entail the transfer of a business as a going
concern, and one or other parties to the transfer maintains that the agreement does not contemplate the transfer of
employees. That dispute is justiciable and the parties are entitled to have it determined by the application of law in
terms of section 34 of the Constitution’.
102 At para 117.
14
right to organise
Page
1 Introduction
......................................................................................................
395
2 Protection of the right to freedom of association in terms of the LRA ...... 396
3 Exceptions to the right to freedom of association in terms of the LRA ...... 400
5 Requirements for unions to qualify for statutory organisational rights ....... 404
5.2
Majority
unions
..........................................................................................
408
6.1
Access
to
the
workplace
.........................................................................
410
393
395
1 Introduction
and has historically been linked to other democratic rights, such as freedom of
expression, freedom of assembly and the right to dignity. 1 The preamble to the ILO’s Constitution records that the
principle of freedom of association is among
the means of improving the conditions of workers and ensuring peace. In 1944,
the ILO adopted the Declaration of Philadelphia, which affirms the principle of
the ILO adopted the Declaration on Fundamental Principles and Rights at Work,
membership of the ILO, to promote, recognise and realise the principles that
are the subject of core conventions, including the principle of freedom of asso-
ciation.2 The right to freedom of association is also the subject of many other
international human rights instruments. For example, section 20(1) of the Univer-
sal Declaration of Human Rights 1948 states that each individual has the right to freedom of peaceful assembly
and association.
the principal source of international obligations in relation to the right to freedom of association in the world of
work. Article 2 of the Convention stipulates
that ‘Workers without distinction shall have the right to establish and, subject
own choosing without previous authorisation’.3 The Convention sets out a number of additional guarantees,
including the rights to organise administration and activities and to formulate programmes, in full freedom, and
without interference by the state.
The LRA protects the right to freedom of association and the right to organise
in two ways. First, Chapter II of the Act extends specific rights and protections to workers and to employers.
Secondly, Chapter III extends organisational rights to
rights strengthen and support trade unions, and in doing so promote the institu-
unions to recruit members, to interact and engage with them, and to maintain
bargaining.5
________________________
1 Refer to ch 2.
3 South Africa ratified this convention in 1996. South Africa also ratified Convention 98 on the right to organise
and collective bargaining in 1996.
5 Ss 12–16 of the LRA list the (statutory) organisational rights available to unions.
396 Law@work
of the LRA
The right to freedom of association is the cornerstone of collective bargaining. It is a precondition for the
realisation of a number of other rights, including the
Chapter II of the LRA provides that employees, employers, trade unions and
employers’ organisations7 have the right to freedom of association. The LRA grants protection to the right to
freedom of association without resorting to the criminalisation of infringements of that right, as did the 1956 LRA.
The scope of the main provisions of Chapter II of the LRA are summarised
below. The first part of the chapter deals with employee rights, defined for this purpose to include job seekers:
l Every employee has the right to form a trade union, 8 to join a union, to participate in the lawful activities of the
union as well as to be a union office-
bearer or official. 9
________________________
6 The right to freedom of expression is another right that is intertwined with the right to freedom of association.
O’Regan J stated in SANDU v Minister of Defence & another 1999 (4) SA 469 (CC) that ‘[t]he Constitution
recognises that individuals in our society need to be able to hear, form and express opinions and views freely on a
wide range of matters’ (at 477D at para 7). This view is in agreement with the sentiments of the Constitutional
Court in the earlier matter Case & another v Minister of Safety and Security & others 1996 (3) SA 617 (CC):
‘[f]reedom of expression is one of a “web of mutually supporting rights” in the Constitution. It is closely related to
freedom of religion, belief and opinion (s 15), the right to dignity (s 10), as well as the right to freedom of
association (s 18), the right to vote and to stand for public office (s 19) and the right to assembly (s 17). These
rights taken together protect the rights of individuals not only individually to form and express opinions, of
whatever nature, but to establish associations and groups of like-minded people to foster and propagate such
opinions’ (at 631 at para 27).
7 In the LRA (s 213) a trade union is defined as an association of employees whose principal purpose is to regulate
relations between employees and employers, including any employers’ organisations. An employers’ organisation
means any number of employers associated together for the purpose, whether by itself or with other purposes, of
regulating relations between employers and employees or trade unions. More broadly speaking, trade unions and
employers’ organisations are established to further and defend the interests of workers and employers respectively.
8 In ‘Kylie’ v CCMA & others 2010 (10) BCLR 1029 (LAC) the court stated that if a trade union is formed to
further the commission of a crime, the Registrar would be entitled to refuse to register it. So sex workers may form
and join unions, but the LAC confirmed that ‘although sex workers would, as employees, be entitled to form and
join trade unions, they would not be entitled to participate in any activities, including collective bargaining, that
amounted to the furthering of the commission of crime’ (at para 60).
9 S 4 of the LRA. Sections 4(2)(a) and 5(2)(c), and in particular the term ‘lawful activities’, were given a broad
interpretation by the Constitutional Court in National Union of Public Service & Allied Workers on behalf of Mani
& others v National Lotteries Board (2014) 35 ILJ
1929 (CC) so as to exclude only ‘illegal activities and activities that constitute contraventions of the law’. Even
where employees are not covered by the LRA (s 2 of the LRA) the constitutional right to freedom of association
still applies. In SA National Defence Union v continued on next page
397
against any interference by any employer, union or any other party. Employ-
ees and work seekers are also protected against discrimination based on
employment:
¾ may not be a member of a trade union or workplace forum;
anticipated:15
________________________
Minister of Defence & others [2007] 9 BLLR 785 (CC) it was held, in considering SANDU’s challenges to the
individual regulations (General Regulations of the South African National Defence Force and the Reserve of
1999), that SANDU’s challenge to the regulation that prohibits union members from participating in union
activities while undergoing training or participating in military exercises must be refused. The court held that the
Defence Force can justifiably limit union activities in instances when such activities may interfere with the
military’s ability to carry out its constitutional obligation to protect our country. (Art 9 of ILO
Convention 87 of 1948 permits that the extent to which its guarantees must apply to the armed forces and the
police be determined by national laws or regulations.) Similarly, regarding the attack on reg 37(1) (which provides
that ‘no member may participate in the activities of a military trade union while participating in a military
operation’) and reg 37(2) (which provides that no union may consult or liaise with members whilst such members
participate in military operations, exercises or training) both were found to be legitimate limitations on the rights
contained in both s 23(2)(b) of the Constitution, which entrenches the right to participate in union activities and s
23(4), which entrenches the right of a union to determine its own programmes and activities (at para 96).
12 S 5(1) of the LRA. Note that while employees enjoy a right to strike, employers (only) have recourse to a lock-
out. This distinction is relevant for purposes of s 7 (see fn 24 below).
398 Law@work
by the Act. 17
In National Union of Metalworkers of SA obo members v Transnet Soc Ltd, 18 the Labour Court considered the
phrase ‘lawful activities of a trade union’ in relation to a ban imposed by the employer on the wearing of union T-
shirts at work. The
court held that the wearing of union T-shirts in the workplace was a form of pro-
motion, and recruiting new members and as such, a component of the union’s
ployer, the imposition of a union T-shirt ban with the underlying threat of a form of prejudice in the form of
disciplinary action thus constituted a breach of section 4(2) and section 5(2)(c)(iii).
There is some uncertainty regarding the extent to which the right to freedom
cluded. The positions held by senior managers may place them in a situation
In IMATU & others v Rustenburg Transitional Local Council19 the Labour Court held that the LRA (as well as the
Constitution) grants an unrestricted right to
freedom of association. The court held that senior managerial employees may
ation by senior executives is not unlimited. In the Rustenburg case the court remarked:
The employee must still do the work for which he is engaged and observe the sec-
ondary duties by which he is bound under the contract. If he does not, he can be
disciplined for misconduct or laid off for incapacity . . . The senior employee who becomes a union leader must, in
consequence, tread carefully, especially in his
mation secret; he must recuse himself from every discussion within the union to
which such information might be relevant either directly or indirectly lest he convey, merely by his conduct or
simply by silence, facts that the employer would
prefer the union not to know. He can, I believe, participate in discussions on strategy to which information given to
him in confidence is irrelevant, since this is
________________________
16 S 5(3) of the LRA. A settlement agreement between the parties to a dispute is not prohibited by this section.
399
implicit in his right to participate in trade union activities, but he must guard himself even from exercising a
judgment on the basis of such information. The delicacy of discretion that this entails makes his position an
unenviable one, but the Act gives him the right to enter this minefield if he wishes. 21
As noted above, the LRA prohibits all forms of victimisation.22 This protection extends to employees regarding
membership of and participation in the formation or lawful activities of a workplace forum.
l the right to form an employers’ organisation, to join it, to participate in its lawful activities, to elect any office-
bearers or officials and, where a natural
l protection against victimisation, which protection is similar to that afforded to employees and job seekers in
section 5. 24
The right to freedom of association also has a collective component. The LRA
interference;
________________________
21 At paras 17–19. In the later matter of NUMSA obo Sithole v Highveld Steel & Vanadium Corporation Ltd
[2003] 10 BALR 1117 (MEIBC) the principle in Rustenburg was endorsed.
The arbitrator held that the right to freedom of association entitles supervisory employees to stand for election as
shop stewards. A warning was again included: that this in no way exempts these employees from their duties
which they may have under their contracts of employment. Senior employees therefore have to avoid a conflict of
interests. The principle established by the Rustenburg judgment was also endorsed in FAWU & another v The Cold
Chain [2007] 7 BLLR 638 (LC).
22 In Kroukam v SA Airlink ( Pty) Ltd [2005] 12 BLLR 1172 (LAC) the Labour Appeal Court held that the
dominant reason for the dismissal of the employee, a pilot and chairman of the pilot’s union, was the role that he
played in representing the interests of the union and its members. The court held that ‘In my view it would
undermine the protection that the Constitution and the Act seek to confer on union officials or representatives and
employees against victimisation for the exercise of their constitutional and statutory rights to accept a proposition
the effect of which would be that an employer may destroy a trust relationship by victimising an employee and
then benefit from such illegitimate and unlawful conduct . . . An employer who acts in breach of such fundamental
rights must, as a matter of policy, not be allowed to benefit from his unacceptable conduct’ (at para 94).
24 S 7 of the LRA. Since an employer does not have a right to lock-out, it does not enjoy the protection of s 7 in
regard to its recourse to a lock-out. One consequence of this regulation is the limitation on the use of replacement
labour in the event of an offensive lockout (s 76(1)(b)).
26 S 8 of the LRA.
400 Law@work
l the establishment and joining of federations and the participation in its law-
l affiliation with and participation in the activities of international organisations, including the ILO.
The Labour Court adjudicates disputes about the right to freedom of association
after attempts to conciliate have failed. The party alleging a breach of the right to freedom of association must
establish the facts of the conduct. The burden of
proof then shifts to the party denying that the protection conferred by the Act
of the LRA
can be found in the closed shop and agency shop agreements recognised
not unfair to dismiss an employee who refuses to join a trade union party to the
closed shop agreement, or who is refused membership of that trade union or
who is expelled from such trade union. 31 A closed shop agreement therefore ________________________
27 See SA National Defence Union v Minister of Defence & others (fn 9) where it was held that a regulation that
provided that a military trade union ‘shall not affiliate or associate with – (a) any labour organisation, labour
association, trade union or labour federation that is not recognised and registered’ was not unconstitutional. The
court stated that given the importance of the constitutional requirement of political neutrality on the part of the
SANDF, it is not impermissible for the regulations to impose a limit on military trade unions from associating with
other unions. The court emphasised the fact that international labour law recognises that the rights of military trade
unions, if permitted to exist at all, may be regulated by national legislation. The court also held that what
constitutes ‘association’
for the purposes of the regulation needs to be considered in the light of the constitutional principle underlying both
s 199(7) of the Constitution and reg 13(a). The court therefore interpreted ‘association’ as meaning a relationship
between a military union and another union which might give rise to a suggestion that the SANDF is not politically
neutral. The court held that the limitation on s 23(4)(c), found in reg 13(a), is justified in light of the special
circumstances of the military (at para 88). This affirms that any limitation on the right to freedom of association
should be construed as narrowly as possible.
30 S 26(1) of the LRA. The union must be registered and two or more unions can act jointly to have a majority of
employees employed in a workplace or sector or area as its members (s 26(2)).
31 S 26(6) of the LRA. Any refusal of membership or expulsion from a trade union party to a closed shop
agreement must, however, be in accordance with the constitution of that union and the reason for the refusal or
expulsion must be fair (s 26(5)). Trade unions will be penalised if they act contrary to this stipulation – s 26(9)
states that if the Labour Court continued on next page
401
union that is the beneficiary of the agreement, but it requires the contribution by non-members of an ‘agency fee’,
to that union, as a condition of employment.
Closed shop and agency shop agreements can only be described as excep-
tions to freedom of association if one accepts that the right to associate and
the right not to associate are not inseparable elements of a single concept. In
other words, one must ask whether the positive right (the right to associate) and the negative right (the right not to
associate) are two halves that make up a
whole (the right to freedom of association). If so, any limitation of the right to freedom not to associate must be
justifiable in terms of the limitation clause,
section 36 of the Constitution. There is, however, little agreement on this ques-
right to join a trade union33 and possibly of their fundamental right to freedom of
association [s 18 of the Constitution]. In the event, no challenge has thus far been mounted and the question has
yet to be answered definitively by the courts.34
The first question is whether, in fact, the closed shop provision does limit the right to freedom of association in a
constitutional sense. This involves examining whether any formal limitation of the above rights by a closed shop
agreement is outweighed by its promotion of other basic rights contained in the Constitution, no-
tably the right of trade unions to engage in collective bargaining [s 23(5)]. Through
‘internal balancing’ of these related rights, it may be concluded that section 26 in a substantive sense reinforces
rather than limits those rights. If, on the other hand, it is found to be a limitation, the second question is whether it
can be justified in terms of section 36 of the Constitution . . . To pass this test, it would have to be shown that the
form of closed shop enacted by section 26 is ‘reasonable and justifiable in an open and democratic society based
on human dignity, equality and
freedom’, taking into account all relevant factors including the importance of the purpose of the limitation and its
nature and extent [s 36(1) of the Constitution]. 35
Both the Constitution and the LRA place the promotion of collective bargaining
high on the agenda and for this reason it may be, if ever challenged, that the
________________________
should decide that a dismissal is unfair because the refusal of membership of or the expulsion from a trade union
party to a closed shop agreement was unfair, any order of compensation that may be made in terms of ch VIII of
the Act must be made against the trade union concerned.
32 It becomes apparent that there is a conflict between the individual’s right to freedom of association and the
collective interests of unions to recruit as many members as possible in order to effectively bargain collectively
and to resort to industrial action, eg strikes, more effectively.
35 Ibid at 191–192.
402 Law@work
section 26 of the LRA contains several ‘checks and balances’ to safeguard the
In so far as the closed shop agreement is concerned, the first condition is that
only a representative trade union (in other words majority union(s)) can con-
clude such an agreement. In addition, a ballot must be held of the employees
to be covered by the agreement. In this ballot, two thirds of the employees who
vote must vote in favour of the agreement. The agreement must be a post-entry
closed shop agreement; in other words, the agreement may not require mem-
may be dismissed for not being a member of the trade union party, employees
who were already employed at the time that the closed shop agreement
comes into effect may not be dismissed for refusing to join the trade union party to the agreement. Employees who
refuse to join a trade union party on grounds
The LRA also sets conditions for the termination of a closed shop agreement.
The trade union party must conduct a ballot of the employees covered by a
nated, when the union receives a petition calling for the termination of the
(that is, one third of employees covered by the agreement, not one third of em-
ployees who voted for the agreement). However, three years must have elapsed
since the date on which the closed shop agreement commenced (or the last
ballot was conducted regarding possible termination of the agreement).39 In any ballot concerning the termination
of a closed shop agreement, a majority
of the employees who voted must vote in favour of termination of the agree-
than one, with majority support may conclude an agency shop agreement with
non-members who are eligible for union membership. This fee may not be higher
________________________
36 Ibid at 192.
37 This would include the subscription or levy being paid: to a political party as an affiliation fee; in cash or kind
to a political party or a person standing for election to any political office; or for any expenditure that does not
advance or protect the socio-economic interests of employees (s 26(3)(d)).
38 The employees that fall within the categories in s 26(7) may be required to pay an agency fee in terms of s 25.
A ‘conscientious objector’ may be described as a person who refuses to belong to a trade union ‘because his or her
moral and/or religious convictions prohibit him or her from associations with other persons in this manner or in
such organisations’
403
than the union’s membership fees and should be paid into a fund controlled by
to pay a double fee: membership fees to the minority union as well as the
‘agency fee’ (the agency fee is automatically, without any need for author-
does not require employees to become members of the trade union party to
the agreement, it could also amount to an infringement upon the right to free-
dom not to associate as improper pressure is exercised upon the employee with
Why are union security arrangements concluded? There are at least two an-
swers. First, unions and their members argue that so-called ‘free-riders’ should
pay their own way.42 Secondly, one of the LRA’s primary objectives is to promote a framework within which
employees and their trade unions can collect-
ively bargain in an orderly fashion, preferably on sectoral level.43 The existence of strong and independent unions
is vital to achieving this objective.
arbitration.44
The enjoyment of general civil liberties or civil and political rights in a society, including freedom of association,
is important for the effective exercise of trade union rights. It has been argued that there are four main aspects to
trade union
activity: the free election of representatives; the planning and implementation
of trade union operations; the preparation of statutes and regulations; and the
assets).45 ILO conventions require that authorities must refrain from any interference that would impede the
exercise of trade union activity.
________________________
41 In MATUSA v Central Karoo District Municipality [2019] 2 BLLR 159 (LC), a challenge by members of a
minority union to the validity of an agency shop agreement on the basis that they were liable for a ‘double fee’ was
dismissed. The court held that the members of the minority union remained ‘free riders’ (even though they paid
membership subscriptions to their own union) because the minority union did not contribute to the fruits of
collective bargaining between the employer and the majority unions to whom the agency fee was payable.
42 ‘Free riders’ are defined as: ‘employees in an establishment or other bargaining unit who benefit from improved
conditions of employment resulting from unions negotiating with the employer, but who refuse to join the union.
They are accused of accepting the protection and benefits won by the unions, while refusing to pay their share of
the costs of collective bargaining of the union by paying union subscription to the union’ (Barker and Holtzhausen
(fn 38) at 60).
45 Servais International Labour Law (ELL – Suppl. 374 (March 2011)) at 114–116.
404 Law@work
Chapter III of the LRA establishes various organisational rights for the benefit of trade unions which rights are
capable of enforcement against the employer:
(section 14);
l leave for trade union activities (sometimes referred to as time off) (section
15); and
In Hospersa and Zuid-Afrikaanse Hospitaal46 the arbitrator suggested that organisational rights are meant to
enable unions ‘to get their foot in the door’. Du Toit et al also state that organisational rights ‘are aimed at assisting
unions to build
up sufficient bargaining power to persuade employers to negotiate’.47 The main aim of organisational rights can
therefore be said to be the promotion of indus-
organisational rights
Not all trade unions qualify for organisational rights – not even all registered
unions are entitled to these rights. Only registered unions49 that are ‘represen-
tative’ may acquire organisational rights in terms of the LRA. In general terms,
the Act draws a distinction between unions that are merely ‘sufficiently repre-
place.50 Recall that while only certain unions qualify for these rights, nothing prevents a trade union from
obtaining organisational rights through other means,
including collective bargaining and industrial action. 51 This was confirmed in the
Constitutional Court’s judgment in NUMSA & others v Bader Bop ( Pty) Ltd & another.52
________________________
48 For a general overview of organisational rights refer to Mischke ‘Getting a Foot in the Door: Organisational
Rights and Collective Bargaining in terms of the LRA’ (2004) CLL 13(6) 51.
49 A trade union that has been deregistered is not entitled to organisational rights even where an appeal is pending
to the LAC. See UPUSA obo Members/Computicket [2010] 9
50 S 11 of the LRA.
51 However, if there is a collective agreement that already regulates the issue of organisational rights, s 65 of the
LRA bars the union from calling out a protected strike on the issue.
52 [2003] 2 BLLR 103 (CC). See also the discussion in para 5.1 ‘“Sufficiently representative”
unions’.
405
Representivity is determined with reference to the particular workplace where the trade union seeks organisational
rights, not to the unit within which it seeks to exercise those rights. Unless the context indicates otherwise, a
workplace is
defined as
reference to the particulars of the specific case.54 In Association of Mineworkers and Construction Union & others
v Chamber of Mines & others55 the Constitu-
tional Court refused to apply the definition literally and held that a ‘workplace’
is not the place where any single employee works; it is where the employees of
with location being relatively immaterial and functional organisation being the
more material signifier. The court upheld a finding that having regard to the
workplace rather than the individual mines at which the applicant union had a
majority.56
In OCGAWU & another v Volkswagen of South Africa ( Pty) Ltd & another,57 on account of the qualifier ‘unless
the context indicates otherwise’, it was held that a bargaining unit within an organisation may also be considered a
‘workplace’
for purposes of determining a claim to organisational rights. This is a crucial (and controversial) interpretation, as
it may otherwise be almost impossible for many
varied operation. However, the arbitrator in this case was not willing to find that different depots should be
regarded as independent workplaces. On the facts,
it was held that the employer’s entire operation was a single workplace. In
Communication Workers Union and Daily Dispatch58 it was held that a division of a newspaper publisher
constituted a separate workplace for the purpose of
obtaining and exercising organisational rights by a majority union. This was the
________________________
54 Disputes about a workplace may be referred to the CCMA for conciliation and arbitration (s 21(6)).
55 2017 (6) BCLR 700 (CC). The case concerned the extension of a collective agreement to members of a
minority union in the industry, but which represented a majority of employees at some individual mines. S 23(1)(d)
permits such an extension if the trade union parties to the agreement have as their members ‘the majority of
employees employed by the employer in the workplace’.
56 At paras 24–40.
57 [2002] 1 BALR 60 (CCMA). See also WESUSA/Isidingo Security Services [2007] 7 BALR 678
(CCMA).
406 Law@work
pany with 20 divisions throughout South Africa, and with its activities co-
In Democratic Union of Security Workers and Squires Foods ( Pty) Ltd t/a Morton’s59 it was held that a trade
union whose constitution limited its scope to
the security industry was not entitled to seek organisational rights within the hospitality industry. In other words a
union cannot exercise organisational rights on
For the purposes of Chapter III of the LRA, a ‘representative trade union’ is
defined to mean, unless there is an express reference to a majority union, a registered trade union that is
‘sufficiently representative’ of the employees employed by an employer in a workplace . A registered union may
act jointly with any one or more unions in order to qualify as ‘sufficiently representative’.
The Act does not stipulate what ‘sufficiently representative’ means, but unions
that are sufficiently representative are those unions that do not have as their
place. Even though the objective is to improve the position of unions in work-
places, labour relations must also be manageable for employers. The Act there-
fore provides that in the event of a dispute about whether a union is represen-
ployer to grant organisational rights to more than one registered trade union;
the nature of the organisational rights that the union wants to exercise, the
nature of the sector in which the workplace is situated as well as the organ-
isational history at the workplace or any other workplace of the employer.61
In earlier CCMA awards, it appeared that comparatively small unions would not
In more recent awards, the CCMA has been willing to fix lower thresholds, in
60 See also CEPPWAWU/Pop Snacks [2009] 11 BALR 1156 (CCMA) – the CCMA lacks jurisdiction regarding
the enforcement of organisational rights in terms of s 21 of the LRA where employees fall outside of the registered
scope of the trade union’s constitution.
62 Eg SACTWU v Sheraton Textiles ( Pty) Ltd [1997] 5 BLLR 662 (CCMA); OCGAWU v Woolworths ( Pty) Ltd
[1997] 7 BALR 813 (CCMA).
63 See Group 4 Falck ( Pty) Ltd v DUSWO [2003] 4 BALR 422 (CCMA); Organisation of Labour Affairs ( OLA)
v Old Mutual Life Assurance Company ( SA) [2003] 9 BALR 1052 (CCMA). In continued on next page
407
ment introduced in 2014 requires commissioners to take into account the com-
position of the workforce in the workplace and especially the extent to which
Unions that are sufficiently representative are afforded the following rights:
minority unions may acquire the organisational rights ordinarily reserved for ma-
jority unions. Section 21(8A) of the LRA empowers arbitrators to grant a registered trade union the right to elect
trade union representatives and to disclosure of
information if the union meets the ‘sufficient representativeness’ threshold and if no other union in the workplace
has been granted those rights. Any right
granted in terms of this section lapses when the trade union concerned is no
longer the ‘most representative’ trade union in the workplace. Section 21(8C)
collective agreement to which the employer and other unions are party any of
the rights referred to in sections 12, 13 and 15 provided that all parties to the collective agreement have been given
an opportunity to participate in the arbitra-
tion proceedings and that the union seeking the rights represents a ‘significant
provision was inserted to discourage employers and majority unions from fixing
action to try to secure organisational rights in a workplace. In NUMSA & others v ________________________
Group 4 Falck ( Pty) Ltd v DUSWO, the union membership fell radically as a result of employer restructuring.
Eventually the union had less than 3 per cent of the employer’s workforce in the province as its members, and only
1 per cent countrywide. The employer intended withdrawing the organisational rights enjoyed by the union on an
informal basis, even though it was prepared to grant to another union, with a mere 6 per cent of the workforce as
its members, s 12 and 13 rights. The commissioner took regard of the employer’s willingness to accord s 12 and 13
rights to the other union. The CCMA commissioner withdrew all organisational rights except for the s 12 and 13
rights, which rights were left intact for a period of four months to enable the union to increase its membership to 6
per cent. The following factors were considered: the difficulties in the particular sector (security) that unions faced
in organising; the extensive room for recruitment as only 23 per cent of the workplace had been organised; the
absence of consultation on the part of the employer; and the fact that the union’s representation diminished as a
result of employer restructuring, and not as a result of a fault on the part of the union.
64 In Organisation of Labour Affairs ( OLA) v Old Mutual Life Assurance Company ( SA) (fn 63) the union had
only 31 members (2 per cent representation) but was afforded s 12 and 13
rights (access and stop-order facilities) because the employer had in fact recognised unions with fewer members.
408 Law@work
Bader Bop ( Pty) Ltd & another65 the Constitutional Court had to decide whether
minority unions and their members have the right to strike in order to compel an
employer to recognise the union’s shop stewards. The court took into account
and the right to collective bargaining.66 This led to the court’s conclusion that
the right does accrue to minority unions and their members. The court identified
two important principles from the international instruments, namely: that free-
The court then held that an interpretation of the relevant provisions of the LRA
(in other words, the sections of the LRA relating to the exercise of organisational rights and the right to strike),
which would avoid the limitation of constitutional rights (in other words, the rights to freedom of association, to
organise and to
strike entrenched in section 23 of the Constitution) is to be preferred. The union could therefore, in principle, call a
protected strike, even though the union does not meet the statutory thresholds to entitle it to secure the rights
through the
of the LRA (which provides for the conclusion of a collective agreement regu-
It must, however, be noted that the court expressly found that employers are
not compelled to recognise minority unions. The finding means nothing more
than that the recognition of shop stewards is a legitimate subject for collective
Majority unions are those registered unions that on their own, or in combination
with any one or more unions, have as their members the majority of the employ-
cent plus one of the employees employed in the workplace must be members
of the union(s).
In addition to the rights mentioned above, majority unions also have the right
to
l disclosure of information.
________________________
65 Fn 52.
67 The court also stated that the same considerations may not necessarily be applicable in the event of a refusal to
grant the right to disclosure of relevant information to a minority or sufficiently representative union.
Freedom of association and the right to organise
409
The majority union(s) may enter into an agreement with the employer at work-
place level, in terms of which the thresholds for the exercise of those rights for which majority status is not
required may be altered. 68 By implication, these
unions and an employer may provide that majority status is a prerequisite for the exercise of all the organisational
rights provided for by the Act. The Labour
isational rights by minority trade unions, did not preclude an employer from
(which provides that nothing contained in Part A of Chapter III precludes the
the recognition that minority unions are entitled to have access to a workplace
court held that the rights at issue were the rights of workers to form and join
trade unions and to participate in their activities, and a trade union’s right to engage in collective bargaining. The
thresholds that may be established by an
employer and a majority union in terms of section 18 are limited to the rights
established by sections 12, 13 and 15 – the section does not authorise employers
and majority unions to determine which constitutional rights minority unions may
exercise.
The first is to acquire those rights if they satisfy the threshold established by any agreement concluded between the
employer and a majority union in terms of
section 18; the second is to bargain with the employer for those rights; the third is to refer a dispute to arbitration
in terms of section 21(8C). 71
Section 19 of the Act stipulates that registered unions that are parties to a bargaining council automatically have
certain rights (the rights of access to the
________________________
68 S 18 of the LRA. The threshold could, however, be set at something less than majority status.
In UPUSA obo members v Harmony Gold Mine [2003] 9 BALR 1062 (CCMA) the agreement set a threshold of 25
per cent. See also UASA v Impala Platinum Ltd & others [2010] 9 BLLR
986 (LC) for an instance where a minority union sought to review an agreement concluded in terms of s 18.
69 South African Correctional Services Workers Union ( SACOSWU) v Police and Prisons Civil Rights Union (
POPCRU) & others [2017] 9 BLLR 905 (LAC).
70 POPCRU v SACOSWU [2018] 11 BLLR 1035 (CC). For a discussion on this and other relevant judgments, see
Fergus ‘The Disorganisation of Organisational Rights – Recent Case Law and Outstanding Questions’ (2019) 40
ILJ 685.
71 At para [101].
410 Law@work
ways:72
l the right to disclosure of information does not apply in the domestic sector;
and
l the right to access to the premises of the employer does not include the
right to enter the home of the employer, except where the employer agrees.
l recruitment of members;
premises.
6.2 Deductions of trade union subscriptions (check-off facilities) 77
make the deductions from his or her wages. As soon as possible thereafter the
employer must begin making the deductions and remit the deducted amount
to the union. The remittance must be made by not later than the 15th of each
month. An employee may revoke the authorisation by giving one month’s writ-
ten notice. The employer must provide the union on a monthly basis with:
l a list of members from whose wages the deductions have been made;
l details of the amounts deducted and remitted and the period to which the
________________________
72 S 17 of the LRA.
73 S 20 of the LRA.
74 See also para 7 ‘Disputes concerning the exercise of organisational rights and other disputes’.
75 S 12 of the LRA.
76 These rights are subject to any conditions as to time and place that are reasonable and necessary to safeguard
life or property or to prevent the undue disruption of work (s 12(4)).
77 S 13 of the LRA. See National Union of Mineworkers and Paintrite Contractors CC (2008) 29
411
(shop stewards)78
in the workplace;
to the employer, the union, and any responsible authority or agency; and
l to perform any other function agreed upon between the union and the
employer.
A representative is entitled to take reasonable time off with pay during working
hours in order to perform his or her trade union representative functions and to
representative.79
ation of unions is entitled to take reasonable leave during working hours for the purpose of performing the
functions of that office. However, the employer and
the union must agree on the number of days of leave, payment in respect
l workplace forum. 81
All relevant information that will allow a trade union representative to perform his or her functions referred to in
section 14(4) must be disclosed. An employer must also disclose to the representative trade union all relevant
information that will allow the union to engage effectively in consultation or collective bargaining. In
________________________
78 S 14 of the LRA.
79 Reasonable conditions may be set for the exercise of this right (s 14(5)).
80 S 15 of the LRA.
412 Law@work
Some information need not be disclosed by the employer. This includes infor-
mation that:
l is legally privileged;83
or the employer; or
any party may request that it be resolved through arbitration. 84 The commissioner
vant, and if it is confidential information or private personal information relating to an employee, the
commissioner must balance the harm that the disclosure is
mation disclosed is similarly referred to the CCMA. If the commissioner finds that such a breach has occurred, he
or she may order the withdrawal of the right to
________________________
83 See Barker and Holtzhausen (fn 38) at 85 in respect of what information is legally privileged:
‘A confidential communication between a legal practitioner and his or her client which may not be disclosed in a
court of law unless the person possessing the privilege waives it’.
85 See s 16(10)–(14) of the LRA. The matter of NUMSA obo members v Behr Climate & Control
[2004] 3 BALR 364 (CCMA) illustrates this general requirement. The commissioner had to decide whether the
employer should have disclosed, for purposes of collective bargaining, information relating to income differentials,
incomes of salaried employees and audited statements. The employer was prepared to disclose some information
relating to income differentials. The employer was not willing, however, to disclose other categories of
information sought by the union. The commissioner held that first it had to be determined whether the information
sought is relevant, and that the onus to prove this rests with the union. The commissioner decided that the union
failed to discharge this burden. The commissioner held that the financial statements would only become relevant if
the employer were to use its financial position, and specifically financial constraints, to motivate its bargaining
position. The information relating to the incomes of salaried employees was relevant regarding benchmarking and
income differentials, for the purpose of reducing the wage gap. The commissioner decided that this purpose was
sufficiently served by the income differential statements. Consequently, the employer did not have to disclose the
information sought.
413
A registered union wishing to exercise any of the organisational rights must notify an employer in writing of its
intention and must include the following:
The employer must meet with the union within 30 days in an endeavour to con-
concluded, the dispute may be referred to the CCMA. 89 The only requirement in section 21 that could
realistically be the subject of disagreement (as it is discretionary) is whether or not the union is sufficiently
representative. In that event, the commissioner must consider the factors already discussed earlier. 90
the Act relating to organisational rights the dispute must be referred to the
CCMA for conciliation. In the event of unsuccessful conciliation the dispute may
the 2014 Amendment Act, an arbitrator may extend any arbitration award to
by the award is assigned to work, and to any person other than the employer
who controls access to the workplace to which the award applies if that person
________________________
86 S 21 of the LRA. In Netherburn Engineering CC t/a Netherburn Ceramics v Mudau NO & others [2009] 4
BLLR 299 (LAC) Musi JA (in a concurring judgment but with additional reasons) held that ‘treating unfair
dismissal disputes differently from disputes involving organisational rights and the like is perfectly legitimate as it
amounts to applying different methods to resolving different categories of dispute’ (at para 40). Regarding a right
to legal representation the court stated that in disputes involving organisational rights the disputes are ‘inherently
more technical and legalistic and will most often require the consideration and interpretation of contracts and/or
statutes’ (at para 40). This is not necessarily the case in dismissals based on conduct.
87 S 22 of the LRA.
89 In terms of s 65(2) a trade union may, rather than refer the dispute to arbitration, elect to embark on a protected
strike after unsuccessful conciliation. The Act does, however, provide that once notice of a strike has been given in
terms of s 64(1), the union cannot refer the dispute to arbitration for a period of 12 months (s 65(2)(b)).
91 A dispute that deals with a dismissal for participating in a strike related to organisational rights must be referred
to the Labour Court (ss 67(5) and 191(5)(b) of the LRA).
92 See s 22(5).
414 Law@work
LRA. Section 21(11) stipulates that an employer who alleges that a trade union is no longer a representative trade
union may apply to the CCMA to withdraw
In Edgars Consolidated Stores Ltd v FEDCRAW94 the Labour Appeal Court overturned the decision of the Labour
Court that an employer always has to
apply to the CCMA for the withdrawal of any of the statutory organisational
case, according to the court, section 23(4) of the LRA is applicable. The section provides that ‘[u]nless a collective
agreement provides otherwise, any party to
ate the agreement by giving reasonable notice in writing to the other party’.
award, however, section 21(11) of the LRA is applicable, which requires an appli-
cation to the CCMA. The effect of this judgment is that a collective agreement
withdrawn. 95
________________________
93 S 21(3) and (7) of the LRA. In OCGAWU obo Member and KLK Landbou BPK (2009) 30 ILJ
2538 (CCMA) the employer notified the union in writing that it intended withdrawing its organisational rights as
the union was no longer representative. Subsequent to the union’s failure to respond to the employer’s notification
the employer withdrew the union’s organisational rights. The union filed a dispute with the CCMA arguing that,
inter alia, the employer violated s 21(11) of the LRA when it withdrew the organisational rights. The CCMA
disagreed and held that the applicant committed a grave error by not responding to the employer’s notification.
95 Eg, by giving reasonable notice in writing. Even so, an employer should refrain from unilaterally withdrawing
organisational rights from one union but not others, where the unions are equally situated: see SAPTU obo
members v Mbete [2003] 10 BALR 1182 (CCMA).
15
worker participation
Page
1 Introduction
......................................................................................................
417
2.1
Introduction
...............................................................................................
421
2.2
Registration
................................................................................................
421
3 Bargaining councils
.........................................................................................
426
3.1
Introduction
...............................................................................................
426
3.2.2
Registration
procedure
..................................................................
427
3.3
Powers
and
functions
...............................................................................
429
3.4.1
Introduction
.....................................................................................
430
415
416 Law@work
Page
431
4.1
Introduction
...............................................................................................
431
5 Collective agreements
...................................................................................
432
5.1
Introduction
...............................................................................................
432
6.1
Introduction
...............................................................................................
439
6.2 Establishing a workplace forum .............................................................. 440
7.1
Process
of
consultation
............................................................................
443
417
1 Introduction
One of the main purposes of the LRA is to promote orderly collective bargaining
at sectoral level. 1 However, the Act does not have much to say about the nature of collective bargaining, how
bargaining should take place, between
whom, and on what topics. This can be explained by the voluntarist nature of
the statute (as discussed below) leaving the LRA to establish what it terms a
a process in which workers and employers make claims upon each other and
that are mutually beneficial. In the process, different interests are reconciled. For workers, joining together allows
them to have a more balanced relationship with
their employer. It also provides a mechanism for negotiating a fair share of the
results of their work, with due respect for the financial position of the enterprise or public service in which they are
employed. For employers, free association enables firms to ensure that competition is constructive, fair and based
on a collaborative effort to raise productivity and conditions of work. 2
Collective bargaining has also been referred to as a ‘constantly mutating insti-
tution’.3 By this is meant that collective bargaining, as a social institution, is necessarily responsive to economic
demands and circumstances, and that the nature
While doubts have been expressed about the continued importance and in-
fluence of collective bargaining and its supporting role for labour law as a dis-
cipline,5 it remains a vibrant institution in South African law and practice. One of
the expressly stated purposes of the LRA is to promote collective bargaining and
unions and employees can bargain collectively to determine wages, terms and
industrial policy. 6 But the Act does not compel collective bargaining, with the
________________________
2 ILO ‘Organizing for social justice – Global Report under the Follow-up to the ILO Declaration on Fundamental
Principles and Rights at Work’ (2004). See also Davies and Freedland Kahn-Freund’s Labour and the Law (1983)
at 69, where the purposes of collective bargaining are summarised: ‘by bargaining collectively with organised
labour, management seeks to give effect to its legitimate expectation that the planning of production, distribution,
etc, should not be frustrated through interruptions of work. By bargaining collectively with management, organised
labour seeks to give effect to its legitimate expectations that wages and other conditions of work should be such as
to guarantee a stable and adequate form of existence and as to be compatible with the physical integrity and moral
dignity of the individual, and also that jobs should be reasonably secure'.
3 Brown and Oxenbridge ‘Trade Unions and Collective Bargaining’ in Barnard, Deakin and Morris The Future of
Labour Law Liber Amicorum Sir Bob Hepple QC (2004) at 63.
5 See also Du Toit ‘What is the Future of Collective Bargaining (and Labour Law) in South Africa?’ (2007) 28 ILJ
1405.
418 Law@work
result that the courts have no role in determining, for example, whether an em-
ployer should bargain collectively with a trade union, what they should bargain
about, at which level they should bargain (at the enterprise or at sector level in a bargaining council) or how parties
to a negotiation should conduct themselves. 7 The Supreme Court of Appeal has said that ‘The LRA emphasises
the virtues of collective bargaining but nowhere suggests that the process should
extent of its variance with the jurisprudence that applied prior to 1995, it is necessary to recall briefly the evolution
of what was termed the ‘duty to bargain’
during the 1980s. In 1979, the Wiehahn package of reforms had left the newly
established Industrial Court to give content to the concept of the unfair labour
and bargain with representative trade unions. The court did so by deciding that
practice. The duty to bargain was never absolute – the courts took various fac-
tors into account (including the interests of the employer, non-union employees
The drafters of the LRA adopted a different view, and deliberately excluded
any mention of a duty to bargain from the definition of ‘unfair labour practice’
in the new statute. This exclusion, and the reasons for it, is recorded in the Explanatory Memorandum to the
Labour Relations Bill. The Memorandum notes
that:
A notable feature of the draft Bill is the absence of a statutory duty to bargain. In its deliberations on a revised
system of collective bargaining, the Task Team gave consideration to three competing models. The first is a system
of statutory compulsion, in which a duty to bargain is underpinned by a statutory determination of the levels at
which bargaining should take place and the issues over which parties are compelled to bargain. The second model
is not dissimilar though more flexible. It relies on intervention by the judiciary to determine appropriate levels of
bargaining and bargaining topics. The third model, unanimously adopted by the Task Team, is
one that allows the parties, through the exercise of power, to determine their own ________________________
7 Collective bargaining must not be confused with consultation – see Metal & Allied Workers Union v Hart Ltd
(1985) 6 ILJ 478 (IC) at 493H–I: ‘However, there is a distinct and substantial difference between consultation and
bargaining. To consult means to take counsel or seek information or advice from someone and does not imply any
kind of agreement, whereas to bargain means to haggle or wrangle so as to arrive at some agreement on terms of
give and take. The term negotiate is akin to bargaining and means to confer with a view to compromise and
agreement'.
8 SANDU v Minister of Defence & others; Minister of Defence & others v SA National Defence Union & others
[2006] 11 BLLR 1043 (SCA) ( SANDU). ‘Voluntarist’ means that the courts have no role to determine the outcome
of what are loosely described as ‘disputes of interest’, they also have no role in enforcing any process in terms of
which bargaining parties might seek to agree their own outcome. See Davis ‘Voluntarism and South African
Labour Law –
9 Mutual and Federal Insurance Co Ltd v BIFAWU [1996] 4 BLLR 403 (A).
Collective bargaining and worker participation
419
petus by the draft Bill’s provision for organisational rights and a protected right to
strike.10
tered trade unions, coupled with a right to strike over recognition and bargaining demands. 11
The task team’s choice of model did not find universal favour. First, there were
those who argued that to leave recognition and bargaining to the exercise of
economic power would contribute to industrial unrest. Secondly, the major union
The final text of the LRA reflects the compromises that were made. First, before
a union may call a strike in support of a dispute that concerns a refusal to bar-
gain, the dispute must be referred to advisory arbitration, before a strike notice is issued. The idea here is that
employers reluctant to recognise or bargain with a union might be gently persuaded to abandon their obstinacy
before a resort
to naked power.12 Secondly, and in response to the demands for centralised bargaining, Part E of Chapter III of the
LRA makes provision for the establishment of statutory councils, sectoral bodies that may be established in sectors
in respect of which no bargaining council is registered, but which have a brief falling
of the model adopted by the task team remained intact, and collective bar-
Is the framework that the LRA creates sufficient to meet the constitutional
concerning bargaining rights in the South African National Defence Force,15 the Supreme Court of Appeal noted
that the phrase ‘the right to engage in collective bargaining’ was open to at least three possible interpretations:
It may mean that the contemplated national legislation to regulate collective bargaining must provide for an
employer or a union called upon to bargain to com-
ply with the demand on pain of being ordered to do so. On the other hand it may
________________________
(1995) 16 ILJ 258). From an employer perspective, it might be argued that judges are not the best-qualified
persons to make decisions that are better reflected by the relative economic power of the parties. There are those
employers, of course, who would argue that collective bargaining has outlived its usefulness and that conditions of
employment are best determined by individual contract. See ch 1, in particular the discussion on the libertarian
perspective on labour law.
11 Organisational rights are discussed in ch 14. The right to strike is discussed in ch 16.
420 Law@work
mean that the envisaged national legislation must provide the framework within
mean no more than that no legislative or other governmental act may effectively
In determining the nature and extent of the constitutional right, the court drew
requires that measures be taken to encourage and promote the full develop-
or employers’ organisations and workers’ organisations. 17 From these standards, the court discerned a distinct
preference for a system that does not rely on a
while recognising and protecting the central role of collective bargaining in our labour dispensation, does not
impose on employers or employees a judicially
making any ruling on the point. 19 However, it was acknowledged that a justiciable duty to bargain would have
profound consequences:
[I]t should be noted that were s 23(5) to establish a justiciable duty to bargain, enforceable by either employers or
unions outside of a legislative framework to regulate that duty, courts may be drawn into a range of controversial
industrial relations issues. These issues would include questions relating to the level at which bargaining should
take place (ie the level of the workplace, at the level of an enterprise, or at industrial level); the level of union
membership required to give rise to that duty; the topics of bargaining and the manner of bargaining. These are
difficult
issues, which have been regulated in different ways in the recent past in South
Africa . . . 20
For the present at least, the LRA remains facilitative rather than prescriptive, 21
The Constitutional Court accepts that the Constitution contemplates that col-
________________________
19 SA National Defence Union v Minister of Defence & others [2007] 9 BLLR 785 (CC).
20 At para 55.
21 This phrase is borrowed from Cameron, Cheadle and Thompson The New Labour Relations Act (1989) at 7.
22 NUMSA & others v Bader Bop ( Pty) Ltd & another [2003] 2 BLLR 103 (CC) at 111. See also Fourie ‘Voice,
Representation and Women Workers in the Informal Economy’ (2019) 40 ILJ
1400.
23 Ibid at para 13: ‘The right to strike is an important component of a successful collective bargaining system’.
421
employers’ organisations
2.1 Introduction
‘trade union’ is defined in section 213 of the LRA to mean ‘an association of em-
ciated together for the purpose, whether by itself or with other purposes, of
interfere with their right to formulate and conduct their own programmes (this
2.2 Registration
the 1956 LRA was lengthy and bureaucratic. The registrar had wide discretion-
ary powers and could prohibit the registration of a new trade union if another
union, already registered for the same interests, was considered to be sufficiently representative. The ILO’s Fact-
finding and Conciliation Commission found that
this ‘knock-out’ provision contravened ILO standards, and it was abolished when
is similar to that which applies to close corporations and companies. The regis-
trar no longer has a wide discretion to refuse registration,26 and the process is
unions.27
________________________
24 In SAMWU v Jada & others (2003) 22 ILJ 1344 (W) the court held that unions have a particular type of duty of
care towards their members. This is the case as union members are not members in the same sense as shareholders
of a company are members of a company. Eg, union members do not hold any financial stake in the union; rather,
they have a collective interest pursued through the institution of the union.
25 The LRA also regulates federations of trade unions and employers’ organisations – see s 107.
26 In WUSA v Crouse NO & another [2005] 11 BLLR 1156 (LC) the court held that the registrar was not entitled
to consider issues outside the provisions of the Act – eg that the new union was established for personal gain and
that the members formed the union as a result of dissatisfaction with an existing union.
27 At para 11 of the Explanatory Memorandum to the Labour Relations Bill (fn 10).
422 Law@work
Any trade union may apply to the registrar for registration if it complies with the following requirements:
l its name or a shortened form of the name does not so closely resemble the
name or shortened form of the name of another trade union that it is likely to
and (6);
organisation; and
employers’ organisation. 28
The requirements for registration of employers’ organisations are similar, except that there is no requirement of
independence.
satisfied that a trade union or employer organisation applying for registration is genuine. This additional
requirement was introduced after an increase in the
marily to secure rights of representation before the CCMA and labour courts.29
to provide indicators of ‘genuineness’. The criteria established by the guidelines include, in the case of a trade
union, the circumstances in which the union was
formed, qualifications for membership, the activities of the union, (for example, the submission and negotiation of
demands on behalf of members), independence from employers, whether the organisation is an association not for
gain,
single factor is conclusive, and the registrar is required to take into account a conspectus of all relevant factors.
Similar criteria apply, with the necessary
for gain; 32
________________________
29 Officials of registered trade unions and employers’ organisations have the right to represent members before the
CCMA and labour courts.
30 See s 95(7) and (8) of the LRA and GNR 942 in GG 23611, dated 25 July 2002.
32 See Vidar Rubber Products ( Pty) Ltd v CCMA & others (1998) 19 ILJ 1275 (LC).
423
l provide for appeals against loss of the benefits of membership or against ter-
l provide that members of the trade union or employers’ organisation may not
• a ballot was held but a majority of the members who voted did not vote
The constitution of a trade union or employers’ organisation that intends to register may not include any provision
that discriminates directly or indirectly against
Any trade union or employers’ organisation may apply for registration to the
registrar by submitting:
l any other information that may assist the registrar in determining whether or
not the trade union or employers’ organisation meets the requirements for
registration.35
If the registrar is satisfied that the requirements for registration have been met, the registrar must register the
applicant by entering the applicant’s name in the appropriate register. After registering a trade union or employers’
organisation, the registrar must issue a certificate of registration in the applicant’s name, and
________________________
35 Ibid.
424 Law@work
send the certificate and a certified copy of the registered constitution to the
applicant.36
union or employers’ organisation if the registrar is satisfied that the union or employers’ organisation is no longer a
genuine union or employers’ organisation,
after following the procedure set out in section 106(2B). The effect of cancel-
registration.37
organisation
Section 97(1) of the LRA provides that a certificate of registration is sufficient proof that a registered trade union
or registered employers’ organisation is a
l conclude agreements.
employers’ organisation does not make that person liable for any of the obli-
gations or liabilities of the trade union or employers’ organisation. 38 The LRA pro-
registered employers’ organisation or, in the case of a trade union, a trade union representative, is not personally
liable for any loss suffered by any person as a result of an act performed or omitted in good faith by the member,
office-bearer, official or trade union representative while performing their functions for
________________________
37 See generally National Entitled Workers Union v Ministry of Labour & others (2010) 31 ILJ 574
(LAC). For an overview on the powers and duties of the registrar when publishing a notice in terms of s 106(2B),
see United People’s Union of SA v Registrar of Labour Relations (2010) 31 ILJ 198 (LC).
The constitution of a trade union must make provision for the termination of
l the refusal or expulsion is in accordance with the trade union’s constitution; and
l the reason for the refusal or expulsion is fair, including, but not limited to conduct that undermines the trade
union’s collective exercise of its rights. 43
l who is expelled from a trade union party to a closed shop agreement, if the
Despite these provisions, the Act provides that employees, at the time when a
closed shop agreement takes effect, may not be dismissed for refusing to join a
trade union party to the agreement. In other words, when a closed shop agree-
ment first comes into existence, employees may refuse to join the trade union
party to the agreement without being liable to dismissal. Employees may not be
dismissed for refusing to join a trade union party to the agreement on grounds
of conscientious objection. 45
If the Labour Court decides that the dismissal is unfair because the expulsion
was unfair, the provisions of Chapter VIII of the LRA apply, except that any order
There is no requirement for a secret ballot prior to a strike or lock-out. The effect of the provisions of section 95(5)
(p) is that a trade union or employers’ organisation, before calling a strike or lock-out, must conduct a ballot of
those of its members in respect of whom it intends to call the strike or lock-out. However,
section 67(7) of the LRA provides that the failure of a registered trade union or a registered employers’
organisation to comply with the provision in its constitution requiring it to conduct a ballot of those of its members
in respect of whom it
intends to call a strike or lock-out, may not give rise to or constitute a ground for any litigation that will affect the
legality of the strike or lock-out.
________________________
426 Law@work
l a ballot was held but a majority of the members who voted did not vote in
3 Bargaining councils
3.1 Introduction
As noted above, one of the purposes of the LRA is to promote collective bar-
gaining ‘at sectoral level’. The primary vehicle to achieve this purpose is the
a bargaining council is to serve as a forum for the negotiation of terms and con-
ditions of employment of the members of the union parties to the council, and
councils (called ‘industrial councils’ under the 1956 LRA) were first established by the Industrial Conciliation Act
11 of 1924, as a means to regulate conditions of
employment and maintain labour peace within an industry. Despite the change
in name (the term ‘bargaining council’ was introduced by the LRA), the primary
functions of councils have changed little, and if anything, have been marginally
degree of collectivism is conceded, there are those who contend that com-
petitiveness and flexibility interests are better served by collective bargaining at enterprise (or plant) level. The
argument is well captured in the following passage from a document prepared by the ILO:
One of the criticisms of centralized bargaining is that it unnecessarily introduces rigidities and bureaucratisation to
the industrial relations scenario, despite its provisions for exemptions. The argument is that such rigidities in the
bargaining system can harm the competitiveness of South Africa industries on global markets . . .
Many of these sentiments were echoed in the debate about the appropriateness
of labour legislation for the South African labour market. One argument was that
there was insufficient labour market flexibility to link pay increases to increased productivity . . . [T]he ANC
government has not been immune to pressures to
review certain aspects of the legislative framework which have inhibited eco-
nomic growth and job creation. These pressures generally stem from the forces of
________________________
48 See Godfrey, Maree and Theron ‘Regulating the Labour Market: The Role of Bargaining Councils’ (2006) 27
ILJ 731.
427
globalization and the quest to secure greater flexibility in the regulation of markets and governance of the actions
of agents that are active in those markets. 49
Even more controversial are the provisions of the LRA that permit the extension
One or more registered trade unions and one or more registered employers’
organisations may establish a bargaining council for a sector and area by fol-
lowing certain prescribed procedures.50 A bargaining council may be estab-
lished for more than one sector.51 Section 27(2) provides that the state may be a party to any bargaining council if
it is an employer in the sector and area in
The parties may apply for registration of a bargaining council to the registrar, by submitting to the registrar:
l any other documentation that may assist the registrar to determine whether
or not the bargaining council meets the requirements for registration (for
example, information about the sector and area for which the parties wish
That information relates to the requirements for registration. The registrar must as soon as practicable after
receiving the application, publish a notice containing
the material particulars of the application in the Government Gazette. The notice must advise the general public
that they may object to the application.
l that the applicant has not complied with the provisions of section 29;
l that the sector and area in respect of which the application is made is not
appropriate; and
l that the applicant (the parties) are not sufficiently representative in the sector and area in respect of which the
application is made.
________________________
49 Du Toit (fn 5), quoting Bhorat, Lundall & Rospabe ‘The South African Labour Market in a Globalizing World:
Economic and Legislative Considerations’ ILO Employment Paper 2002,
the article was written some years ago, the issues that it raises remain unresolved.
The applicant may respond to an objection within 14 days from the time that it
has been served on the applicant. The registrar must send the application and
LAC is required within 90 days to consider the appropriateness of the sector and
area. It must further demarcate the appropriate sector and area in respect of
the registrar accordingly. If NEDLAC fails to agree for any reason on the demar-
cation for purposes of registration, the Minister of Labour must demarcate the
appropriate sector and area and must advise the registrar accordingly.
If the registrar is satisfied that the applicant meets all of the statutory requirements, the registrar must register the
bargaining council. The registrar’s discretion to register or to refuse registration, as can be seen from the above
provisions, is
very limited.53
half must be appointed by the trade union parties to the council and the
other half by the employers’ organisation parties to the council, and the
bargaining council;
the one hand, and the employers who belong to a registered employers’
organisation that is a party to the bargaining council on the other hand;
________________________
53 For the procedure if the applicant does not meet the requirements of registration: see s 29(12)–(14) of the LRA.
54 S 30 of the LRA.
55 See Public Servants Association of SA v Safety & Security Sectoral Bargaining Council & others (2007) 28 ILJ
1300 (LC) regarding a bargaining council’s right to refuse to admit a minority trade union as a party on the basis
that it did not meet the membership threshold for admission as earlier agreed by the council. The court restated the
factors to be considered when considering such application, including whether the union was likely to influence
decision-making within the council and the representativeness of the council without that applicant as member.
429
l establish and administer pension, provident, medical aid, sick pay, holiday,
funds for the benefit of one or more of the parties to the bargaining council
on policy and legislation that may affect the sector and area.57
Bargaining councils act to maintain labour peace in the sector for which they
are registered.58 This function is fulfilled through the negotiation, supervision and enforcement of collective
agreements. Collective agreements may regulate a
The LRA distinguishes between two types of dispute – those disputes concerning
‘matters of mutual interest’ and disputes which relate to matters other than
matters of mutual interest. A bargaining council’s capacity to perform its dispute-settling functions in respect of a
dispute depends on the following factors:
l whether the dispute is one between parties who are subject to the council’s
jurisdiction as far as it concerns the area and sector for which the council
________________________
59 See ch 17.
60 In Fredericks v MECS Africa Project Support (2005) 26 ILJ 2484 (BCA), the jurisdiction of a bargaining
council to hear an unfair dismissal dispute was considered. The issue of jurisdiction was raised as the employment
contract was concluded in South Africa but it was performed in the international waters off Angola. However, both
the parties were South African, South African law was applicable to the contract, and the contract was terminated
in South Africa. Having regard of the above factors, the arbitrator accepted jurisdiction to hear the matter. See also
CWIU v Sopelog CC (1993) 14 ILJ 144 (LAC); Genric Mai ( Pty) Ltd v Industrial Council for the Iron, Steel,
Engineering & Metallurgical Industry & others (1995) 16 ILJ 51 (A); and Photocircuit SA ( Pty) Ltd v De Klerk
NO & others (1991) 12
430 Law@work
l whether it is a dispute between parties to the council (in other words the
constituent parties to the council and any registered trade union or regis-
council as a member of the council) and any member of such a trade union
l the nature of the dispute (in other words whether or not the dispute con-
3.4.1 Introduction
The LRA provides for the establishment of a bargaining council for the public
service as a whole, to be known as the Public Service Co-ordinating Bargaining
Council; and, for any sector within the public service that may be designated
as such in terms of section 37 of the Act. The ‘public service’ is defined as meaning the national departments,
provincial administrations and departments, and
The Public Service Co-ordinating Bargaining Council may perform all the func-
l matters which are regulated by uniform rules, norms and standards that
which matters are not assigned to the state as employer in any particular
sector. 63
the public service for the establishment of a separate bargaining council. That
specific to that sector and in respect of which the state, as employer, has the
disputes.64
________________________
61 Promulgated by Proc 103 of 1994. See also the Public Service Regulations, 2016 in GNR 877, GG 40167 of 29
July 2016.
64 S 37 of the LRA.
Collective bargaining and worker participation
431
service
may perform all the functions of a bargaining council in respect of the matters
in the public service for purposes of the Act. 65 Although the Act does not say whether such a bargaining council
has dispute resolution functions it appears
from the provisions of item 3 of Schedule 1 to the Act, read with section 30(1)(h) to (j) of the Act, that such
councils may in fact agree their own dispute proced-
ure as far as it concerns parties to the council and members of such parties.66
4 Statutory councils
4.1 Introduction
Statutory councils are the creatures of compromise, and bear all the hallmarks
the negotiation of the LRA, to address, at least in part, demands by the union
The idea behind statutory councils is that they might be established in sectors
where union density is low (and where there is no bargaining council estab-
lished) and that given a relatively modest set of powers and functions, the
council might grow organically and ultimately establish itself as a forum for the negotiation of wages and
conditions of employment for the sector concerned.
l establish and administer pension, provident, medical aid, sick pay, holiday,
bers; and
________________________
66 It is important to note that certain provisions of the Public Service Act 103 of 1994 were declared to constitute a
collective agreement (see item 15 of Sch 7 of the LRA). The effect of that was that legislative arrangements could
be amended by agreement. See Northern Cape Provincial Administration v Commissioner Hambidge NO & others
(1999) 20
432 Law@work
A statutory council may agree to include in its functions any of the functions of a bargaining council. If a
collective agreement is concluded within a statutory
5 Collective agreements
5.1 Introduction
contract. 69 Collective agreements are defined as written agreements concerning terms and conditions of
employment or other matters of mutual interest con-
cluded between on the one hand, a registered trade union, and on the other
more employers and one or more employer’s organisations.70 Although the agreement must be in writing, there is
no requirement that it should be signed in order to be valid (unless so stipulated in the agreement). 71
the employment contract (rather than to so-called ‘work practices’). 72 The other subject matter of a collective
agreement is, however, much broader in its scope.
The courts have consistently interpreted the concept ‘matters of mutual interest’
widely so as to include not only issues that directly concern the employer-
employee relationship, for example wages and health and safety at work, but
rules, a number of legal rules would immediately frustrate their application. For example, when a trade union
concludes a collective agreement with an employer, does it derive its authority to contract as the legal agent of its
members?
does the employer ensure, other than by individual negotiation with non-
members that the same terms can be applied to all employees? Section 23 of
the LRA avoids these and other problems that would inevitably result if collect-
ive agreements were left to be regulated by contractual rules. The section pro-
________________________
69 See Northern Cape Forests v SA Agricultural & Allied Workers & others (1997) 18 ILJ 971
(LAC). It is apparent, however, that a collective agreement, as is the case for an ordinary contract, is concluded
voluntarily and must be based on consensus for it to be valid.
70 S 213 of the LRA. See in general Le Roux ‘The Role and Enforcement of Collective Agreements’ (2006) CLL
15(6) at 51–58.
71 Diamond & others v Daimler Chrysler SA ( Pty) Ltd & another (2006) 27 ILJ 2595 (LC).
72 A Mauchle ( Pty) Ltd t/a Precision Tools v NUMSA [1995] 4 BLLR 11 (LAC).
73 See Rand Tyres & Accessories ( Pty) Ltd v Industrial Council for the Motor Industry ( Tvl) , Minister for
Labour & Minister for Justice 1941 TPD 108 at 115. See ch 17 at para 2 ‘What is a dispute?’ and ch 16 at para
2.3.2 ‘In respect of a matter of mutual interest’.
433
l each party to the collective agreement and the members of every other
l the members of a registered trade union and the employers who are mem-
l employers who are not members of the registered trade union or unions that
• the trade union or unions that are party to the collective agreement have
that trade union U enters into a collective agreement with employer E. Clearly,
U and E are parties to the agreement, and its terms are binding on them. But
that the agreement provided that the employer would contribute to the costs
of the union’s next congress, as well as for a 10 per cent increase in the wages
of U’s members. Here, the terms of the agreement regarding the contribution to
costs is binding as between E and U, and the wage increase, because this is a
cludes a collective agreement with a trade union on the same terms; in other
words, it agrees to contribute to the costs of the union’s congress and that the
union’s members will be paid a 10 per cent wage increase. Here, EO is bound
to pay the contributions to the cost of the congress, and all of the individual
employers that are EO’s members, including E, are bound to pay union mem-
________________________
74 In Mhlongo & others v FAWU & another [2007] 1 BLLR 141 (LC) the members of a trade union contended that
they had not mandated their union to conclude a settlement
agreement on their behalf. The court held that they were members of FAWU, and therefore bound by the
agreement. (The court reminded the applicants that in terms of the LRA, union members are bound by collective
agreements concluded by their union even where they terminate their membership.) The court held that the fact
that the settlement agreement was concluded after the dismissal of the applicants was of no consequence.
The court also rejected an allegation that the union and the employer had acted in bad faith by concluding the
agreement. The court held that a trade union is entitled to decide how to best serve the interests of its members.
Finally, the court also held that the union’s authority to conclude agreements on behalf of their members stemmed
not from agency, but rather from the principle of majoritarianism.
434 Law@work
which U’s members will accept a reduction in wages in return for guarantees of
idual negotiations, E wishes to extend the agreement to bind those of its em-
ployees who are not members of U. The terms of the collective agreement may
expressly binds them, and that U represents the majority of the employees em-
A collective agreement remains binding for the whole period of the agree-
ment on every person bound by the agreement who was, at the time the
whether or not that person continues to be a member of the trade union or em-
So, to continue the above example, if E decides to withdraw from EO after the
agreed to a 10 per cent wage increase, E remains bound to pay its employees
Constitutional Court in Association of Mineworkers and Construction Union & others v Chamber of Mines of
South Africa & others. 76 The appellant, AMCU, had majority membership at some individual mines but not in the
industry as a
and other issues reached with the NUM, which represented the majority of
including AMCU members. AMCU contended that each of the five mines at
which it represented the majority was a separate ‘workplace’ for the purposes
of section 23(1)(d) and that the agreement did not extend to those mines and
that in any event, section 23(1)(d) was unconstitutional in that it infringed on the rights of AMCU members to
strike in support of their demands. (The extension of
the collective agreement reached with NUM to AMCU members had the con-
sequence, of course, that AMCU members were precluded from striking, be-
The court held that the statutory definition of ‘workplace’ required an assess-
place and not each individual mine in which AMCU had a majority; those mines
lenge was concerned, the court held that the principle of majoritarianism enjoys
the limitations applicable to any extension under section 23(1)(d) are strictly
________________________
77 See ch 16 below.
435
circumscribed in both ambit and time. The limitation on the right to strike was
ployer and an employee who are both bound by the collective agreement. This
variation takes place by operation of law. This provision should be read with
section 199 of the LRA. That section provides that a contract of employment,
whether concluded before or after the coming into operation of any collective
agreement, may not permit an employee to be paid at less than the remuner-
any benefit that is less favourable than that prescribed by the collective agree-
ment.79 A contract of employment may not waive the application of any provision of a collective agreement. Any
provision in a contract of employment in
Finally, section 23(4) of the LRA provides that if a collective agreement is con-
cluded for an indefinite period, any party to the agreement may terminate the
concluded in bargaining councils. The section is not dissimilar to section 23, but takes account of the structure of a
bargaining council, and the identity of the
council binds only the parties to the bargaining council who are parties to the
tion of the council. The collective agreement binds the parties to the agreement
________________________
78 At para 58. The court went on to find that the extension of a collective agreement in terms of s 23(1)(d)
constitutes the exercise of a public power and is thus reviewable under the principle of legality. The Labour Appeal
Court recently upheld the extension to non-parties of a retrenchment agreement concluded with a majority union,
referring specifically to the Constitutional Court’s endorsement of the principle of majoritarianism in AM-CU. See
National Union of Metalworkers of South Africa ( NUMSA) obo members v South African Airways SOC Ltd &
another [2017] 9 BLLR 867 (LAC).
79 A collective agreement may also not introduce discriminatory conditions into the employment contract – see
SACCAWU v Garden Route Chalets ( Pty) Ltd [1997] 3 BLLR 325
(CCMA).
80 An employer’s insolvency will not as such terminate a collective agreement ( Waverley Blankets Ltd v CCMA
[2001] 1 BLLR 114 (LC)). However, the Labour Appeal Court has remarked ( obiter) that it may be different in
the case of a scheme of arrangement (see Waverley Blankets Ltd v CCMA (2003) 24 ILJ 388 (LAC)). Ss 197 and
197A make provision for the transfer of obligations contained in collective agreements from a transferor employer
to the transferee.
436 Law@work
and their members in so far as the agreement relates to the relationship be-
tween them. The collective agreement also binds members of parties to the
agreement (in the case of registered trade union(s) on the one hand, and regis-
employers.
overtime rates, sick leave, annual leave, public holidays, bonuses and trade
union facilities such as check-off. These agreements may also include closed
council
In terms of section 32(1), a bargaining council may request the minister to extend a collective agreement
concluded in the bargaining council to non-parties to
the agreement that are within the council’s registered scope and are identified
in the request.81
As noted above, this is a controversial provision. The ‘Report of the Presidential Commission to Investigate
Labour Market Policy’ released in 1994 records the
Those who oppose extension argue that when non-parties are unable to afford
the wage rates and other conditions of employment which they become bound
to apply, unemployment will result. This is particularly so in the case of more vulnerable smaller enterprises, since
bargaining councils are generally populated
by the representatives of larger, capital-intensive, higher wage businesses. Those who argue in favour of the
extension of bargaining council agreements assert
that the extension of agreements ensures stability in the sector, largely by ex-
couraging better practices.82 The commission recommended that the minister should be afforded a greater
discretion in deciding whether or not to extend an
agreement than the LRA currently provides, and that job-creating goals ought
to the effect that section 32(2) violates the principle of legality under section 1(c) of the Constitution because it
permits the extension of collective agreements to non-parties, contrary to the public interest, by persons not
adequately
________________________
81 The effect of such extension is basically to make the non-party a party to the agreement, see Kem-Lin Fashions
CC v Brunton & another (2001) 22 ILJ 109 (LAC).
82 Report of the Presidential Commission to Investigate Labour Market Policy (1994) at paras 175–176.
83 [2016] 8 BLLR 805 (GP). In relation to the constitutionality of the extension of a collective agreement to non-
parties by an employer acting in terms of s 23(1)(d), see Association of Mineworkers & Construction Union &
others v Chamber of Mines of South Africa & others (fn 76).
437
subject to state supervision. The court held that the minister’s exercise of powers under section 32 constitutes
administrative action. The minister must ensure that the council has complied with the requirements of section 32.
If these are satisfied, the agreement must be extended. The discretion not to extend an agree-
ment applies if the numerical levels of representativity set by the LRA have not
been reached. Similarly, the minister must be satisfied that any refusal to extend the agreement will have negative
effects on collective bargaining in the sector
– this is a criterion that must be satisfied having regard to the relevant facts, and the decision must be rational.
Further, to satisfy the requirements of procedural fairness, the minister must invite comments before extending the
agreement. The
lesser constraints on the minister’s power reflected in section 32(2) are explained by the principle of
majoritarianism, a deliberate choice by the legislature and
one that was consistent with international law. The challenge to the extension of the collective agreement as
inconsistent with the Constitution on the grounds of
The court concluded that the restraints and judicial supervision inherent in
section 32 give adequate expression to the constitutional right of administrative justice. The court went on to
uphold the statutory scheme of majoritarianism in
There are two thresholds that need to be met before a bargaining council
tativeness of the parties who vote in favour of a request to the minister to ex-
tend the agreement; the second relates to the representativeness of the parties
l one or more registered trade unions whose members constitute the majority
of the members of the trade unions that are party to the bargaining council
organisations that are party to the bargaining council, vote in favour of the
extension.
The second threshold requires the minister to be satisfied that there has been
l the decision of the bargaining council to request the extension of the collective agreement must comply with the
provisions of section 32(1);
l the majority of all the employees who, upon extension of the collective
agreement, will fall within the scope of the agreement, must be members of
l the members of the employers’ organisations that are parties to the bargain-
ing council must, upon the extension of the collective agreement, be found
to employ the majority of all the employees who fall within the scope of the
collective agreement;
l the non-parties specified in the request must fall within the bargaining coun-
438 Law@work
and decide, within 30 days, any appeal brought against the bargaining
l the agreement must contain criteria that must be applied by the independ-
ent body when it considers an appeal. These criteria must be fair and must
promote the primary objects of the Act which include the promotion and
parties.
If the above requirements have been met, the minister must extend the collect-
the Government Gazette declaring that, from a specified date and for a specified period, the agreement will be
binding on the non-parties specified in the
notice. 84
and employers’ organisations have not been complied with, the minister may
l the parties to the bargaining council are sufficiently representative within the registered scope of the bargaining
council in the area in respect of which
l the minister is satisfied that a failure to extend the agreement may under-
whole.85
Section 24(1) of the LRA requires every collective agreement to provide a pro-
ment. The procedure must provide for conciliation, and if the dispute remains
The CCMA has jurisdiction in respect of disputes about the application and
to the collective agreement has frustrated the resolution of the dispute in terms ________________________
85 S 32(5) of the LRA. The words ‘sufficiently representative’ in s 32(5) are not defined. S 32(5A) provides that
when the minister determines whether parties to a bargaining council are sufficiently representative he or she may
take into account the composition of the workforce in the sector including the proportion of employees engaged in
atypical forms of employment.
86 Where an agreement is extended, the enforcement of the agreement will be through the procedure prescribed in
such agreement for its enforcement for both parties and non-parties to whom the agreement has been extended (see
Kem-Lin Fashions CC v Brunton
& another (2001) 22 ILJ 109 (LAC)). In the absence of such an agreement, the CCMA will enter the dispute – s 24
of the LRA.
439
of the process established by the agreement itself. In Health & Other Services Personnel Trade Union of SA obo
Tshambi v Department of Health, KwaZulu-Natal87 the Labour Appeal Court noted that section 24 should not be
read so
that the dispute automatically falls within the ambit of the section. The phrase
‘interpretation or application’ should not be read disjunctively – a dispute about the interpretation of a collective
agreement requires, at a minimum, a difference of opinion about what a provision of the agreement means; a
dispute
6.1 Introduction
ing since they are not, strictly speaking, collective bargaining structures. The
and employees, the first stream being collective bargaining over terms and
pose of a workplace forum and its relationship with collective bargaining struc-
sarial collective bargaining on all matters to joint problem solving and participation on certain subjects. In creating
a structure for ongoing dialogue between management and workers, statutory recognition is given to the realisation
that unless workers and managers work together more effectively they will fail adequately to
improve productivity and living standards. Workplace forums are designed to per-
form functions that collective bargaining cannot easily achieve: the joint solution
________________________
88 At 1847.
89 See in general Olivier ‘Workplace Forums: Critical Questions from a Labour Law Perspective’ (1996) 5 ILJ
803; Summers ‘Workplace Forums from a Comparative Perspective’ (1995) 4 ILJ 806; Botha Employee
Participation and Voice in Companies: A Legal Perspective (NWU 2015) and Du Toit ‘Corporatism and Collective
Bargaining in a Democratic South Africa’ (1995) 4 ILJ 785.
440 Law@work
gaining, but to supplement it. They achieve this purpose by relieving collective
bargaining of functions to which it is not best suited. The forum’s focus is qualitative – that is, it is on non-wage
matters, such as restructuring, the introduction of new technologies and work methods, changes in the organisation
of work,
physical conditions of work and health and safety, all issues best resolved at the level of the workplace. Workplace
forums expand worker representation beyond
the limits of collective bargaining by providing workers with an institutionalised voice in managerial decisions.
Employers receive different benefits from the
close certain information relating to its performance and prospects. The second
level of participation is consultation, and here a workplace forum is given extensive rights to be consulted on a
variety of issues. Finally, the LRA makes provision for participation in its strongest form, joint decision-making.
Here, the enterprise’s management is not permitted to implement a proposal unless the forum agrees
to it, or it is sanctioned by an arbitrator. Alternatively, the employer may withdraw the proposal.
Despite the wide powers and broad functions that the LRA confers on a work-
is fair to say that this is a function of the mutual hostility shown to the concept by both employers and trade
unions. Employers no doubt regard workplace forums
structures.
Workplace forums are intended for larger workplaces. Section 80 of the LRA pro-
vides that a workplace forum may be established in any workplace91 in which an employer employs 100 or more
employees. An ‘employee’ for purposes of
this section excludes members of the senior management team, and is defined
to mean:
________________________
91 In Association of Mineworkers and Construction Union & others v Chamber of Mines of South Africa & others
[2017] 7 BLLR 641 (CC) the Constitutional Court remarked that the two notable things about the statutory
definition of ‘workplace’ is its focus on employees as a collectivity and ‘the relative immateriality of location’
(para 24). The court set out a test of functional organisation rather than geography or location, which requires an
evaluation of indepence: ‘If there are two or more operations and they are “independent of one another by reason
of their size, function or organisation” then “the place or places where employees work in connection with each
independent operation, constitutes the workplace for that operation”’ (para 28).
441
whose contract of employment or status confers the authority to do any of the following in the workplace –
(ii) determine policy and take decisions on behalf of the employer that may be
Any representative trade union may apply to the CCMA, in the prescribed form,
for the establishment of a workplace forum. The CCMA must consider the appli-
cation and any further information provided by the applicant. The CCMA must
If the CCMA is satisfied that the above requirements have been met, the CCMA
by collective agreement or, failing that, to establish a workplace forum in terms of the Act. For that purpose, the
commissioner must convene a meeting with
the applicant, the employer and any registered trade union that has members
agreement between those parties, or at least between the applicant and the
cluded, the commissioner must meet the parties in order to facilitate an agree-
ment between them, or at least between the applicant and the employer, on
and determine the provisions of the constitution in accordance with the chap-
ter dealing with workplace forums. The commissioner must take into account the
guidelines contained in Schedule 2 to the Act. After the workplace forum has
been established, the commissioner must set a date for the election of the first
the election.
Any representative trade union may apply for the establishment of a work-
trade union, or two or more registered trade unions acting jointly, that have as
place’. 93 The union may appoint its own representatives to what is referred to in the Act as a ‘trade union based
workplace forum’.
The Act does not prevent an employer from establishing such a forum or any
other body on a voluntary basis. In that event the provisions of the Act will not apply.
________________________
92 See the guidelines contained in Sch 2 to the LRA.
93 S 78 of the LRA.
442 Law@work
l is entitled to participate in joint decision-making about the matters referred to in section 86 of the Act.
l there must be regular meetings between the workplace forum and the
mance since the last report and its anticipated performance in the short
• consult the workplace forum on any matter arising from the report that
There must also be meetings between members of the workplace forum and
At those meetings the workplace forum must report to the employees on:
the employer.
Once every calendar year the employer must at one of the meetings present
workplace forum and the employer, without loss of pay on the part of the em-
ployees. 95
A collective agreement may provide for the regulation of the matters referred
to below. If that is not the case, the workplace forum is entitled to be consulted by the employer about the
following:
________________________
443
employees;
l job grading;
l export promotion.
sulted about additional matters falling within the registered scope of the bar-
gaining council. 97 Section 84(3) makes provision for the possibility that the representative trade union and an
employer may conclude a collective agreement
conferring on the workplace forum the right to be consulted about any add-
must consult with the workplace forum with the view to initiate, develop, pro-
mote, monitor and review measures to ensure health and safety at work. The
representative trade union and the employer may also agree that a meeting
workplace by health and safety legislation. The parties may also agree that one
or all members of the workplace forum are health and safety representatives for
purposes of the health and safety legislation. Such an agreement may, how-
ever, not conflict with provisions of the occupational health and safety legisla-
The employer may not implement the proposal in respect of which consultation
must take place with the workplace forum, before the employer has during
consultation attempted to reach consensus with the workplace forum. The em-
________________________
96 See s 189 of the LRA with regard to a workplace forum’s rights to be consulted in the event that the employer
proposes any dismissals for reasons related to operational requirements.
444 Law@work
by the forum. If the employer does not agree with them, the employer must state
the reasons for disagreeing. If the employer and the workplace forum do not
reach consensus the employer may implement its proposal. If there is an agreed
procedure must be invoked, and the employer may not unilaterally implement
the proposal.
a collective agreement between the representative trade union and the em-
reach consensus with the workplace forum before implementing any proposal
concerning:
benefit schemes.
in respect of additional matters not referred to in section 86(1) in respect of that workplace.
If the employer is unable to reach consensus with the workplace forum con-
cerning a matter which requires consensus, the employer may refer the dispute
cedure, refer the dispute to the CCMA. The employer may not unilaterally im-
An employer must disclose to the workplace forum all relevant information that
will allow the workplace forum to engage effectively in consultation and joint
decision-making. The employer is, however, not required to disclose the follow-
445
The members of a workplace forum may designate from their number one full-
time member, if there are 1 000 or more employees employed in the particular
workplace. 99
forums, may be referred to the CCMA for conciliation. If conciliation is not suc-
________________________
99 S 92 of the LRA.
16
Page
1 Introduction
......................................................................................................
449
2.1
Refusal
to
work
..........................................................................................
451
2.2
Collective
action
......................................................................................
453
2.2.1
Concerted
refusal
..........................................................................
453
4.1
Referral
for
conciliation
............................................................................
462
4.3
Notice
........................................................................................................
462
4.4
Advisory
arbitration
..................................................................................
464
5 Secondary strikes
.............................................................................................
465
5.1
Definition
....................................................................................................
465
447
448
Law@work
Page
6 Protest action
...................................................................................................
468
7 Protected strikes
...............................................................................................
469
7.1
Immunities
..................................................................................................
469
7.1.2
Against
dismissal
.............................................................................
470
7.1.3
Against
discrimination
....................................................................
471
8 Lock-outs
...........................................................................................................
475
449
1 Introduction
terms, viewed both in international terms and in terms of South African law as a
fundamental right? 1 The supervisory bodies of the ILO have considered that the
right to strike can be derived from Conventions 87 and 98, which respectively
regulate the rights to freedom of association and to bargain collectively. In this sense, the right to strike is an
essential means for the promotion of the social and economic interests of employees and trade unions, based
ultimately on the
proposition that trade unions should be free to organise their activities and formulate their programmes for the
purposes of defending the interests of their
members.
An ancillary argument in support of the right to strike is drawn from the institution of collective bargaining itself.
The most classic statement of this perspective is drawn from the following quote: ‘More than 30 years ago Lord
Wright said in a
leading case: “The right of workmen to strike is an essential element in the principle of collective bargaining.”
This is obvious. If the workers could not, in the last resort, collectively refuse to work, they could not bargain
collectively’. 2 Those who subscribe to this view argue that the right to strike is regarded as an essential
component of the collective bargaining process. The right of recourse to
basis, the exercise of the right to strike would necessarily have to be limited to industrial action called by a trade
union, in support of a demand related to the
bargaining process. 3
Others see the right to strike as a human right, rather than a right dependent
on collective bargaining. Classifying the right to strike in this way has profound consequences – not least because
it is a right no longer constrained by any
________________________
1 Kahn-Freund and Hepple Laws against Strikes (1972). The authors propose four justifications for a right to strike
(at 5–8), which can be summarised as: the equilibrium argument – labour needs a tool to resist the otherwise total
prerogative of management; the need for autonomous sanctions to enforce collective bargains – self-government
being better than legal regulation and enforcement; the voluntary labour argument – that compulsion to work is
nothing else than serfdom; and the psychological argument – that strikes are a necessary release of tension in
industrial relations. For a general discussion on justifications for the right to strike, see Cheadle, Conradie, Cohen,
Du Toit, Fergus, Jacobs and Steenkamp Strikes and the Law (2017) at 4–6, and Hepple, Le Roux and Sciarra (eds)
Laws against Strikes (2016) at 12–29.
2 Davies and Freedland Kahn- Freund’s Labour and the Law (1983).
3 See para 2 ‘What is a strike?’ and ch 15. See, in general, Myburgh ‘100 Years of Strike Law’
Law@work
The ILO has stated that although strike action is a fundamental or basic right,
ognise the right to strike (it is also not expressly stated in either the ILO Constitution or the Declaration of
Philadelphia) the Conference has taken it for granted
that the right exists, as indicated in the first reports on these Conventions dating back as far as 1947.
Section 23(2) of the Constitution provides that every worker has the right to
strike. The Constitutional Court has recognised both the component of the right
to strike which seeks to protect the dignity of employees (by not being treated
as coerced employees) and that, which enables workers to assert their bargain-
ing power in the workplace. In NUMSA & others v Bader Bop (Pty) Ltd & another, the Constitutional Court said
the following:
In s 23, the Constitution recognises the importance of ensuring fair labour relations.
The entrenchment of the right of workers to form and join trade unions and to en-
gage in strike action, as well as the right of trade unions, employers and employer organisations to engage in
collective bargaining, illustrates that the Constitution contemplates that collective bargaining between employers
and workers is key to
a fair industrial relations environment. This case concerns the right to strike. That right is of historical and
contemporaneous significance. In the first place, it is of importance for the dignity of workers who in our
constitutional order may not be
treated as coerced employees. Secondly, it is through industrial action that workers are able to assert bargaining
power in industrial relations. The right to strike is an important component of a successful collective bargaining
system . . . 6
Like any other constitutional right, the right to strike is not absolute. The LRA imposes a number of limitations on
the right to strike, both substantive and pro-
by the ILO’s supervisory bodies. The limitations are discussed in more detail
below.
during the certification proceedings in 1996, when the Constitutional Court had
to decide whether the text of the final Constitution complied with the Constitu-
tional Principles agreed to as the basis for the drafting of the final Constitution.
The court examined international law and standards and rejected the employ-
ers’ case for the inclusion of the right to lock-out in the Constitution. In Ex parte Chairperson of the Constitutional
Assembly: In re Certification of the Constitution of the Republic of South Africa 1996 (the First Certification
judgment)8 the court
held: ‘the effect of including the right to strike does not diminish the right of ________________________
5 See ILO Freedom of Association and Collective Bargaining (1994) at 61: ‘Strikes are expensive and disruptive
for workers, employers and society and when they occur they are due to a failure in the process of fixing working
conditions through collective bargaining which should remain the final objective’.
7 The right to have recourse to lock-out is, however, included in s 64(1) of the LRA.
451
expressly recognised by the text [of the 1996 Constitution]’. 9 The Constitutional Court considered that while
workers acted collectively against the stronger
social and economic power of employers and depended on the right to bar-
gain collectively and to strike to achieve this end, employers had other means
2 What is a strike?
A strike is a form of industrial action, but it is not the only one. It is important to be able to classify any particular
withdrawal of labour as a strike, since only participation in a protected strike is capable of protecting employees
against the civil consequences that would ordinarily flow from their conduct. Section 213 of the
tion of work, by persons who are or have been employed by the same employer
or by different employers, for the purpose of remedying a grievance or resolving a dispute in respect of any matter
of mutual interest between employer and employee, and every reference to ‘work’ in this definition includes
overtime work,
The definition has three main elements (a refusal to work that is concerted and
of work
There were several cases under the 1956 LRA that examined the meaning of
‘work’ in the definition of strike. What was then the Appellate Division of the
refusal to work voluntary overtime did not constitute a strike in terms of the
definition.
The current definition of ‘strike’ makes it quite clear that ‘work’ in the definition
Strikes assume a variety of forms including a partial refusal to work, retardation and obstruction of work:
l A partial refusal means that employees perform some duties but not others.
________________________
452
Law@work
ees continue to work but at a slower pace) and the work-to-rule where em-
ployees do only the work they are strictly contractually obliged to do and no
more.
l The obstruction of work refers to the situation where the workers affect pro-
There is no strike when employees refuse to work contrary to any law or collect-
ive agreement. In Simba (Pty) Ltd v FAWU11 employees refused to work according to a new shift pattern
introduced by the employer. The intention of the
employer in introducing the new system of lunch breaks, was to ensure that pro-
duction continued over 24 hours. This meant that some employees would have
to work for more than the statutory designated five hours without a break. 12 The
employees refused to abide by the new system and the employer sought an
interdict on the grounds that this refusal constituted a strike and the strike was unprotected. The court held that the
word ‘work’ in the definition of a strike does not include illegal work and therefore refused to grant the interdict.
Similarly, where there is no contractual obligation to perform particular obligations, a
refusal to perform them does not constitute a strike. So, for example, a refusal to continue to work on Sundays is
not a strike if the contract of employment in
which the obligation is sourced makes no provision for Sunday work. 13 To sum-
marise, a refusal to work does not always constitute a strike. The following ex-
l a refusal to work in contravention of a statutory prohibition (as was the case in Simba).
2.1.2 By persons who are or have been employed by the same employ-
There is a history behind the inclusion in the definition of ‘persons who are or
have been employed’. 14 This phrase clearly includes all those who are currently
________________________
13 G4S Cash Solutions SA (Pty) Ltd v Motor Transport Workers Union of SA & others (2016) 37 ILJ
1852 (LAC). See also Imperial Cargo Solutions (Pty) Ltd v SA Transport & Allied Workers Union
& others (2017) 38 ILJ 2479 (LAC) where the Labour Appeal Court held that there was no strike where employees
refused to perform ancillary duties that they had been required to perform in terms of a collective agreement that
had been cancelled.
14 See National Automobile & Allied Workers Union (now known as National Union of Metalworkers of SA) v
Borg Warner SA (Pty) Ltd (1994) 15 ILJ 509 (A). In this case, it was held that the employment relationship extends
beyond the termination of the employment contract.
See also the earlier case of R v McDonald 1935 TPD 153. Here, all the employees resigned to support a demand
for higher wages and the court held that this could not be a strike as the workers were no longer employees. The
definition of a strike was subsequently amended to include those who previously had the status of employees.
employed but extends the scope to those who ‘have been employed’ in the
The Labour Court has held that if a strike is protected employees could con-
ceivably continue striking even after they have been dismissed, 15 especially if
their dismissal contravened section 67(4)16 (ie, if the employees were dismissed for engaging in a protected
strike). 17
The reference to workers who are employed by different employers will be dis-
As the right to strike is part of the collective bargaining process, it is by its very nature collective action. The
definition refers to the ‘concerted refusal to work
. . . by persons’. The reference to a ‘concerted refusal’ and to ‘persons’ in the definition indicates that more than
one person must be involved in the refusal to work.
It is therefore debatable whether one worker can strike. The Labour Court
held in Schoeman & another v Samsung Electronics (Pty) Ltd19 that ‘[a]n individual employee cannot strike.
Although a single employer can lock-out employ-
The purpose-related requirement of the definition distinguishes a strike from other forms of work stoppage.
Central to a strike is the demand that gives rise to it,
and this should reflect the required purpose that a grievance be remedied or a
dispute resolved. The word ‘dispute’ is itself defined to include an alleged dis-
pute. 21 It is not necessary therefore for the party in dispute to do more than allege that a dispute exists – the
merits of the dispute or any secondary dispute about whether a dispute exists are of no consequence. All
employees of an
employer are entitled to strike whether or not they are directly involved in the
________________________
15 FGWU v Minister of Safety and Security (1999) 20 ILJ 1258 (LC). See also Picardi Hotels Ltd v FGWU [1999]
6 BLLR 601 (LC).
16 S 67(4) states that ‘an employer may not dismiss an employee for participating in a protected strike or for any
conduct in contemplation or in furtherance of a protected strike’.
17 The courts have not yet ruled on whether those workers who have been dismissed for participating in an
unprotected strike, and have been denied re-employment or reinstatement, would be entitled to carry on with a
strike.
20 Ibid at 1367.
21 S 213 of the LRA defines ‘dispute’ as including ‘an alleged dispute’; and ‘issue in dispute’
in ‘relation to a strike or lock-out, means the demand, the grievance, or the dispute that forms the subject matter of
the strike or lock-out’.
454
Law@work
dispute. 22 If there is no dispute, there cannot be a strike. So, for example, in Transport & Allied Workers Union of
SA obo Ngedle & others v Unitrans Fuel & Chemical (Pty) Ltd23 the minority of the Constitutional Court in a split
judgment,
was prepared to accept, on the facts, that where during a protected strike the
employer had capitulated to the union’s demands, from that point, the employ-
ees were not entitled to persist with their withholding of labour. The strike thereafter became unprotected. The
majority did not disagree with the principle; it
found on the facts that the employer had not fully acceded to the union’s
a dispute, there is no strike in terms of the definition. In FAWU & others v Rainbow
Chicken Farms 24 the employees collectively refused to work on a religious holiday. The employer claimed that
the employees were on an unprotected strike.
The court held that the purpose of their refusal was not to ‘remedy a grievance
and the employees. Their refusal to work was therefore not a strike, protected or unprotected. A similar conclusion
was reached in Floraline v SASTAWU.25 The court held in this case that ‘It is true that . . . there is a great deal of
unhappiness on both sides but nowhere is the grievance articulated and nowhere can an inference be drawn that
there was a grievance and that this was the cause and
In City of Johannesburg Metropolitan Municipality v SAMWU27 the Labour Court examined the requirements for
a strike in terms of section 213 of the LRA
and was satisfied that the purpose of the strike by SAMWU was to remedy a
There are no bright lights between these categories. Sometimes the word ‘de-
mand’ is used in a generic sense to refer to all three categories of strikes; sometimes it is used to refer to demands
for higher wages. But these are not statutorily sanctioned requirements. The LRA refers only to a ‘grievance’ or a
‘dispute’. There is thus no statutory requirement for the existence of a deadlock before a referral to either the
CCMA or a bargaining council. 30
In SATAWU v Coin Reaction 31 the Labour Court held that a court must have regard to substance rather than form
and ‘ascertain the real underlying dispute’.
22 CWIU v Plascon Decorative (Inland) (Pty) Ltd (1999) 20 ILJ 321 (LAC).
26 At 1224.
28 At para 10.
29 TSI Holdings (Pty) Ltd & others v NUMSA & others [2006] 7 BLLR 631 (LAC).
31 (2005) 26 ILJ 1507 (LC). See also Ceramic Industries Ltd t/a Betta Sanitaryware v NCABAWU
455
the strike notice is therefore not conclusive. 32 It is also important that the trade union specifies the relevant details
of the dispute in order for the court to be
able to ascertain if the strike complies with section 64(1)(a) of the LRA, requiring that the issue in dispute has been
‘referred to a council or to the Commission’
for conciliation.33
A union may not strike in support of a demand that is unlawful. This principle
was reiterated by the Labour Appeal Court in TSI Holdings (Pty) Ltd & others v NUMSA & others.34 In this case a
strike was called in support of a demand that a
supervisor be dismissed, for allegedly making racist statements. The union refer-
red a dispute to the CCMA but conciliation failed. The union gave written notice
the demand made by the employees was unlawful and as such did not fall
within the definition of a strike. The Labour Court held that the demand for dis-
missal was not a demand that the manager be dismissed unfairly. The employer
was not therefore required to act unlawfully and the court held that the strike
was protected.35
On appeal, the court examined the definition of a strike and confirmed that
there must be a refusal to work but also a concerted action for the purpose of
and those where there is a dispute.36 The Labour Appeal Court found that the
strike related to a demand and went on to examine whether the demand was
lawful and whether the rights of the manager not to be unfairly dismissed in
terms of section 185 of the LRA had been infringed. The court reasoned that the
demand made by the union ‘falls outside the category of demands that can
envisaged in the definition of the word “strike” in section 213 of the Act’ and
held accordingly that the purpose of the refusal to work in section 213 of the
Act ‘cannot be conduct that would constitute a violation of the right not to be
dismissed unfairly provided for in section 185 read with section 188 of the Act’. 37
The Labour Appeal Court therefore held that the supervisor had a right not to be
unfairly dismissed and that the demand violated this right and consequently
could not form the subject matter of a strike.38 The appeal was therefore upheld.
________________________
32 See also Cheadle and Bamu ‘Strikes and Lock-outs’ in Cheadle et al Current Labour Law 2006 (2006) at 94–
95.
33 In Lobtrans SA (Pty) Ltd v MTWUSA & others [2006] JOL 17557 (LC) the bargaining council’s referral form
failed to specify the dispute or the intended outcome of the conciliation.
34 Fn 29.
35 See further Grogan ‘Fire the Boss! Strikes over Unpopular Managers’ (2004) EL (20) 5 at 8–11.
36 See Mischke ‘Striking in Support of Unlawful Demands: The LAC Examines “Strikes” which Fall Outside the
Ambit of the Labour Relations Act’ (2006) CLL 16(3) 23.
37 TSI Holdings (Pty) Ltd & others v NUMSA & others (fn 29) at para 48. See also Mischke (fn 36) at 24.
38 Cheadle and Bamu (fn 32) at 97. Cheadle argues that the merits of the allegations against the supervisor should
never have been entertained and further that a ‘demand to dismiss can never be a lawful demand’.
456
Law@work
If the dispute giving rise to a strike has been settled or the employer has
agreed to the demands, the strike no longer has a purpose. In Afrox Ltd v
SACWU & others; SACWU & others v Afrox Ltd39 Landman J held that a strike can terminate in many ways such
as when the strikers abandon the strike and return
the substratum . . . [i]f the casus belli is removed, for example, by the employer conceding to the demands of the
strikers or by removing the grievance or by
resolving the dispute then the foundations of the strike fall away’. 40 If the strike
the Act.41
The LRA does not define a matter of mutual interest. 42 The phrase has a signifi-
cant pedigree, and was introduced in the 1924 Industrial Conciliation Act.43 The
relationship, and a mutuality of interest shared by the employer and the em-
The LRA draws no direct distinction between rights and interests disputes, nor
does it confine legitimate industrial action to one category or the other.45 In section 65(1)(c), the LRA prohibits
strikes and lock-outs when the issue in dispute is one that a party has the right to refer to arbitration or to the
Labour Court in
terms of any employment law.46 All of these are disputes about matters of mutual
If a strike complies with the statutory requirements in Chapter IV of the LRA, the strike is protected. Employees
engaged in a protected strike are given immunity
________________________
40 At 386.
41 For a discussion of the possible loss of protected status in the event of strike-related violence, see Rycroft ‘Can
a Protected Strike Lose its Status? Tsogo Sun Casinos (Pty) Ltd v Future of SA Workers Union & others (2012) 33
ILJ 998 (LC), (2012) 33 ILJ 821.
42 See ch 17.
43 Act 11 of 1924.
45 See NUM obo Snyders & others and Sonop Delwery [2005] 8 BLLR 858 (CCMA) in which the union argued
that their conflict did not amount to a strike because the dispute related to payment and not to a matter of mutual
interest as required by the definition of strike in s 213. Cheadle and Bamu (fn 32) at 95 reasoned that the ‘point is
that a matter of mutual interest can include rights. The fact that section 65 of the LRA prohibits strikes in respect
of certain specified legal entitlements does not mean that “a matter of mutual interest” in the definition of strike
does not embrace rights. Logically, if disputes over matters of mutual interest excluded rights disputes, most of the
limitations in section 65 would be redundant’.
46 See para 3 ‘Protected and unprotected strikes: Substantive limitations’. Prior to the Labour Relations
Amendment Act 6 of 2014 (LRAA) s 65(1)(c) made reference only to disputes that may be referred to arbitration
or to the Labour Court in terms of the LRA.
457
from delictual claims and claims for breach of contract and are protected
against dismissal.47 No right is absolute, however, and the LRA provides for specific limitations to the right to
strike. We discuss first the substantive limitations and then examine the procedural limitations.
Section 65 states in the first instance that no person may take part in a strike or lock-out or in any conduct in
contemplation or furtherance of a strike or lockout if:
be referred to arbitration;
l the issue in dispute is one that a party has the right to refer to arbitration or to the Labour Court in terms of the
LRA or any other employment law unless
the issue in dispute is about a matter dealing with a trade union’s access to
the contrary, no person may take part in a strike or lock-out if the person is
The purpose of this restriction is to prevent employers and employees from re-
sorting to the right to strike or lock-out in situations where the parties themselves have previously agreed that it
will not be appropriate for them to resort to industrial action over a particular issue at a particular time. Only a
registered trade union can agree to waive the right to strike in terms of section 65(1)(a). The collective agreement
may, however, bind non-parties to the agreement. 49
In South African National Security Employers Association v TGWU & others50 the employer sought to interdict a
strike in support of wage demands for the period
following the expiry of an existing wage agreement. The Labour Appeal Court
held that employees could strike in support of their demands in relation to future agreements even if the strike was
called during a period in which a binding
________________________
48 S 65(3) of the LRA. See also Vodacom (Pty) Ltd v CWU [2010] 8 BLLR 836 (LAC).
49 It has been argued that this prohibition of strike action may be unconstitutional in terms of s 23(2)(c) of the
Constitution.
51 NUMSA & others v Hendor Mining Supplies [2003] 10 BLLR 1057 (LC).
458
Law@work
In Vodacom (Pty) Ltd v CWU52 the Labour Appeal Court held that when a collective agreement regulates the issue
in dispute a certificate stating that the dispute with the employer remains unresolved would not ‘override the
clearly
stated limitation upon the right to strike as contained in section 65(1)(a) . . . In short, a certificate can in no way
trump the clear provisions of the limitation’. 53
arbitration
Section 65(1)(b) is wider in scope than section 65(1)(a) as it refers to an agreement and not a collective agreement.
It is possible that agreements between
Although the LRA provides a framework within which employers and employees
and their representatives can bargain collectively over matters of mutual in-
terest, the Act endorses the use of arbitration in certain circumstances. Section 191 of the LRA, for example, sets
out the situations in which a dispute about an
unfair dismissal or unfair labour practice must be referred for conciliation and
Section 65(1)(c) requires the court to identify those disputes that a party ‘has
the right to refer to arbitration or the Labour Court in terms of this Act or any other employment law’. The most
common disputes that fall into this category
include disputes about unfair dismissals, unfair labour practices, and the appli-
line cases that have caused problems when courts have been required to iden-
tify the issue in dispute in terms of section 65(1)(c). In Coin Security Group (Pty) Ltd v Adams & others55 the
court held that how the party defines the dispute is
not conclusive and that it will favour substance over form in order to establish
the true nature of the dispute. In this case, the Labour Appeal Court held that a strike was unprotected in
circumstances where the reason for the strike was a
The scope of the prohibition in section 65(1)(c) was examined in Ceramic In-
dustries Ltd t/a Betta Sanitaryware v NCABAWU.56 In this case, the employees referred two disputes to the
CCMA: non-payment of wages; and a complaint
missed. On appeal, the court held that this was a dispute that was justiciable:
________________________
52 Fn 48.
53 At para 11.
[t]he union could not convert the nature of that underlying dispute into a non-
justiciable one simply by adding a demand for a remedy falling outside those pro-
vided by the Act. The tail cannot wag the dog . . . [t]he refusal of a demand, or the failure to remedy a grievance,
always needs to be examined in order to
ascertain the real dispute underlying the demand or remedy. The demand or rem-
edy will always be sought to rectify the real, underlying, dispute. It is the nature of the dispute that determines
whether a strike in relation to it is permissible or not. 57
Disputes about organisational rights fall into a unique category. Trade unions that meet the required thresholds set
by sections 12 to 15 of the LRA may ultimately
resort to arbitration to acquire organisational rights. Section 65(2)(a), as discussed above, states that ‘despite
section 65(1)(c) a person may take part in a strike or a lock-out . . . if the issue in dispute is about any matter dealt
with in sections 12–
15’. The effect of this provision, read with section 65(2)(b), is that unions that meet the required thresholds may
elect either to strike or to refer the dispute to arbitration. Unions that do not meet the threshold (and therefore do
not qualify
for the acquisition of organisational rights through arbitration) may exercise the right to strike in support of their
demands. Section 189A similarly gives a union the choice of referring a dispute about the substantive fairness of a
retrenchment to the Labour Court for adjudication or giving notice of a strike. 58
In terms of section 65(3)(a)(i) no person may take part in a strike or lock-out while bound by a collective
agreement regulating the issue in dispute. This does not
preclude a strike over issues that are not regulated by the award or the collect-
ive agreement. If, for example, the award or agreement regulates minimum
wages, then it may be possible to strike over actual wages. 59 The prohibition only
BCEA,61 industrial action is prohibited, but only during the first year of that determination.
services
Essential services are those services that are necessary for the protection of life or personal safety. They are
defined in section 213 as meaning:
(a) a service the interruption of which endangers the life, personal safety or
57 At 724. See also Fidelity Guards Holdings (Pty) Ltd v PTWU [1997] 9 BLLR 1125 (LAC).
58 See ch 12 and NUMSA & others v Bader Bop (Pty) Ltd & another (fn 6); s 189A(8)(b)(ii).
59 Public Servants Association of South Africa v Minister of Justice and Constitutional Development & others
[2001] 11 BLLR 1250 (LC).
61 Ch 8 of the BCEA makes provision for sectoral determinations which establish basic conditions of employment
for a specified sector and area.
460
Law@work
The LRA also regulates minimum services and maintenance services. Minimum
services are those services provided by an employer that fall more broadly
within a service that is designated as essential. 62 In terms of section 75(1), a maintenance service is a service
which, while not essential, would result in ‘material physical destruction to any working area, plant or machinery’
were it to be interrupted. The nature and extent of the limitation on the right to strike in each case is discussed
below.
narrow, there is some uncertainty about which services fall within the scope of
the definition. Determining which services are to be regarded as essential is the function of the Essential Services
Committee established by the minister (after
lation and control of air traffic, the Weather Bureau of the Department of En-
vironmental Affairs and Tourism (associated with the regulation and control of
air traffic), municipal traffic services and policing, municipal health, municipal security, the supply and
distribution of water, the generation, transmission and
distribution of power, firefighting, services required for the functioning of courts, correctional services, and blood
transfusion services provided by the South African Blood Transfusion Service.
services are the South African Police Service and the Parliamentary service. 63
This does not mean, however, that all employees of the South African Police Ser-
vice and Parliament are prohibited from embarking on strikes. In South African Police Service v Police and
Prisons Civil Rights Union & another, 64 the Constitutional Court held that not all persons engaged in the South
African Police Ser-
vice are engaged in an essential service. Only members of the Police Service constitute an essential service.
Persons who are employees but not members of
the Police Service are not engaged in an essential service and therefore enjoy
The LRAA 2014 overhauled the mechanisms by which essential services and
the minister must appoint an Essential Services Committee the majority of which
and exercises national jurisdiction. Its main functions are to monitor the imple-
________________________
62 See Pillay ‘Essential Services: Developing Tools for Minimum Service Agreements’ (2012) 33
ILJ 801.
461
the whole or part of any service is an essential service and to determine whether it ought to be designated as such,
to determine disputes about whether the
whole or part of any service falls within the scope of a designated service, to
ratify any collective agreement that provides for the maintenance of minimum
service.
provide minimum services may strike or may be locked out; those employees
who provide the agreed or determined minimum services are not entitled to
Maintenance services are those in respect of which strike action may have the
workplace. 65 In the absence of agreement on a maintenance service, the committee may designate a service as a
maintenance service. Once designated as
nance services) may not strike nor can they be locked out. They will be required
vice), the employer will not be permitted to use replacement labour in any part
Section 74 of the LRA prescribes the procedure for the resolution of disputes of
interest in essential services. 66 Any party to a dispute about whether a service is an essential service, whether an
employer or employee is engaged in a designated essential service or whether a collective agreement should be
con-
cluded to provide for minimum services may refer the dispute to the Essential
possible.
________________________
65 See s 75 of the LRA. Deep-level gold mining, for instance, can become permanently unsafe and unworkable if
flood pumps are not operated on a continuous basis: the pumps need to be maintained during a strike.
66 If the parties to the dispute fall within the jurisdiction of a bargaining or statutory council, the dispute must first
be referred to that council for conciliation. If there is no council, the dispute must be referred to the CCMA for
conciliation. If conciliation by the council or the CCMA is unsuccessful, any party to the dispute may request that
the dispute be resolved through arbitration by either the council or the CCMA. The parties to the dispute will then
be bound by the arbitrator’s award.
462
Law@work
4 Protected and unprotected strikes: procedural limitations
The issue that is the subject of the dispute between the parties must have been
referred to the CCMA, or to the bargaining council if there is a council that has
After the referral of the dispute to the CCMA or bargaining council, there are
time-related limitations on the exercise of the right to strike. One of two events must have occurred – either a
certificate must have been issued to the effect
that the dispute remains unresolved, or a period of 30 days must have elapsed
from the date on which the CCMA or bargaining council received the referral.
4.3 Notice
Once the time-related conditions discussed above have been met, at least 48
hours’ notice of the intended strike must be given. 69 If the issue in dispute relates to a collective agreement to be
concluded in a bargaining council, the notice
organisation that is a party to the dispute, notice can be given to the employer
organisation. If the employer is the state, seven days’ notice of the commence-
The LRA is silent as to what form the notice is to assume, and the degree of
The Labour Court has held that the objective of the required statutory notice
was to give the employer proper warning of the strike, and an opportunity to
In SATAWU & others v Equity Aviation Services (Pty) Ltd72 the majority union
not to strike but some members of that union joined in the strike. This situation caused the employer to regard the
strike by the majority union as protected but
________________________
71 County Fair Foods (a division of Astral Operations Ltd) v Hotel, Liquor, Catering, Commercial and Allied
Workers Union & others [2006] 5 BLLR 478 (LC). However, the courts have accepted that a union may, in
principle, commence with a strike even after the day stipulated in the strike notice (see Tiger Wheels Babelegi
(Pty) Ltd v NUMSA (1999) 20 ILJ
677 (LC) and PSA v Minister of Justice and Constitutional Development [2001] 11 BLLR 1250
(LC)), and suspend and recommence a strike without giving a new or second strike notice ( Transportation Motor
Spares v NUMSA (1999) 20 ILJ 690 (LC)).
463
were dismissed. Equity Aviation claimed that when a trade union issued notice
to the employer it acted on behalf of its members, and only those employees
who were union members could strike. The Labour Court did not agree and
reasoned that section 64(1) of the LRA gives ‘every employee the right to strike’
without any clear specification on whose behalf the notice should be given.
Section 65 does not prohibit those employees who belong to a minority union
from striking. The court was therefore of the view that as long as notice had
been given in the proper manner, every employee could legitimately join in the
strike action. On appeal, the Labour Appeal Court examined whether or not
only those employees who were members of the union issuing the notice to the
The cardinal question that arises is whether the provisions of section 64 require non-unionised employees or
members of minority unions who are employed by the
same employer to refer the dispute to the CCMA and to give notice of the strike
action to the employer, notwithstanding that the issue in dispute has already been conciliated albeit by other parties
to the dispute, and notice has been issued by the majority union before they can lawfully participate in a lawful
strike’. 73
The Labour Appeal Court found that section 64(1) requires only that the ‘issue in dispute’ must have been referred
for conciliation and that 48 hours’ notice has
been given to the employer and that thereafter any employee may join the
strike, provided that the intention of all strikers is to resolve the issue in dispute. 74
In SAA (Pty) Ltd v SATAWU, 75 the Labour Court examined the timing of the notice and argued that the purpose of
section 64(1) is the effective resolution of the issue in dispute and that the section should be interpreted with this
purpose in mind. Giving notice to the employer by faxing it outside of working hours may
not satisfy the notice requirement in the section and may be seen to undermine
the requirement. The court reasoned that the Constitution and the LRA guaran-
teed a right to strike but the right is not an end in itself: ‘The structure of the Act is one in which the right to strike
is drawn from the institution of collective bargaining. The right to strike, fundamental as it is, is thus not an end in
itself – the resolution of disputes through collective bargaining remains the ultimate objective’. 76
The court held further that fairness also required that ‘strike notice should sufficiently clearly articulate a union’s
demands so as to place the employer in a
demands’.77 Furthermore the employer is ‘entitled to be made aware of the full package of demands, and that it be
placed in a position to assess how its
________________________
73 Equity Aviation Services (Pty) Ltd v SATAWU & others [2009] 10 BLLR 933 (LAC).
74 The Labour Appeal Court’s judgment was upheld by the Constitutional Court. See SATAWU
v Moloto [2012] 12 BLLR 1193 (CC) where the court confirmed that a strike notice need not specify precisely
which employees will participate in the strike.
76 At paras 21–22.
77 At para 27.
78 At para 28.
464
Law@work
l when the parties to a dispute are members of a bargaining council and the
dispute has been dealt with by the council in accordance with its consti-
tution;
Section 64(4) provides that when a dispute about any unilateral change to terms
and conditions of employment is referred for conciliation, the referring union or employee party may require the
employer not to implement the change, or to
restore the status quo if the employer has already implemented the change.
Section 64(5) requires the employer to comply with this requirement within 48
hours.
employment. Disputes concerning this section arise most often in the course of
wage negotiations, when the employer party implements the wage increase it
is offering in the face of a threat of a strike. The salutary effect of the tactic on union members is obvious,
particularly when the gap between the employer’s
offer and a union’s demand is not significant. But the tactic may also undermine
the collective bargaining process, and in the absence of any statutory duty to
bargain and regulation of bargaining conduct, section 64(4) provides the only
form of recourse.
What the section does is effectively to interdict the employer from proceed-
ing with the unilateral change, until the period for statutory conciliation has been exhausted. The ‘temporary
interdict’ that the section establishes is therefore designed to preserve the integrity of the bargaining process, and
in the absence
of any prohibition to the contrary, the implication is that once the period has
lapsed (a certificate has been issued or 30 days or any agreed longer period
When the issue in dispute concerns a refusal to bargain, then an advisory arbi-
tration award must have been made before a notice of intention to commence
a strike may be given. 79 An advisory award, as the term indicates, is not binding and parties may choose to ignore
the award and pursue their demands through
industrial action.
A refusal to bargain dispute is defined to include a refusal to recognise a union as a collective bargaining agent, a
refusal to agree to the establishment of a
________________________
79 S 64(2) of the LRA: FGWU v Minister of Safety and Security (1999) 20 ILJ 1258 (LC); County Fair Foods (a
division of Astral Operations Ltd) v Hotel, Liquor, Catering, Commercial and Allied Workers Union & others (fn
71).
465
agent, the resignation of a party from a bargaining council, and disputes about
the insertion of sections 150A to D into the LRA. These provisions make it possible for the director-general of the
CCMA to appoint an advisory arbitration panel,
strike or lock-out is no longer functional to collective bargaining in that it has continued for a protracted period and
no resolution is imminent, there is an
imminent threat to the violation of constitutional rights by persons participating in or supporting the strike or lock-
out, or the strike or lock-out causes or exacerbates an acute national or local crisis. The explanatory memorandum
to the Bill
resolve strikes that are intractable, while respecting ILO obligations that apply to intervention by the state in
industrial action.
trade union and employer party to the dispute. The appointment of the panel
does not suspend the right to strike or any recourse to lock-out in accordance
with Chapter IV of the Act. The panel must issue an award, and make recom-
mendations for the resolution of the dispute. The parties may accept or reject
the award. Section 150D sets out the conditions that apply in sectoral disputes
5 Secondary strikes
5.1 Definition
Section 66 of the LRA establishes the right to engage in secondary strikes. The
In this section ‘secondary strike’ means a strike, or conduct in contemplation or furtherance of a strike, that is in
support of a strike by other employees against their employer but does not include a strike in pursuit of a demand
that has been referred to a council if the striking employees, employed within the registered
The section defines a secondary strike as a strike in support of a strike by other employees against their employer
(often referred to as a ‘primary strike’). Two
things are clear from this definition: there must be a primary strike (the employees of the primary employer must
have gone on strike or at least given notice of
their intention to do so) and the target of the primary strike must be a legal
entity that is not the employer of those employees who intend to engage in the
secondary strike. 81
________________________
81 See SA Airways v SATAWU & others (2006) 27 ILJ 1034 (LC) at paras 19–21.
466
Law@work
inition, are employed by an employer that is not a party to the dispute that has
given rise to the primary strike. Their action is secondary because they strike in support of or in sympathy with
those employees who participate in the primary
strike. Sympathy strikes, in a generic sense, include all strikes in support of a primary strike. So, for example, a
secondary strike would generally be a sympathy
strike, but so will a strike by employees of the primary employer who are not directly affected by the issue giving
rise to the strike. This often occurs when em-
ployees who are not engaged in a bargaining unit in respect of which a dispute
exists elect to participate in a strike called in respect of that dispute. The employees concerned stand to gain no
direct benefit by striking, so their strike is one in sympathy with those who do. Because the same employer
employs
them, however, their strike is not a secondary strike as defined by the LRA. So for example, in SATAWU & others
v Equity Aviation Services (Pty) Ltd82 the Labour
Court held that ‘it would be absurd to have a protected and unprotected strike
in respect of the same dispute between the same employer and its employees’.
In Chubb Guarding SA (Pty) Ltd v SATAWU83 the court considered whether secondary strikers are required to
comply with procedures contained in a binding collective agreement before they can embark on (protected) strike
action.84
The court held that in the case of a secondary strike the reasonableness require-
ment in section 66 makes it essential that the collective agreement procedures
be followed.
The right to engage in a secondary strike is not unlimited. The LRA imposes three limitations. The primary strike
must be lawful, seven days’ notice must have been given to the secondary employer, and the nature and extent of
the secondary
strike must be reasonable in relation to the possible direct or indirect effect that the secondary strike may have on
the business of the primary employer. 85
The first two requirements are procedural. The last of the requirements effect-
ively defines the nature and extent of any right to engage in secondary action.
The nature and scope of the application of this requirement is complex, and the
Labour Court decisions that have tackled the interpretation of this provision are inconsistent.
The requirement that the nature and extent of secondary strike must be reason-
able in relation to the possible effect on the business of the primary employer
________________________
82 Fn 69 . In this case the employer claimed that the strike by those members of a non-striking minority union was
unprotected as the majority union had only given notice for and on behalf of its members.
84 In the case of primary strikes the courts have, controversially, held that employees can elect to follow either the
collective agreement or the statutory pre-strike procedures (see County Fair Foods (Pty) Ltd v FAWU & others
[2001] 5 BLLR 494 (LAC) and Columbus Joint Venture t/a Columbus Stainless Steel v NUMSA [1997] 10 BLLR
1292 (LC)).
85 S 66(2).
467
necessarily implies a principle of proportionality. The first enquiry into proportionality is a factual one, and
requires an evaluation of the nature and extent of the proposed secondary action. This in turn involves an enquiry
into the effect of the strike on the secondary employer. The enquiry then shifts to a determination of
whether the secondary strike is capable of having any effect on the business of
the primary employer, and if so, the nature and extent of that pressure. Finally, the proportionality principle must
be applied by balancing the reasonableness
of the nature and extent of the secondary strike against its effect on the primary employer.
The application of the principle is best illustrated by way of example. If a motor car manufacturer is in a wage
dispute that is the subject of a primary strike, and if the employees of a tyre company that supplies the car
manufacturer decide
to embark on a secondary strike and do so by refusing to deliver tyres to the car manufacturer, the secondary strike
will probably be protected. In this instance,
the secondary strike has a direct impact on the business of the primary employer
(it receives no tyre deliveries) and the nature and extent of the strike is one that is limited in relation to the
secondary employer (the refusal is not to deliver to all car manufacturers, but only not to the one that is affected by
the primary strike).
Court to interdict any secondary strike that does not comply with the section.
The secondary employer must give 48 hours’ notice of any intention to apply for
an interdict.
the three limitations on, or requirements for, a secondary strike. This case occurred at the time of the protracted
and costly public service strike in mid-2007. The South African Municipal Workers Union (SAMWU) sent a letter
to SALGA (an employers’ organisation) on 1 June 2007 in which the union stated that ‘it was con-
made by public servants’,87 and that the proposed industrial action was to be limited to a ‘short and sharp’ one-
day strike on 13 June 2007. 88 The court
acknowledged that the LRA permits secondary strikes but held that the right to
strike in this manner is not unlimited. 89 The court examined the nexus between the municipality and the national
and provincial spheres of government and the
factors – the reasonableness of the nature and extent of the secondary strike (this is an enquiry into the effect of the
strike on the secondary employer and will require consideration, inter alia, of the duration and form of the strike,
the number of employees involved, their conduct, the magnitude of the strike’s impact on the sec-
ondary employer and the sector in which it occurs) and secondly, the effect of the ________________________
87 At para 4.
89 At para 9.
468
Law@work
The court concluded after a careful assessment of the facts that SAMWU had
and extent of the secondary strike was reasonable in relation to its effect on the
business of national government.91 On appeal92 the Labour Appeal Court upheld the application of the
proportionality principle and the decision by the
Labour Court that the nature and extent of the secondary strike would impact
6 Protest action
refusal to work, or the retardation or obstruction of work, for the purpose of promoting or defending the socio-
economic interests of workers, but not for a pur-
pose referred to in the definition of strike’. In other words, protest action assumes the form of a strike, but it is
called for a different purpose. The reference to the promotion and defence of the socio-economic interests of
workers is drawn
from the decisions of the ILO’s supervisory bodies which have considered that
social interests. These are not limited to occupational interests in the form of
better wages and conditions of work, they refer also to economic and social
policy issues that are of direct concern to workers. Contrasted with these in-
terests are purely political interests, which do not fall within the ambit of the right to strike, or the right to engage
in protest action. The line between political issues and socio-economic interests is obviously fine.
from participating in a protest action and sets four conditions that must be met
of trade unions;
l the parties who called out the protest action must serve a notice on NEDLAC
and this notice must state the reasons for the protest action as well as the
________________________
90 At para 16.
91 At para 23.
92 SALGA v SAMWU [2011] 7 BLLR 649 (LAC). The application of the proportionality principle had previously
been rejected by the Labour Court. See, eg, Hextex & others v SA Clothing and Textile Workers Union & others
(2002) 23 ILJ 2267 (LC).
93 At paras 16–17.
469
7 Protected strikes
Once a strike is protected, the right to participate in the strike extends beyond the group of employees who are
directly affected by the dispute, or its outcome. 95 Employees who are engaged outside the bargaining unit in
which the
dispute exists may strike, 96 as may employees who are not members of the
7.1 Immunities
The LRA offers protection to strikes and strikers where the requisite procedures
have been followed. Immunity is given against delictual claims by the employer
and against claims for breach of contract.98 The employer is also prevented
from interdicting anyone taking part in a protected strike or lock-out or claiming damages for any conduct in
contemplation or furtherance of a strike or lock-
This immunity, however, does not ensure that the employee will receive re-
muneration during the strike,100 nor is an employee immune from any conduct
that is unlawful.101 On the other hand, an employer’s failure to comply with a clause that regulates when
disciplinary action may be taken against employees
95 Early Bird Farms (Pty) Ltd v FAWU & others [2004] 7 BLLR 628 (LAC).
98 S 67(2) of the LRA states that ‘[a] person does not commit a delict or a breach of contract by taking part in a
protected strike or a protected lock-out or in any conduct in contemplation or in furtherance of a protected strike or
protected lock-out’.
99 See Coin Security Group (Pty) Ltd v SANUSO (1998) 19 ILJ 43 (C).
100 S 67(2) states that participation in a protected strike is not a breach of contract and logically therefore the
employer would be obliged to continue paying the employees taking part in the strike. To avoid this situation, the
LRA provides in s 67(3) that despite subsection (2) ‘an employer is not obliged to remunerate an employee for
services that the employee does not render during a protected strike or lock-out’. There are, however, exceptions to
this rule including payment in kind for ‘accommodation, food and basic amenities of life’.
101 S 67(8) expressly excludes any conduct that is an ‘offence’. This presumably includes both civil and criminal
offences, such as trespass, vandalism, assault, intimidation or other acts of misconduct against the property and
person of the employer, other employees, customers and the like. See also Mondi Ltd – Mondi Kraft Division v
CEPPWAWU & others (2005) 26 ILJ 1458 (LC).
102 In CWU & others v SA Post Office Ltd (2005) 26 ILJ 1679 (LC) it was held that where a collective agreement
states that no disciplinary action may be taken against employees who are involved in an unprotected strike before
the expiry of a certain period, and the employees are dismissed in contravention of this provision the dismissal will
probably be substantively and procedurally unfair.
470
Law@work
and unlawfully towards its employees103 may result in the employer being sanc-
tioned and the dismissal being unfair. In NUMSA & others v Pro Roof Cape (Pty) Ltd104 the court held that ‘the
employer’s provocative conduct contributed sig-
nificantly to the strike action and mitigates its unprocedural nature’. 105 It was
held further that the employees had acted peacefully during the short strike
and that the behaviour of the employer may mitigate the seriousness of the em-
found that the dismissals were substantively and procedurally unfair. In NUMSA & others v Atlantis Forge (Pty)
Ltd106 the court held that in the final analysis the dis-
missal for going on an unprotected strike was unfair even though the employ-
ees’ demand, regarding the late payment of bonuses, was not legitimate and
It is clear from these recent cases that the court will not allow the employer to
Section 67(4) of the LRA provides that an employer may not dismiss employees
for taking part in a protected strike. This is possibly the most valuable protection offered to employees – if an
employee is dismissed for participation in a protected strike, in terms of section 187(1)(a) this will be an
automatically unfair
dismissal.108
conduct during a strike; if they do, section 67(4) will not protect them and they may be dismissed fairly. Equally,
employees may be dismissed on the basis of the
employer’s operational requirements, but the courts will then examine whether
the real reason for the dismissal was indeed the operational reasons of the em-
ployer. In SACWU & others v Afrox Ltd109 the Labour Appeal Court held that there is a two-fold enquiry to
establish the reason for dismissal of strikers:
The first step is to determine the factual causation . . . would the dismissal have occurred if there was no
participation or support for the strike? If the answer is yes, then dismissal was not automatically unfair. If the
answer is no, that does not
render the dismissal automatically unfair; the next issue is one of legal causation, ________________________
103 In NUMSA & others v Pro Roof Cape (Pty) Ltd (2005) 26 ILJ 1705 (LC) it was held that an ultimatum must
give employees a reasonable time to reflect on their conduct and disciplinary hearings for dismissed employees
must be held before dismissal and not after dismissal as happened in this case.
104 Ibid.
107 An employer is not entitled to take disciplinary action against employees where they comply with an
ultimatum, unless the right to do so has been explicitly reserved – MM & G
Engineering (Pty) Ltd v NUMSA & others (2005) 26 ILJ 1326 (LAC). When an employer dismisses strikers after
issuing an ultimatum without first consulting the union, such dismissal may be procedurally unfair ( National
Union of Metalworkers of South Africa (NUMSA) v CBI Electric African Cables [2014] 1 BLLR 31 (LAC)).
471
In fact, the employer must follow the usual procedures for a dismissal for oper-
ational reasons before dismissing employees, who are on a protected strike, for
unfair dismissal, the LRA protects strikers against discrimination by the employer.
Section 64(1) gives ‘every employee . . . the right to strike’ and when read with section 5112 of the LRA this
means that no employer may do anything that will discriminate against, or prejudice, those workers on strike by
preferring or benefiting those not on strike. This means that employers may not give financial benefits or bonuses
to those workers not on strike or withdraw discretionary benefits
Section 68(1)(b) provides that where a strike or lock-out does not comply with
the provisions in Chapter IV for a protected strike or lock-out the Labour Court
has jurisdiction to ‘order the payment of just and equitable compensation for
any loss attributable to the strike or lock-out’. By implication, therefore, if a strike or lock-out is protected there is
immunity from a claim for compensation.
Section 68(1)(b), however, does require that the court take cognisance of the
following:
l whether attempts were made to comply with the provisions of the Act and
l whether there was compliance with an order restraining the strike or lock-
out;
l the financial position of the employer, trade union and the employees.
The court therefore has discretion to award compensation or not. It has been
held that before the court will exercise its discretion it must be satisfied that the strike is indeed unprotected, that
the employees or trade unions involved have
participated in the unprotected strike and that the employer suffered a loss as a ________________________
110 Ibid at para 32.
112 S 5(1) of the LRA states that ‘[n]o person may discriminate against an employee for exercising any right
conferred by this Act’. Refer also to ch 14.
113 See Du Toit et al Labour Relations Law: A Comprehensive Guide (2015) at 221-223 and 356-358. See also
FAWU v Pets Products (Pty) Ltd [2000] 7 BLLR 781 (LC).
472
Law@work
result of the strike. 114 In Rustenburg Platinum Mines Ltd v Mouthpiece Workers Union it was held that an
employer would only be entitled to compensation that was just and equitable and this would be determined by
weighing up the loss
suffered against the nature of the conduct and the blameworthiness of those
responsible.115 In Algoa Bus Company v SATAWU & others116 the Labour Court held that the employer was
entitled to compensation where the strike was unlawful and brought the business to a halt but the company was not
entitled to
full compensation in a situation where the strike was short-lived. The court held that compensation must be just
and equitable and this meant ‘no more than
Members and supporters of a registered trade union have the right to picket in
lock-outs. This right is regulated by section 69 of the LRA and is further protected by the fundamental rights to
freedom of expression118 and freedom of assem-
Section 69(1) gives a registered trade union the right to authorise a picket by
unprotected.
A Code of Good Practice on Picketing (the ‘code’) has been issued by NED-
LAC120 and this gives employers, employees and members of the public guide-
lines on what is acceptable behaviour for those taking part in a picket. There is sometimes a fine line between what
is acceptable and what constitutes intimid-
The Code of Good Practice on Picketing sets out the purpose of the picketing
in item 26(1):
members of the public to oppose a lock-out or to support strikers involved in a protected strike. The nature of the
support can vary. It may be to encourage employ-
ees not to work during the strike or lock-out. It may be to dissuade replacement
labour from working. It may also be to persuade members of the public or other
________________________
114 Rustenburg Platinum Mines Ltd v Mouthpiece Workers Union [2002] 1 BLLR 84 (LC).
115 Ibid at 91F. The parties would arguably retain their common-law rights to claim compensation.
121 Du Toit et al (fn 113) at 367 state that conduct ‘should at least be shown to have induced a reasonable
apprehension of harm in the person at whom it was directed’ before it is regarded as intimidatory.
473
The courts have held that picketing employees may stand outside the gates of
the employer’s premises in a public area and hold, display or wave placards to
communicate with the employer and the public or anyone who may have deal-
ings with the employer. The communications should not constitute a criminal
offence. The picketing employees and supporters can also speak with members
of the public and sing, chant or dance to draw attention to their cause.122 The code establishes that the only duty
of the police is to uphold the law and not to
Section 69(2) goes on to provide that the picket may be held in any place to
which the public has access but outside the premises of the employer, or, with
the employer’s permission, inside its premises. Permission to hold the picket
picketing, when a dispute that may give rise to a strike is referred for concili-
ation, the commissioner conciliating the dispute must attempt to secure agree-
ment on picketing rules before the 30-day cool off period contemplated by
section 64(1)(a)(ii) expires. If no picketing rules are agreed or established in that period, the commissioner must
determine picketing rules, based on those that
form the subject of the code, and taking into account the circumstances of the
workplace and the intended location of the picket, any relevant code of prac-
tice and any representations made by any party in attendance at the concili-
ation meeting.
The picketing rules determined by the commissioner may provide for picket-
ing in a place other than that controlled by the employer (eg a shopping mall
make representations to the commissioner before the rules are determined. The
commissioner may also determine rules that provide for picketing on the em-
ployer’s property if the commissioner is satisfied that the employer’s permission to do so has been unreasonably
withheld. The commissioner is required to determine the picketing rules before the certificate of outcome is issued
in terms of section 64(1)(a).
duced section 69(6C) provides that no picketing may take place unless picket-
ing rules are agreed in a collective agreement binding on the trade union con-
outcome is issued.
tected strike (see section 67) are extended to employees who call for or partici-
________________________
122 See further Picardi Hotels Ltd v FGWU (fn 15) for the various acts enumerated by the court that may be
performed by picketing employees.
Law@work
If there is a dispute about the right to picket (including any dispute about
picketing agreement), the dispute must be referred to the CCMA for concili-
ation. If it remains unresolved, it may be referred to the Labour Court for adjudi-
cation.125 Section 69(12) gives the Labour Court the power to grant just and
equitable relief, including urgent interim relief, which may include an order
bringing of an application are prescribed (see section 69(13)), but the Labour
Picketing disputes differ from other disputes in that members of the public may
also be involved and have cause to interdict or sue picketing employees. This
was the case in Fourways Mall (Pty) Ltd & another v SACCAWU & another127
where it was held that a party that is not the employer may seek an interdict
relationship and the dispute therefore falls outside the jurisdiction of the Labour Court.
The right to picket is not unqualified. The Supreme Court of Appeal has held
that the Regulation of Gatherings Act 205 of 1993 is applicable to strike and protest action that becomes riotous,
and that the public is entitled to be protected
from ‘the tyranny of the mob’.128 When a strike or protest becomes riotous the
public interest trumps the demands of workers, and unions and union organisers
are potentially liable for damage caused by union members. The Constitutional
Court upheld the Supreme Court of Appeal’s judgment and expressed the view
that organisations must be alive to the possibility of damage and cater for it
from the beginning to the end of the protest action. They must be satisfied ‘that an act or omission causing damage
is not reasonably foreseeable and that
reasonable steps are continuously taken to ensure that the act or omission that
In Dis-Chem Pharmacies Ltd v Malema & others,130 the Labour Court relied on Garvis to find that where a picket
is no longer peaceful, the right to grant ‘just and equitable relief’ extended to an order in terms of which picketing
rules were ________________________
128 South African Transport and Allied Workers Union v Garvis & others [2011] 12 BLLR 1151
(SCA).
129 SATAWU v Garvas & others [2012] 10 BLLR 959 (CC) at para 44. See also Wallis ‘Now You Foresee It, Now
You Don’t – SATAWU v Garvas & others’ (2012) 33 ILJ 2257.
475
suspended and declared of no further force and effect for the duration of the
issue in dispute.
8 Lock-outs
The 1956 LRA defined a lock-out in more expansive terms as including termin-
ation of employment. As will be noted from the definition below, the definition
of lock-out under the LRA is limited to an exclusion of employees from the em-
ployer’s workplace. Whether this is limited to a physical exclusion from the em-
this chapter, employers have recourse to lock-out in terms of the LRA but they
matter of mutual interest between employer and employee, whether or not the
This definition does not allow for a ‘secondary’ lock-out as the employer must
have a demand that it must seek to compel its employees to accept. 131 The
Labour Court has held that a lock-out demand must encompass more than
These are not terms that are used in the LRA. However, in section 76 which
places limits on the use of replacement labour during a protected strike, the LRA refers to a lock-out, in response
to a strike. 133 In practical terms, the distinction
________________________
131 Du Toit et al (fn 113) suggest (at 341) that ‘Under the previous Act the employer could have avoided its
obligation to pay those employees who continued to tender their services by locking out the entire workforce. The
lock-out of non-striking employees, however, is effectively a secondary lock-out and appears no longer to be
covered by the definition’. This argumentation seems sound and this results in the position that an employer who
locks out an entire workforce may be held liable for breach of contract in relation to those employees who tender
services but who are excluded from the workplace and not paid their wages.
132 See Vanadium Technology (Pty) Ltd v NUMSA (1997) 18 ILJ 740 (LC), as referred to in Du Toit et al (fn 113)
at 340.
133 S 76(1)(b) of the LRA. In SACTWU v Stuttafords Department Stores Ltd (1999) 20 ILJ 2692 (LC) the
employer hired casual employees that it was in the habit of employing on an ad hoc basis, as replacement labour
for the locked-out employees on the basis that this was a regular pool of workers and the company was merely
following normal practice. The court held that this was not acceptable and that s 76 was wide enough to cover this
type of arrangement. The other instance when replacement labour is not permitted is where a part of the
employer’s business has been designated as a maintenance service (s 76(1)(a)).
476
Law@work
between the two is one that relates to the use of replacement labour – where a
lock-out is in response to a strike, the employer is entitled to employ persons to continue to maintain production
during the course of the protected strike.
The substantive limitations on the right to lock-out mirror those that apply to
strikes. For example, an employer may not lock-out in respect of an issue where
where the issue is one that must be referred to arbitration or where the em-
ployer is engaged in an essential service. Similarly, the procedural requirements contained in section 64 of the
LRA apply to lock-outs. Thus an employer is
but the employer must be sure that the workers are indeed on strike before
lock-out, and no civil proceedings may be instituted against the employer in that regard. Employees who are
locked out therefore are not entitled to remuneration, despite the fact that they may tender their services during the
course of
In the case of a sectoral level dispute, where a dispute giving rise to a lock-
out has been referred to a bargaining council for conciliation, an employer is not entitled to lock-out members of a
minority union that was not a party to a bargaining council at the time that the dispute was referred. In Transport &
Allied Workers Union of SA v Putco Ltd,137 the employer had locked out all of its employees in support of a
sector-wide wage dispute, including employees who
were members of a minority union that was not a party to the bargaining coun-
cil. The Constitutional Court, overturning the Labour Appeal Court, held that if
no demand had been made of the union (because it was not a party to the
bargaining council), its members could not be lawfully locked out. Further, no
sation that is just and equitable for any loss attributable to the lock-out.138
________________________
134 Except in the case of the State where, as for a strike, the required notice is seven days.
135 See Vanadium Technology (Pty) Ltd v NUMSA (fn 132) and Kgasago & others v Meat Plus CC (1999) 20 ILJ
572 (LAC).
17
Dispute resolution
Page
1 Introduction
....................................................................................................
479
4 The CCMA
......................................................................................................
485
4.3.1
General
........................................................................................
488
4.3.2
Inquiry
by
arbitrator
.....................................................................
490
5 Bargaining councils
.......................................................................................
491
6 Legal representation
.....................................................................................
492
8.1
Introduction
............................................................................................
495
8.3
Overlapping
jurisdiction
........................................................................
500
477
Dispute resolution
479
1 Introduction
ing labour courts, 2 tribunals3 and administrative boards,4 or a combination of these. The main reasons for the
establishment of specialist dispute resolution structures include the need for expeditious, efficient and affordable
procedures, and
The Explanatory Memorandum to the draft Labour Relations Bill observed that
the Bill ‘fundamentally and dramatically overhauls the dispute resolution pro-
institutions and procedures established by the 1956 LRA, the overhaul effected
by the LRA is indeed both fundamental and dramatic. Central to the Act is the
resolving labour disputes. 7 Labour legislation places a premium on conciliation, and generally speaking, all
labour disputes must be referred to the CCMA for
conciliation before referral to the next stage of the dispute resolution process.
Bargaining councils retain the dispute resolution role that they had under the
1956 LRA, consistent with the philosophy of autonomy and self-regulation within
organised sectors. Unlike its predecessor, the LRA accords a significant role to
and support to dispute resolution by accredited private agencies.8 The Act also
establishes specialist labour courts, ring-fenced from the civil court system, and staffed by judges appointed with
the concurrence of NEDLAC. 9 Underlying the ________________________
1 Hepple ‘Labour Courts: Some Perspectives’ (1980) Current Legal Problems 169. Le Roux
‘Substantive Competence of Industrial Courts’ (1987) 8 ILJ 183; Jordaan and Davis ‘The Status and Organization
of Industrial Courts: A Comparative Study’ (1987) 8 ILJ 199.
2 Specialist labour courts operate in France ( Conseil de Prud’hommes), Germany ( Arbeits-gericht) and Sweden (
Arbetsdomstolen).
4 In the USA, the National Labor Relations Board performs a number of dispute resolution functions.
5 See The Complete Wiehahn Report Parts 1–6 (1982) part 1, ch 5, at para 1.4.22 for a discussion of the reasons
why the Industrial Court was established and the Explanatory Memorandum prepared by the Ministerial Task
Team published in (1995) 16 ILJ 278 for the reasons for the establishment of the CCMA and labour courts.
8 In the Explanatory Memorandum the drafters note: ‘One of the draft Bill’s central themes is its recognition of
privately agreed procedures. Where these exist, the parties are not required to follow the statutory procedures. A
dispute will proceed through the mechanisms agreed to by the parties’. S 24(1) of the LRA provides that each
collective agreement, except an agency shop agreement and a closed shop agreement, must provide for a
procedure to settle any dispute regarding the interpretation or application of the collective agreements.
9 Jordaan and Davis (fn 1) at 219 cite De Givry ‘Labour Courts as Channels for the Settlement of Labour Disputes
– An International Review’ 1986 British Journal of Industrial Relations 364 at 371 who alludes to the fact that a
number of principles are significant for the proper functioning of labour courts, namely: labour courts should be
appointed on a permanent basis; Labour Court judges should have special experience and knowledge in labour
continued on next page
480 Law@work
new dispute resolution system is the imperative that labour disputes should be
resolved efficiently, expeditiously and inexpensively – one of the primary objectives of the LRA is ‘to promote the
effective resolution of labour disputes’. 10
2 What is a ‘dispute’?
categorises labour disputes. Section 213 of the Act does not define a ‘dispute’
in any substantive sense – the definition simply states that a ‘dispute’ includes an ‘alleged dispute’. 11 The Labour
Appeal Court has noted that logically, a dis-
pute requires, at a minimum, a difference of opinion about a question.12
right and disputes of interest,13 the Act does not distinguish between different
types of disputes in those terms. To classify disputes as either interest or rights disputes may be a convenient
shorthand to distinguish respectively disputes about
the creation of new rights and disputes about the application of existing rights, but these labels may lead to
confusion when attempting to identify the nature
of a particular dispute and its potential destinations under the dispute resolution
The primary concept at work in the statutory structure is that of a dispute about
isations on the one hand, and employees and/or trade unions on the other. The
LRA does not define the term ‘matter of mutual interest’ but it is used in a num-
ber of different contexts. Section 134 provides generally that disputes about
matters of mutual interest may be referred to the CCMA. The same formulation
is to be found in section 51, in relation to disputes about matters of mutual interest ________________________
matters; labour courts should have exclusive jurisdiction in individual contracts of employment and collective
agreements; settlement should be sought by means of conciliation before judicial determinations are made;
procedures should be simplified and all measures should be taken to expedite procedures; services should be free
of charge; and workers should enjoy protection against discrimination which could prevent them from having
recourse to the labour courts.
11 This has been held to mean that an actual impasse is not necessary for there to be a dispute – it is sufficient that
there be a demand made on a party that given an opportunity to comply with it, does not comply. See Edgars
Stores ( Pty) Ltd v SACCAWU [1998] 5 BLLR
447 (LAC) and Du Toit, Godfrey, Cooper, Giles, Cohen, Conradie and Steenkamp Labour Relations Law: A
Comprehensive Guide (2015) at 129–130.
12 Health & Other Services Personnel Trade Union of SA obo Tshambi v Department of Health, KwaZulu-Natal
(2016) 37 ILJ 1839 (LAC) at para 17.
13 See, eg, Department of Justice & Constitutional Development v Van der Merwe NO & others (2010) 31 ILJ
1184 (LC) at para 23.
14 This is not to say that distinguishing between disputes of right and disputes of interest is an unhelpful exercise.
Many jurisdictions draw this distinction, particularly for the purposes of demarcating jurisdictions of dispute
resolution bodies, for limiting the right to strike, or both.
The point here is that the LRA does not use this terminology.
Dispute resolution
481
that arise within the registered scope of a bargaining council. The definitions of
‘strike’ and ‘lock-out’ in section 213 both refer to disputes about matters of
mutual interest, and effectively require that the purpose of any industrial action must be to resolve ‘a dispute about
any matter of mutual interest between
The courts have interpreted the phrase ‘matter of mutual interest’ widely, 16
and it is perhaps best thought of as a matter that arises in the context of the
cently observed that the term ‘mutual interest’ is not defined in the LRA, but
that it ‘serves to define the legitimate scope of matters that may form the sub-
social and economic interests, 19 as well as what might be termed purely political disputes.
interest dispute – these are very different concepts. Interest disputes, like rights disputes, when they arise in the
context of an employment relationship, are subsets of the broader category of disputes about matters of mutual
interest. In
other words, disputes about ‘matters of mutual interest’ include disputes of right
The LRA distinguishes three sub-categories of disputes within the broader cate-
gory of disputes about matters of mutual interest, and draws distinctions be-
tween them based on the dispute resolution mechanism by which they must
l disputes that are arbitrable (in other words, disputes that must be arbitrated by the CCMA or a bargaining council
having jurisdiction);
l disputes that are justiciable (in other words, disputes that must be adjudi-
________________________
15 See ch 16.
16 See Rand Tyres & Accessories ( Pty) Ltd v Industrial Council for the Motor Industry ( Tvl) , Minister for
Labour & Minister for Justice 1941 TPD 108.
17 De Beers Consolidated Mines Ltd v CCMA & others [2000] 5 BLLR 578 (LC). See also National Union of
Metalworkers of South Africa obo members v South African Airways SOC
18 Department of Home Affairs & another v Public Servants Association & others (2017) 38 ILJ
1555 (CC), quoting Vanachem Vanadium Products (Pty) Ltd v National Union of Metalworkers of SA & others
[2014] 9 BLLR 923 (LC).
19 These may be the subject of protest action – see the definition of ‘protest action’ in s 213, and s 77 of the LRA.
20 De Beers Consolidated Mines Ltd v CCMA & others (fn 17) at 581C. See also Department of Home Affairs &
another v Public Servants Association & others (fn 18), especially at para 7 and more generally, Apollo Tyres SA
(Pty) Ltd v Commission for Conciliation, Mediation and Arbitration & others [2013] 5 BLLR 434 (LAC).
482 Law@work
l disputes that must be resolved by the exercise of economic power (in other
The LRA indicates, in each case, which disputes are to be resolved by which
process. For example, section 9 provides that disputes about the application
ultimately be referred to the Labour Court for adjudication. Section 191 requires disputes about unfair dismissals,
when the reason for dismissal is misconduct or
incapacity, to be arbitrated. If the reason for dismissal is alleged to be automatically unfair, the dispute must be
referred to the Labour Court for adjudication.
There is no general rule that applies, although in most instances, disputes about the creation of new rights
(especially in relation to the wage-work bargain) are
rights and rights established by existing collective agreements are usually arbi-
trable or justiciable. This is not a clean distinction – there are at least two categories of dispute where parties have
a choice of either arbitration or adjudica-
tion on the one hand or industrial action on the other. These are disputes about
organisational rights21 and disputes about whether there is a fair reason for a dismissal on account of the
employer’s operational requirements. 22 In both instances, an election must be made whether to strike in support
of a demand
made of the employer or whether to refer the dispute to arbitration (in the case
of organisational rights) or to the Labour Court (in the case of an unfair dismissal). An employee dismissed for
reasons related to operational requirements,
when that employee is the only employee dismissed by the employer, may
elect to refer a dismissal dispute to the Labour Court or to have the dispute arbitrated by the CCMA.
and the further classification of the dispute as arbitrable, justiciable or the subject of economic power, is not only
an academic exercise. The classification of
a dispute determines whether the dispute may be referred to the statutory dis-
pute resolution processes at all, and, if it may, what options are available to the referring party. The following
examples illustrate the point. If a trade union wishes to promote the social and economic interests of workers by
calling for a stay-away from work in protest against an increase in VAT, the issue is not likely to
workers. That being so, the issue must be resolved through the protest action
procedures established by section 77 of the LRA. If a trade union calls for a stay-away in support of a campaign
against the deployment of troops in foreign
jurisdictions, the issue is likely to be classified as purely political and therefore not as a matter of mutual interest.
If a trade union is in dispute with an employer
over a wage increase that the union has demanded, the dispute is clearly one
that concerns a matter of mutual interest. Section 134 directs that the dispute
________________________
21 See ch 14.
22 See ch 12.
Dispute resolution
483
be referred to the CCMA for conciliation. If conciliation fails, the Act does not provide for the dispute to be
arbitrated or adjudicated (except in the case of
an essential service), so sections 64 and 65 apply: the parties may exercise their rights to strike and lock-out. If a
trade union is in dispute with an employer over the dismissal of a shop steward who the union alleges has been
victimised, the
dispute clearly concerns a matter of mutual interest and in terms of section 191
may be referred to the CCMA for conciliation. If the dispute is not resolved,
section 191(5)(b)(i) requires the union to refer the dispute to the Labour Court for adjudication. If an employee is
dismissed for poor work performance, the dispute would be referred to the CCMA for conciliation and then to
arbitration by
the CCMA in terms of section 191(5)(a)(i), since the reason for dismissal is in-
capacity.
The classification of disputes also has implications for the right to strike. One of the elements that limit the right to
strike is whether the issue in dispute is one that a party has the right to refer to arbitration or to the Labour Court in
terms of em-
issues. 24
In summary: the statutory dispute resolution process requires that all disputes
first be referred to the CCMA or a bargaining council for conciliation. Only after a failed attempt at conciliation, or
the expiry of the time limits prescribed for conciliation, may disputants opt for the next level of dispute resolution.
The LRA provides for three broad further avenues:
l parties can resort to industrial action in respect of disputes about matters of mutual interest that are neither
arbitrable nor justiciable;
l most relatively uncomplicated individual disputes, including individual unfair dismissal and unfair labour
practice disputes, are arbitrated by the CCMA or
Since there is no single dispute resolution body for all labour disputes, it is essential for any party to a labour
dispute to choose the forum that has jurisdiction
The discussion so far has assumed the existence of a dispute arising out of the
application and interpretation of rights established by the LRA, where the Labour Court and the CCMA have
jurisdiction to adjudicate and arbitrate the dispute.
Other labour statutes, notably the BCEA and the EEA, establish labour inspectors
as the first level of dispute resolution. Post-1995 labour statutes have largely
________________________
24 See ch 16.
484 Law@work
least, persuasive rather than punitive. 25 This, in theory, makes it possible for an inspector to deal with any
employment law during a visit to an employer’s
premises.26
This first level of dispute resolution does not preclude aggrieved employees
from approaching the Labour Court in all instances. Section 4 of the BCEA pro-
of employment and section 77(3) states that ‘the Labour Court has concurrent
jurisdiction with the civil courts to hear and determine any matter concerning a
contract of employment’. The Labour Court exercises this jurisdiction irrespective of whether any basic condition
of employment constitutes a term of the contract. In Makume v Hakinen Transport CC; Moyi v Inkhunzi
Contractors ( Pty) Ltd; Shashape v Tswaing Local Municipality27 the court confirmed that not all provisions of the
BCEA constitute basic conditions of employment and some disputes,
such as disputes relating to the issuing of certificates of service or to information about remuneration, should be
referred to the detailed enforcement structure
the EEA, those statutes empower inspectors, who perform their functions subject
to the direction and control of the Minister of Employment and Labour,28 to enforce compliance with employment
laws. 29 The broad structure of the func-
tions of the labour inspectors entail that an inspector must first seek to obtain a written undertaking from the
employer to comply with the provisions of an Act. 30
If the employer fails to comply with the written undertaking, the Director-
premises.33
not complied with any provision of the BCEA may issue a compliance order. 34
________________________
25 However, employers may still be fined in terms of, eg, the EEA. See ch 7.
26 Du Toit et al Labour Relations Law: A Comprehensive Guide (fn 11) at 639 et seq. Benjamin
‘Enforcement and Sanctions to Promote Compliance with South African Labour Legislation’
(2011) 32 ILJ 805 at 810 points out that in 2007–2008 200 665 inspections were carried out by labour inspectors
and a rate of 78 per cent was recorded. In 2008–2009 153 697 inspections were conducted with a compliance rate
of 82 per cent.
27 (2011) 32 ILJ 928 (LC). See also Fourie v Stanford Driving School & 34 Related Cases (2011) 32 ILJ 914
(LC); Indwe Risk Services ( Pty) v Van Zyl: In re Van Zyl v Indwe Risk Services ( Pty) Ltd (2010) 31 ILJ 956 (LC);
Ephraim v Bull Brand Foods ( Pty) Ltd (2010) 31 ILJ 951 (LC).
28 S 63 of the BCEA.
Dispute resolution
485
The employer must comply with the terms of the compliance order within the
with the award to the CCMA within that period. 35 The Director-General may apply to the CCMA to have a
compliance order made an arbitration award.
The CCMA may issue an award if it is satisfied that the compliance order was
served on the employer and the employer has not referred a dispute concern-
The Labour Court may issue an order requiring the employer to comply with
the provisions of the Act and, subject to certain limitations, order the payment
Wage Act (‘NMWA’)37 may refer a dispute to the CCMA concerning any
amount owing to the employee in terms of that Act, the BCEA, a contract of
4 The CCMA
4.1 Main functions of the CCMA
The CCMA is the centrepiece of the statutory dispute resolution system. This
state-funded institution has national jurisdiction40 with offices in all nine provinces of South Africa. 41 The
CCMA is an autonomous statutory agency and operates independently from the state. 42 The CCMA performs a
key dispute resolution role, and more than 160 000 labour disputes are referred to it each year. 43 The
whose primary functions are to conciliate and arbitrate labour disputes in terms
________________________
37 S 1 of the National Minimum Wage Act defines a ‘worker’ to mean ‘any person who works for another and
who receives, or is entitled to receive, any payment for that work whether in money or in kind’.
of 186 902 cases were referred to and 148 403 conciliations were heard by the CCMA for the 2017/2018 reporting
year.
486 Law@work
The LRA establishes a number of additional functions which the CCMA may
undertake. These include giving advice to parties, helping them obtain legal
Conciliation is an intervention by an independent third party, who assists parties to a dispute to arrive at a mutually
agreed outcome. The conciliator assists parties to reach their own agreement, and makes no binding determination
on
basis. 44 ‘Conciliation’ is not defined in the Act, but a commissioner is entitled to determine the process to be
used, which may include mediation, conducting a
The overall value of this consensus-seeking process is twofold. 46 First, employers and employees are involved in
an employment relationship. It is beneficial to
any relationship to settle disputes through agreement rather than resolving them
by means of a final decision where there will always be a winner and a loser.
through the arbitration process. 47 A referral to conciliation is also a jurisdictional precondition – the
Constitutional Court recently affirmed that a failure to refer an unfair dismissal dispute to conciliation had the
consequence that the Labour
The LRA requires that unfair dismissal disputes be referred to the CCMA within
30 days of the date of the dismissal, or within 30 days of the employer’s making
a final decision about the dismissal.49 Unfair labour practice disputes must be
referred within 90 days of the act or omission that allegedly constituted the
________________________
45 See Kasipersad v CCMA [2003] 2 BLLR 187 (LC) for an overview of the role of a conciliator.
46 Brand, Lötter, Mischke and Steadman Labour Dispute Resolution (1997) at 30–31.
47 The CCMA Annual Report 2017-2018 (fn 43) at 11 records that 18 942 arbitration awards were sent to parties
of labour disputes that were referred to the CCMA.
48 National Union of Metalworkers of SA v Intervalve ( Pty) Ltd 2015 (2) BCLR 182 (CC) at 194.
49 See s 191(1)(b)(i) of the LRA. Should an employee appeal against the employer’s decision, the date for the
referral would be the date of the decision of the appeal. See SACCAWU
& another v Shakoane & others [2000] 10 BLLR 1123 (LAC); Halgang Properties CC v Western Cape Workers
Association [2002] 10 BLLR 919 (LAC).
Dispute resolution
487
unfair labour practice. 50 In terms of the EEA, disputes concerning unfair discrimination have to be referred to the
CCMA within six months after the act or omis-
sion that allegedly constitutes unfair discrimination.51 A referring party completes and signs LRA Form 7.1152
before serving it on all the parties to the dispute and
the CCMA.53 In this document, the applicant describes the parties to the dis-
pute, the nature of the dispute, the date of the dispute and the result of the
arbitration. If a dismissal dispute is referred outside the 30-day period, the CCMA has no jurisdiction to conciliate
the dispute unless the applicant applies for
condonation. 54
within 30 days of the date the CCMA received the referral.55 Conciliation proceedings are private and confidential
and are conducted on a without preju-
dice basis. 56 The primary role of the commissioner is to assist the parties to re-resolve the dispute themselves by
devising a process that the commissioner
wide powers that may be exercised during the conciliation process, or if unsuc-
l after obtaining the necessary written authorisation, enter premises and retain for a reasonable period, any book,
document or object.
If the dispute is settled, the agreement may be made an arbitration award59 or an order of court. 60
________________________
53 See s 191(3) and the definition of ‘serve’ in s 213. The document may be served by hand, at the address chosen
by the person to receive service, by fax, telex or registered post.
54 See s 191(2). CCMA rule 9(3) states that the matters that have to be addressed in the application include the
degree of lateness, the reasons for the late referral, the referring party’s prospects of success in the matter that is
the subject of the referral, and the balance of convenience including any prejudice to the other parties to the
dispute.
488 Law@work
If a dispute is not resolved by conciliation, the commissioner is required to issue a certificate of outcome recording
that conciliation has failed. The issuing of the certificate triggers time limits that apply to further steps in the
dispute resolution process.
4.3.1 General
The most significant, but not all, arbitration functions of the CCMA relate to unfair
dismissal and unfair labour practice disputes.61 In terms of the LRA, the CCMA arbitrates unresolved disputes in
respect of:
acity; 62
l the unfair dismissal of an employee where the employee alleges that the em-
ployer made continued employment intolerable or the employer provided
l the employee does not know the reason for the dismissal; 64
________________________
61 The CCMA also arbitrates ‘non-strikeable’ disputes in respect of essential services and is responsible for
limited arbitration functions in terms of the BCEA and the UIA. See Benjamin
‘Beyond Dispute Resolution: The Evolving Role of the Commission for Conciliation, Mediation and Arbitration’
(2013) 34 ILJ 2441.
63 See s 191(5)(a)(ii) of the LRA. See the discussion of constructive dismissal in ch 9 at para 2.1.5
‘Constructive dismissal’.
65 See s 191(5)(a)(iv) of the LRA. See s 186(2) for the definition of ‘unfair labour practice’, and ch 8.
67 S 24(1) provides that every collective agreement should provide for a procedure to resolve every dispute
regarding the interpretation or application of the collective agreement.
S 24(2) provides that in the absence of such a procedure, the dispute must be referred to the CCMA for
conciliation and arbitration.
Dispute resolution
489
l The BCEA provides that disputes about severance pay and disputes that can
l Section 10(6)(aA) of the EEA provides that certain discrimination disputes may be referred to arbitration.
l Section 73A of the BCEA provides that disputes about a failure to pay any
The CCMA will only arbitrate a dispute if a commissioner has issued a certificate stating that the dispute remains
unresolved after conciliation. After a failed
attempt at conciliation, the applicant party completes and signs LRA Form 7.1372
and serves it on all other parties to the dispute and the CCMA73 within 90 days after the date on which the
certificate of outcome was issued. 74 The parties to
Director of the CCMA.75 Parties to a dispute may request that their preferences
in appointing a commissioner should be taken into consideration76 and a request that a senior commissioner must
be appointed may be lodged. 77
manner that the commissioner regards as appropriate but with the least possible
________________________
72 CCMA rule 4 provides that the referral form may be signed by the party or person who may represent the party
in terms of the LRA. See also CCMA rule 18.
73 As is the case with LRA Form 7.11, the document may be served by hand at the address chosen by the person
to receive service, fax, telex or registered post. See CCMA rule 5(1)(b).
74 See s 136(1) of the LRA. The CCMA may, on good cause shown, apply for condonation if the request for
arbitration was filed after the 90-day period in terms of s 136(1)(b).
75 CCMA rule 20(1). In terms of CCMA rule 20(2) the parties must during these proceedings attempt to reach
consensus on aspects such as means through which the dispute may be settled, the agreed and disputes facts, the
issues to be decided by the CCMA and the precise relief claimed.
77 See s 137(1) of the LRA. In terms of s 137(2), the director grants the parties to the dispute as well as the
commissioner who conducted the conciliation of the dispute a hearing in order to decide whether the request
should be adhered to. The director may appoint a senior commissioner to resolve the dispute through arbitration
after considering the following aspects in terms of s 137(3): the nature of the question of law; the complexity of
the dispute; if conflicting arbitration awards are concerned; and the public interest.
490 Law@work
legal formality so that the dispute may be resolved fairly and quickly.78 Subject
l give evidence;
l call witnesses;
Arbitration is a hearing de novo on the merits of the dispute. 80 Reasons for the
the sense that it must fall within a band of decisions to which reasonable decision-makers could come on the basis
of the available material. 82 Subject only to the review of awards by the Labour Court, the decisions of the CCMA
are final and
quirements of law and fairness in accordance with CCMA rules. 83 Costs are not awarded easily by the CCMA if
there is an ongoing collective-bargaining relationship between the parties. In addition, the CCMA does not wish to
discour-
It is possible for employers to make use of the services of the CCMA to conduct
an in-house inquiry into allegations of misconduct or incapacity. 85 This process was designed to conflate the
internal disciplinary process and the statutory dis-
pute resolution process.86 Employers must have paid the prescribed fees to the
ducted and the employee must have given written consent to the process being
conducted after being advised of the allegation of misconduct.87 The arbitrator who is appointed to the inquiry has
all the powers conferred on a commissioner
of the CCMA when attempting to resolve disputes by means of conciliation and
________________________
80 County Fair Foods ( Pty) Ltd v CCMA [1999] 11 BLLR 1117 (LAC) at para 11.
81 See s 138(7)(a) of the LRA. See also Coetzee v Lebea (1999) 20 ILJ 129 (LC) where it was held that it is not
necessary for an arbitrator to provide full reasons.
82 Sidumo & another v Rustenburg Platinum Mines Ltd & others [2007] 12 BLLR 1097 (CC). See para 8.2
‘Review of arbitration awards’.
83 See s 138(10) of the LRA; CCMA rule 39(3). Costs are taxed on Sch A of the Magistrates’
Court tariff.
86 According to the CCMA Annual Report 2005/2006 at 15, only 63 pre-dismissal arbitrations were conducted
during the corresponding period.
87 See s 188A(1). In terms of s 188A(5) a co-employee or a member, office-bearer or official of the employee’s
registered trade union may represent the employee during such proceedings. If the employer is a juristic person, a
director or employee may represent the employer. Should agreement be reached about it, a legal representative
may also represent any one of the parties during the inquiry.
Dispute resolution
491
arbitration.88 The arbitrator’s ruling has the status of an arbitration award. There is therefore no right of appeal
against the finding, but the finding may be taken on
The 2002 amendments to the LRA introduced what has become known as ‘con-
arb’ in dismissal and unfair labour practice disputes.90 Section 191(5A) requires
after certifying, after conciliation, that the dispute remains unresolved, if the dispute concerns the dismissal of an
employee or any unfair labour practice for
any reason relating to probation.91 Other unfair dismissal or unfair labour practice disputes may be resolved by
con-arb in the absence of an objection by
5 Bargaining councils
Collective bargaining aside, one of the most important functions of bargaining
arbitration with regard to employees and employers under its jurisdiction.93 Under the 1956 LRA, bargaining
councils were permitted to conciliate disputes, but unresolved disputes had to be referred to the Industrial Court.
The LRA extends
Bargaining councils do not have jurisdiction to resolve all labour disputes.94 The ________________________
88 See s 188A(7). Consequently, the arbitrator may subpoena any person for questioning, administer the oath and
make a finding as to contempt of the CCMA during these proceedings.
89 Landman ‘Pre-dismissal Arbitration: The New Procedures of s 188A of the Labour Relations Act’ 2002 CLL
11(8) at 71 suggests that, as s 188A was then formulated, the arbitration award will only be directory and the
dispute may still be referred to the CCMA or a bargaining council for determination of the fairness of any action
by the employer. The recent amendment to s 188A makes it clear that a ruling by an arbitrator in an inquiry
conducted in terms of that section has the same status as that of an arbitration award (see s 188A(8)).
94 See ss 51(3) and 127(2) of the LRA for the complete list of disputes that bargaining councils may not
adjudicate. The most important of these disputes are: disputes regarding organisational rights (ss 16, 21 and 22);
disputes concerning collective agreements where such agreements do not provide for resolution procedures (s
24(2)–(5)); disputes in respect of agency shop and closed shop agreements (ss 24(6)–(7) and 26(11)); disputes
regarding ministerial awards (s 45); disputes regarding collective agreements of councils whose registration were
withdrawn (s 61(5)–(8)); disputes regarding demarcation of sectors and areas (s 62); disputes regarding bargaining
and statutory councils (s 63); disputes in respect of picketing during strikes and lock-outs (s 69(8)–(10)); disputes
regarding proposals which are the object of joint decision-making (s 86); disputes regarding the disclosure of
information to workplace forums (s 89); and disputes regarding the interpretation of ch V
492 Law@work
LRA requires that the following disputes must be conciliated and arbitrated by
bargaining councils:95
l disputes relating to the interpretation of Chapter II of the LRA regarding freedom of association; 96
A bargaining council must be accredited before it can perform any of its statu-
tory dispute resolution functions. 101 The governing body of the CCMA must
annually publish a list of accredited councils and accredited agencies.102 The CCMA records that 47 bargaining
councils and 3 statutory councils have been
private agencies is to satisfy the governing body of the CCMA that the body
Parties to a bargaining council must refer their disputes to the council in terms of the council’s constitution. 105
Non-parties who fall under the registered scope
of the council, may also refer their disputes to the council.106 In practice, a number of bargaining councils have
established dispute resolution procedures in
Statutory councils have the same powers and functions as those of bargain-
ing councils.107
6 Legal representation
and arbitration, because lawyers are at least perceived to have the effect of
________________________
98 S 74 of the LRA.
101 Ss 52 and 127. Application may be made to perform any of the following functions, namely: resolution of
disputes through conciliation and the arbitration of disputes that remain unresolved after conciliation.
493
making the process legalistic and expensive. 108 During conciliation, the parties
have no right to legal representation and they must appear in person or may be
During arbitration, the parties have the right to appear in person or may be
legally represented in respect of some but not all disputes. 110 A legal practitioner
the Republic’. 111 Consultants, candidate attorneys, para-legal officers and offi-
cials of unregistered trade unions and employers’ organisations do not qualify as legal practitioners. 112 Despite
the general right to be legally represented during
arbitration proceedings, the rules of the LRA contain important limitations to this
right.113 If a dispute relates to unfair dismissal of an employee and the reason for the dismissal concerns alleged
misconduct or incapacity, legal representatives
are excluded from arbitration proceedings. With these types of disputes, a party
parties consent thereto114 or the commissioner decides that it would be unreasonable to expect, under the
circumstances, a particular party to appear
without representation.115 In Netherburn Engineering CC t/a Netherburn Ceramics v Mudau NO & others116 the
Labour Appeal Court considered whether an appli-
ings at the CCMA. Zondo JP confirmed that the PAJA does not apply to CCMA
proceedings and that in terms of the common law no such an absolute right
________________________
108 Collier ‘The Right to Legal Representation under the LRA’ (2003) 24 ILJ 753; Norman Tsie Taxis v Pooe NO
& others (2005) 26 ILJ 109 (LC).
109 CCMA rule 25(1)(a) provides that a director, employee or member of the employer’s organisation may also
represent an employer. A member of the employee’s registered trade union may also represent an employee.
112 Collier (fn 108) at 753. In Colyer v Dräger SA ( Pty) Ltd [1997] 2 BLLR 184 (CCMA) it was noted that
candidate attorneys are not ‘legal practitioners’ as defined by the LRA. In Vac Air Technology ( Pty) Ltd v Metal
and Engineering Industries Bargaining Council & others [2006] 11 BLLR 1125 (LC) it was held that labour
consultants are not legal practitioners and may not appear on behalf of a party during arbitration proceedings. See
also SA Post Office Ltd v Govender (2003) 24 ILJ 1733 (LC).
114 In Strydom v Usuko Ltd [1997] 3 BLLR 343 (CCMA) it was held that the commissioner had to exercise his or
her discretion in this regard even if the parties agreed that both should be represented. Also see Bayley v
Constantia Greetings ( Pty) Ltd [1997] 3 BLLR 298 (CCMA).
115 When a commissioner exercises his or her discretion the following should be considered: the nature of the
question of law raised; the complexity of the dispute; the public interest; and the comparative ability of the
opposing parties or their representatives to deal with the arbitration of the dispute.
116 [2009] 4 BLLR 299 (LAC). The decision was taken on appeal to the Constitutional Court in
Netherburn Engineering CC t/a Netherburn Ceramics v Mudau NO & others [2009] 6 BLLR
517 (CC) but the court declined to consider the matter due to the fact that such a long time had lapsed.
494 Law@work
This approach has been confirmed by the Supreme Court of Appeal. In CCMA
v The Law Society of the Northern Provinces117 the court dismissed a challenge to the constitutionality of the rule
limiting the right to legal representation and held that the rule was sufficiently flexible to permit legal
representation in deserving cases.
Until 1995, the Industrial Court, established as part of the 1979 package of
Wiehahn reforms, adjudicated labour disputes. Despite its name, the Industrial
Court was not a court but an administrative tribunal.118 Concerns about its legit-
imacy, the calibre of its presiding officers and delays in the adjudication process all contributed to the decision to
establish as part of the LRA, specialist labour courts with the same status as a division of the High Court119 and
the Supreme
________________________
117 CCMA & others v Law Society of the Northern Provinces ( incorporated as the Law Society of the Transvaal)
(2013) 34 ILJ 2779 (SCA).
118 In SA Technical Officials Association v President of the Industrial Court (1985) 6 ILJ 186 (A), the Appellate
Division of the Supreme Court held that the Industrial Court was neither a superior court nor indeed a court of law.
The basis of the decision appears to be that despite its description as a court and despite the fact that it may
perform judicial functions, the court was located and operated within the administrative sphere of influence. Of
particular significance, was the appointment of members by the Minister of Labour (those persons were not judges
or ex-judges), the ability of the minister to appoint ad hoc members, and the limited tenure of the members of the
court. See Landman ‘The Status of the Industrial Court’ (1985) 6 ILJ 278.
119 The Explanatory Memorandum that accompanied the Labour Relations Bill that formed the basis of the LRA
(fn 5) records that the existing statutory dispute resolution processes did not function effectively. Less than 30 per
cent of disputes referred to industrial councils were settled and only some 20 per cent of conciliation boards
established resulted in settlements. In so far as the court system was concerned, the document recorded a number
of ‘fundamental problems’. It noted that the Industrial Court was positioned outside the judicial hierarchy, that it
lacked status, provided no security of tenure or market related remuneration packages, nor did it provide career
paths for its members or administrative staff. The ability to appeal from the Industrial Court to the Labour Appeal
Court and then to the Appellate Division resulted in lengthy delays in the resolution of disputes.
competing jurisdictions. The first attempt to establish an Industrial Court or Labour Court was made in 1932, in
the Industrial Conciliation Bill. The court did not see the light of day –
the Bill was withdrawn. In 1935, the Van Reenen Commission considered but made no recommendation on the
establishment of an Industrial Court. In 1951, the Botha Commission recommended the establishment of a
National Labour Board with a judicial division.
What was established was a less ambitious institution, an administrative body known as the Industrial Tribunal.
There was no further consideration given to the establishment of a specialist Labour Court until 1979, when the
Wiehahn Commission recommended that
the Industrial Tribunal be converted into an Industrial Court. After a comparative review and a consideration of
various attempts by previous Commissions to have a Labour Court established in South Africa, the Wiehahn
Report unanimously recommended the establishment of an Industrial Court. Curiously, the Commission did not
think that the status of the court was a sufficiently significant matter on which to make a specific recommendation.
Dispute resolution
495
and as many judges as the President considers necessary.120 The President, who in terms of section 153(1) must
act on the advice of NEDLAC and the Judicial
Services Commission, appoints judges of the Labour Court. The Judge President
and Deputy Judge President of the Labour Court are by virtue of their office the
Judge President and Deputy Judge President of the Labour Appeal Court.121
Labour Court judges are drawn from the ranks of judges of the High Court and
labour law.122
The Labour Court is a single court with national jurisdiction. Its seat is in Braam-fontein, Johannesburg and the
court has premises in Cape Town, Durban, and
Port Elizabeth.
Although the Labour Court is established as a court of law and equity, doubts
have been expressed as to whether the term ‘equity’ adds significantly to the
court’s substantive jurisdiction.123 Subject to the Constitution and unless otherwise provided by the LRA, the
court has exclusive jurisdiction in respect of all
matters that are to be determined by the court, either in terms of the LRA or in
8.1 Introduction
Section 158 empowers the Labour Court to make ‘any appropriate order’ in-
cluding:
l an interdict;
l a declaratory order;
l an award of compensation;
________________________
496 Law@work
l condone the late filing of documents or the late referral of a dispute to the
court;
l subject to section 145, review the performance of any function provided for
in the LRA in terms of section 158(1)(g), on any grounds that are permissible
in law;
l review any decision taken by the state as employer in terms of section
158(1)(h); and
l deal with all matters necessary to perform its functions in terms of the LRA or any other law. 126
The Labour Court has also been empowered to perform functions in terms of
other labour legislation. The BCEA, 127 for example, provides that the Labour Court has concurrent jurisdiction
with the civil courts to hear and determine a
matter concerning a contract of employment.128 The EEA provides that disputes about unfair discrimination may
be adjudicated by the Labour Court or where
an applicant elects to refer the dispute to arbitration, the Labour Court may
hear an appeal against any arbitration award. 129 Persons affected by a deci-
appeal to the Labour Court.130 In terms of the OHSA, any person may appeal to the Labour Court against a
decision taken by the Chief Inspector. 131 In terms of the PDA, an employee may refer a dispute to be adjudicated
by the Labour
detriment132 and, the Labour Court has exclusive jurisdiction in respect of all
There are two categories of defects in arbitration proceedings that are review-
able by the Labour Court in terms of the LRA. First, arbitration awards of the
CCMA may be reviewed in terms of section 145, 134 and secondly, any other
158(1)(g).135
________________________
127 75 of 1997.
129 S 10(2)–(8).
131 S 35(3) of the OHSA. The Labour Court has held that its appellate jurisdiction precludes it from hearing
disputes concerning any alleged breach of the OHSA as a court of first instance – see Public Servants Association
of South Africa obo Members v Minister of Health
134 S 145(1) of the LRA. For a comprehensive treatment of the principles of judicial review in South African
labour law, see Myburgh and Bosch Reviews in the Labour Courts (2016).
135 S 158(1)(g) of the LRA. The Labour Court may not review arbitration awards under its general review
functions in terms of s 158(1)(g).
Dispute resolution
497
In the first category, any party who alleges a defect in respect of arbitration
proceedings under the auspices of the CCMA may apply to the Labour Court
for an order setting the award aside. The application must be filed within six
weeks of the date that the arbitration award is served on the party who wishes
to take the matter on review. 136 The Labour Court may, however, on good cause
shown condone the late filing of an application for review. 137 Section 145(2)
describes the ‘defects’ that are reviewable and it covers the situation where
the commissioner:138
trator;139
ings;140 or
The fourth ground for review pertains to the situation where a party to the dis-
The exact scope of these relatively narrow grounds of review was uncertain
before the Labour Appeal Court, in Carephone ( Pty) Ltd v Marcus NO & others143
and Shoprite Checkers ( Pty) Ltd v Ramdaw NO & others, 144 gave some sense of
direction to the debate.145 Here, the court categorised the CCMA as an organ
________________________
136 S 145(1)(b) provides that if the defect is in relation to corruption, the application must be brought within six
weeks that the applicant discovered the corruption.
137 S 145(1A). In Queenstown Fuel Distributors CC v Commission for Conciliation, Mediation and Arbitration
(2000) 21 ILJ 1197 (LC) at para 4 it was held that the court will consider the following factors: the extent of the
delay; whether there is a satisfactory explanation for the delay; the prospects of success of the main application;
and the balance of convenience if condonation is granted or denied. Application for condonation is not granted
lightly. See in this regard Maseko v CCMA [2003] 11 BLLR 1148 (LC).
138 This formulation mirrors the grounds for review established in s 33 of the Arbitration Act 42
of 1965 that apply to private arbitration awards and which have traditionally been restrictively interpreted.
139 An example of misconduct would be if the arbitrator was biased and not impartial. See BTR Industries SA (
Pty) Ltd v MAWU (1992) 13 ILJ 803 (A); Coates Brothers v Shanker [2003]
140 It would constitute a gross irregularity if an arbitrator does not give both parties to the dispute a fair
opportunity to lead and challenge evidence. See Afrox Ltd v Laka & others
[1999] 5 BLLR 467 (LC). It also constitutes gross irregularity for a commissioner to receive and consider
documents after the hearing. See MEC Public Works, Northern Province v CCMA
142 This relates to misconduct of a party to the dispute and not the arbitrator. See Moloi v Euijen & others [1997]
8 BLLR 1022 (LC).
145 Regarding this debate, see Pretorius ‘Making You Whistle: The Labour Appeal Court’s Approach to Reviews
of CCMA Arbitrations’ (2000) 21 ILJ 1506; Sharpe ‘Reviewing Arbitration Awards: Towards Clarity in the
Labour Courts’ (2000) 21 ILJ 2160; Le Roux ‘The Test for Review of CCMA Commissioners: Some Certainty at
Last?’ 2001 CLL 10 (12) 117; Wesley
‘Review of Arbitration Awards: Shoprite Checkers ( Pty) Ltd v Ramdaw NO & others’ (2001) 22 ILJ 1515.
498 Law@work
of state146 that exercises public powers and functions when it resolves disputes in
terms of the LRA. 147 The important implication of this ruling is that the Bill of Rights
and the constitutional right to fair administrative action bind the CCMA when
performing its dispute resolution functions.148 The court held that the constitutional right to fair administrative
action has broadened the scope of judicial review in respect of arbitration awards in as far as an element of
‘rationality’ or ‘justifiability’
must be present. From this it is evident that the Labour Court is obliged not only to review the procedural
correctness of CCMA awards, but also, to a certain
extent, to consider the merits of a case in order to determine if the reasons given for the decision is rationally
justifiable. 149 The Supreme Court of Appeal has emphasised that the application of the PAJA did not obliterate
the distinction
Value judgments will have to be made which will, almost inevitably, involve the
consideration of the ‘merits’ of the matter in some way or another. As long as the judge determining this issue is
aware that he or she enters the merits not in order to substitute his or her own opinion on the correctness thereof,
but to determine
How does the PAJA impact on the Labour Court’s review jurisdiction, if at all?
The PAJA has changed the administrative law landscape.151 Its purpose is to
‘give effect to the right to administrative action that is lawful, reasonable and procedurally fair . . . as contemplated
in section 33 of the Constitution’.152 But for the PAJA to have any relevance to the Labour Court’s powers to
review arbitration awards made by CCMA commissioners, two conditions must be satisfied.
ondly, the PAJA must be read into those provisions of the LRA that establish the
burg Platinum Mines Ltd ( Rustenburg Section) v CCMA & others, 153 the Supreme Court of Appeal had held that
CCMA arbitration awards constitute administrative action and, as such, that they are reviewable in terms of the
PAJA, and
________________________
147 Carephone ( Pty) Ltd v Marcus NO & others (fn 143) at para 11. This was confirmed in Shoprite Checkers (
Pty) Ltd v Ramdaw NO & others (fn 144) at para 21.
148 S 33(1) of the Constitution states that ‘Everyone has the right to administrative action that is lawful,
reasonable and procedurally fair’. Effect has been given to this provision with the publication of the PAJA.
149 Carephone ( Pty) Ltd v Marcus NO & others (fn 140) at para 36.
150 Fn 143.
151 In Transnet Ltd & others v Chirwa [2007] 1 BLLR 10 (SCA) it was held that the PAJA has codified the
administrative law principles which had developed under the common law.
In Plasket and Khoza ‘The Fundamental Right to Reasons for Administrative Action: Moletsane v The Premier of
the Free State (1996) 17 ILJ 251 (O), (2001) 22 ILJ 52 the authors suggest that judges still had to come to terms
with the new legal landscape against the backdrop of the constitutional right to fair administrative action.
Dispute resolution
499
that the PAJA overrides the more limited provisions of section 145 of the LRA. The Constitutional Court upheld
an appeal against the Supreme Court of Appeal’s
judgment. 154 The majority of the Constitutional Court found that arbitration by a CCMA commissioner is
administrative action within the meaning of section 33 of
the Constitution. However, the court held that the PAJA does not apply to re-
views under section 145(2) of the LRA. Section 145 is a specialised provision that trumps the more generalised
provisions of the PAJA. To the extent that Carephone held that section 145 of the LRA was suffused by the
constitutional standard that required the outcome of an administrative decision to be justifiable in
relation to the reasons given for it, the ‘better approach’ is to regard section 145
The scope of the enquiry was clarified by the Supreme Court of Appeal. In
Herholdt v Nedbank Ltd, 157 the court summarised the position as follows:
A review of a CCMA award is permissible if the defect in the proceedings falls within one of the grounds in s
145(2)(a) of the LRA. For a defect in the conduct of the proceedings to amount to a gross irregularity as
contemplated by s 145(2)(a)(ii), the arbitrator must have misconceived the nature of the inquiry or arrived at an
unreasonable result. A result will be unreasonable if it is one that a reasonable arbitrator could not reach on all the
material that was before the arbitrator. Material errors of fact, as well as the weight and relevance to be attached to
particular
facts, are not in and of themselves sufficient for an award to be set aside, but are only of any consequence if their
effect is to render the outcome unreasonable.
More recently, the Labour Appeal Court has clarified the two-stage process in
ment of fact. 158 In essence, what is required is a determination of whether any facts ignored were material. If so,
the award will be prima facie unreasonable.
The second stage of the enquiry is whether on the basis of the evidence overall,
the prima facie case of unreasonableness can be displaced. In other words, where a commissioner ignores material
facts, the award will be reviewable if the
________________________
154 Sidumo & another v Rustenburg Platinum Mines Ltd & others (fn 82) . This judgment is discussed more fully
in ch 3. See also Myburgh ‘Determining and Reviewing Sanction after Sidumo’ (2010) 31 ILJ 1; Fergus
‘Distinction Between Appeal and Review – Defining the Labour Court’s Powers of Review’ (2010) 31 ILJ 1556.
156 In a minority judgment, Ngcobo J concluded that the conduct of arbitration concerning an alleged unfair
dismissal by an arbitrator appointed in terms of the LRA by the CCMA did not constitute administrative action
within the meaning of s 33 of the Constitution. It was therefore unnecessary to consider whether the PAJA applies
to the review of CCMA arbitrations.
157 Herholdt v Nedbank Ltd ( Congress of South African Trade Unions as amicus curiae) [2013]
11 BLLR 1074 (SCA) at para 25. For a discussion of the scope of review following this judgment, see Fergus
‘Reviewing an Appeal: A Response to Judge Murphy and the SCA’
500 Law@work
award unreasonable.
The Labour Court’s power to review any act or omission in terms of the LRA on
any grounds that are permissible in law in terms of section 158(1)(g) empowers
the court to review any other functions performed in terms of the LRA. This pow-
er extends to all rulings and decisions of the CCMA, apart from arbitration
refuse the registration of a trade union160 or a bargaining council.161 Here, the scope of review will be one of
rationality as dictated by the PAJA.
Section 158(1)(h) empowers the Labour Court to review any decision taken or
act performed by the state in its capacity as employer. The grounds for review
in terms of this action extend to a review under PAJA (provided it can be estab-
lished that the decision or act constitutes ‘administrative action’ for the purposes of that Act) or what is referred to
as a ‘legality’ review, where the impugned act is not administrative action but involves the exercise of a public
power. In either case, the fact that the remedy of judicial review is available does not mean
that it will always be entertained – the Labour Appeal Court has held that where
invoked.162
and equity, the term ‘equity’ does not add to the court’s substantive jurisdic-
tion.163 Section 157(1) of the LRA provides that subject to the Constitution and
unless otherwise provided by the LRA, the court has exclusive jurisdiction in
respect of all matters that are to be determined by the court, either in terms of
the LRA or in terms of any other law.164 In terms of section 157(2), the Labour Court has concurrent jurisdiction
with the High Court in respect of any fundamental right entrenched in the Constitution, arising from employment
and
administrative act by the state in its capacity as an employer, and the appli-
cation of any law for which the Minister of Labour is responsible. There were two broad views on the
interpretation and application of section 157. The first is one that is inclined to give effect to the purpose of the
LRA and to have labour
disputes adjudicated solely within the structures created by the Act. The sec-
ond, more literal reading of the section, is to regard only those matters specifically assigned to the Labour Court by
the LRA as being excluded from the High
________________________
159 See, eg, Southern Life Association v CCMA [2001] 3 BLLR 375 (LC); CWIU v Ryan [2001] 3
162 Public Servants Association of SA on behalf of de Bruyn v Minister of Safety & Security & another (2012) 33
ILJ 1822 (LAC).
Dispute resolution
501
Court’s jurisdiction. These competing views were the subject of two key judg-
Defining the extent of the Labour Court’s exclusive jurisdiction has been prob-
lematic.166 Questions about overlapping jurisdiction arose soon after the enactment of the LRA, in a number of
cases involving misconduct committed by em-
ployees during the course of a strike. Despite some initial hesitation, the High
Court accepted that if the factual context was one of a labour dispute, then
the Labour Court had the exclusive jurisdiction. 167 There has been less clarity in
ployees have relied on an administrative law remedy rather than any remedy
available under the LRA. In the former instance, the High Court has assumed
jurisdiction, even when the claim clearly arises in the context of a labour dis-
pute. The High Court has also assumed jurisdiction in employment disputes
arising in the private sector where administrative law remedies are not as readily available. In Feinberg v African
Bank Ltd, 168 the High Court held that since the conduct of a disciplinary hearing was not a matter in respect of
which the LRA
conferred exclusive jurisdiction on the Labour Court, the High Court was not
________________________
165 See the discussion of Chirwa v Transnet Ltd & others [2008] 2 BLLR 97 (CC) and Gcaba v Minister for
Safety & Security & others [2009] 12 BLLR 1145 (CC) below.
166 In Langeveldt v Vryburg Transitional Local Council & others [2001] 5 BLLR 501 (LAC), the Judge President
of the Labour Appeal Court bemoaned the extent of the overlap in the jurisdictions of the Labour Court and the
High Court.
167 In Mondi Paper v PPWAWU (1997) 18 ILJ 84 (D) the High Court was approached for an interdict to restrain
striking workers from committing acts of assault, intimidation and other misconduct. The rule nisi that was
previously granted by the court was discharged on the basis that the High Court did not have jurisdiction to
entertain the matter because it was a matter over which the Labour Court had exclusive jurisdiction. The court
relied on the circumstances as creating a ‘jurisdictional milieu’ indicating that the case ought to be heard by the
Labour Court. This approach was followed in Sappi Fine Papers v PPWAWU
(1998) 19 ILJ 246 (SE). The more difficult cases concerned proceedings against strikers in the Labour Court where
there was no employer-employee relationship. In Fourways Mall ( Pty) Ltd & another v SACCAWU & another
(1999) 20 ILJ 1008 (W), the owner of a shopping centre applied to a High Court to interdict the employees of one
of its tenants in interfering, intimidating and/or assaulting customers. The court held that the nature of the dispute
arose out of the law of delict as well as the law of property and that the applicants were entitled to protect their
property from unlawful infringement and/or injury by the Union’s members. The court found that the dispute
before him did not require any expertise in the field of labour relations and that the High Court had jurisdiction to
deal with the matter.
168 (2004) 21 ILJ 217 (LC). See also Mantzaris v University of Durban Westville & others (2000) 21 ILJ 1818
(LC) and Mbayeka & another v MEC for Welfare, Eastern Cape 2001 (4) BCLR
374 (T).
169 In a number of instances, the High Court was willing to take an expansive view of its jurisdiction. See
Mhlambi v Matjhabeng Municipality & another (2003) 24 ILJ 1659 (O); Feinberg v African Bank Ltd (fn 168);
Gotso v Afrox Oxygen Ltd [2003] 6 BLLR 605 (Tk). But see Bensingh v Minister of Education & others (2003) 24
ILJ 1098 (C).
502 Law@work
In regard to contractual claims, the High Court has retained its jurisdiction.170
and Boxer Superstores Mthatha & another v Mbenya173 the Supreme Court of
procedures to the High Court on contractual grounds. Such a matter, the court
held, must be labelled as one dealing with the ‘unlawfulness’ of the termination
accepted that the lack of fair pre-dismissal procedures renders the termination
‘unlawful’.
and Gumbi has been called into question by the Constitutional Court’s judgment in Chirwa v Transnet Ltd &
others. 174 Writing for the majority, Skweyiya J
and Ngcobo J emphasise the specialist nature of the labour courts and the
labour sphere. Ngcobo J’s judgment deals extensively with the complex jurisdic-
tional problems that have arisen both for the High Court and the labour courts.
The judgment records that in Boxer Superstores, the Supreme Court of Appeal had considered that what mattered
was not the form of the employee’s complaint rather than its substance. Ngcobo J observed that this would permit
an
astute litigant to bypass the whole conciliation and dispute resolution machinery created by the LRA and ‘rob the
Labour Courts of their need to exist’. 175 The
judge then proceeded to reconcile sections 157(1) and (2) by having regard to
the primary objects of the LRA. In short, the drafters had intended to avoid a
matters. The LRA entrusts these bodies with the primary interpretation and appli-
cation of its rules. Section 157(2) was enacted to confer limited constitutional
jurisdiction on the labour courts. The primary purpose of the section is ‘not so
much to confer jurisdiction on the High Court to deal with labour and employ-
ment relations disputes, but rather to empower the Labour Court to deal with
________________________
170 See, eg, Jacot-Guillarmod v Provincial Government, Gauteng (1999) 20 ILJ 1689 (T); Fedlife Assurance Ltd
v Wolfaardt (2001) 22 ILJ 2407 (SCA). See also ch 5.
171 United National Public Servants Association of SA v Digomo NO & others [2005] 12 BLLR
1169 (SCA).
174 Fn 151.
Dispute resolution
503
causes of action that are founded on the provisions of the Bill of Rights but which arise from employment and
labour relations’. 176
In Gcaba v Minister for Safety & Security & others177 Van der Westhuizen J
confirmed that section 157(2) must be accorded a narrow meaning, and section
compliance with provisions of the LRA, the employee must seek a remedy in the
Against the background of Chirwa and Gcaba, the Supreme Court of Appeal in SA Maritime Safety Authority v
McKenzie178 made an about-turn on Boxer Superstores and confirmed that there is no present need for the
common law to be developed to duplicate the rights already included in the LRA.
pute resolution have been resolved, and the dual systems of jurisprudence
appear to have been abolished. Gcaba can certainly be read to call into question the assumption of jurisdiction by
the High Court in disputes that are regu-
lated by labour legislation, and it reinforces the role of the Labour Court as the sole forum for their resolution. 179
The Supreme Court of Appeal recently summarised the approach to be followed:180
Section 157(2) of the LRA was enacted to extend the jurisdiction of the Labour
Court to disputes concerning the alleged violation of any right entrenched in the Bill of Rights which arise from
employment and labour relations, rather than to restrict or extend the jurisdiction of the High Court. The Labour
Court and Labour
Appeal Court were designed as specialist courts that would be steeped in work-
place issues and be best able to deal with complaints relating to labour practices and collective bargaining. Put
differently, the Labour and Labour Appeal Courts
are best placed to deal with matters arising out of the LRA. Forum shopping is to be discouraged. When the
Constitution prescribes legislation in promotion of specific constitutional values and objectives then, in general
terms, that legislation is the point of entry rather than the constitutional provision itself.
Finally, note that section 77(3) of the BCEA confers concurrent jurisdiction on the Labour Court with the civil
courts ‘to hear and determine any matter concerning a contract of employment, irrespective of whether any basic
condition
of employment constitutes a term of that contract’. The Labour Court also has
tration under the Arbitration Act.181 Section 157(3) provides that any reference ________________________
176 At para 120. At para 124 the court goes on to say: ‘What is in essence a labour dispute as envisaged in the
LRA should not be labelled a violation of a constitutional right in the Bill of Rights simply because the issues
raised could support a conclusion that the conduct of the employer amounts to a violation of a right entrenched in
the Constitution’.
177 Fn 165.
178 [2010] 5 BLLR 488 (SCA). See also ch 5 at para 3.4 ‘Concurrent contractual and statutory remedies’.
179 The Superior Courts Act 10 of 2013 provides that the Labour Court will continue as a separate, specialist
court.
180 Motor Industry Staff Association v Macun NO & others (2016) 37 ILJ 625 (SCA) at para 20.
181 42 of 1965.
504 Law@work
to ‘the court’ in that Act, in respect of the arbitration of any dispute that may be referred to arbitration under the
LRA, is a reference to the Labour Court. The Labour Court may not adjudicate a dispute that must in terms of the
LRA be
referred to arbitration, unless the parties have agreed in terms of section 158(2)
A party may apply for leave to appeal against any final order or final judgment
of the Labour Court. If leave to appeal is refused, the applicant may petition
The Labour Appeal Court comprises a Judge President, a Deputy Judge Presi-
dent and the number of judges drawn from the High Court and Labour Court
that is necessary to ensure the effective functioning of the court. The President, on the advice of NEDLAC and the
Judicial Services Commission, appoints judges
of the court. The Labour Appeal Court is constituted before any three judges
designated by the Judge President. A decision on which any two judges agree
The Labour Appeal Court has national jurisdiction and may perform its func-
tions anywhere in the Republic. Subject to the Constitution, the Labour Appeal
Court may hear and determine all appeals against the final judgments and
orders of the Labour Court, and may decide any question of law that is reserved
The Labour Appeal Court may receive further evidence, remit the matter to
the Labour Court with instructions, or confirm, amend or set aside the judgment
or order that is the subject of the appeal. Judgments of the Labour Appeal Court
Section 183 provides that ‘subject to the Constitution and despite any other
law’ no further right of appeal lies from the Labour Appeal Court. The court
initially adopted the view that there was no right of appeal from the Labour
Appeal Court to the Supreme Court of Appeal. 186 This view was, initially at least,
________________________
182 S 158(2) contemplates the situation where it appears during Labour Court proceedings that a matter ought not
to have been referred to the court rather than to arbitration.
186 Kem-Lin Fashions CC v Brunton & another [2002] 7 BLLR 597 (LAC). In Kem-Lin Fashions v Brunton &
another (2002) 23 ILJ 882 (LAC) the Labour Appeal Court was asked to grant leave to the Constitutional Court on
a constitutional matter that the applicant contended arose in the appeal. In the course of the decision, the court
referred to s 167 of the LRA and concluded that there was no such right of appeal. The LAC held that ‘it is
inconceivable that a judgment of a court of local authority can be taken on appeal to a court of equal authority and
standing’.
Dispute resolution
505
not sustained. It was overruled first by the Constitutional Court,187 and then by
the Supreme Court of Appeal,188 on the basis that section 168 of the Constitution established the Supreme Court
of Appeal as the highest court of appeal except
in constitutional matters.
amended to provide that the Supreme Court of Appeal ‘may decide appeals
in any matter arising from the High Court of South Africa or a court of a status
similar to [that of] the High Court of South Africa, except in respect of labour
vide that the Supreme Court of Appeal may decide appeals in matters arising
from the High Court or court of similar status unless an Act of Parliament pro-
reflected in section 162 of the LRA that the Labour Appeal Court be the final
court of appeal in respect of matters arising from the Labour Court other than
constitutional matters.189
________________________
187 See NEHAWU v University of Cape Town & others (2003) 24 ILJ 95 (CC). In that case, the Constitutional
Court stated that where it was concerned with a constitutional matter that is not a matter within the exclusive
jurisdiction of the Labour Court. The provisions of the LRA which gave the Labour Appeal Court a status equal to
that of the Supreme Court of Appeal and Constitution as the final court of appeal can have no application in
constitutional matters. That provision can apply only to matters that are within the exclusive jurisdiction of the
Labour Appeal Court and the Labour Court. It followed that, on a constitutional matter, there was a right of appeal
from the Labour Appeal Court to the Supreme Court of Appeal.
188 See Chevron Engineering ( Pty) Ltd v Nkambule & others [2004] 3 BLLR 214 (LC) and NUMSA & others v
Fry’s Metals ( Pty) Ltd [2005] 5 BLLR 430 (SCA) . Chevron Engineering dealt with a matter that was heard by the
Labour Appeal Court on appeal from the Industrial Court. The matter was heard in terms of the transitional
provision of the LRA. In Chevron Engineering ( Pty) Ltd v Nkambule & others the Supreme Court of Appeal held
that there was a right of leave to appeal from the Labour Appeal Court to the Supreme Court of Appeal and that
this right was not subject to leave to appeal being granted by the Labour Appeal Court. Any doubt about this
conclusion has been removed by NUMSA
& others v Fry’s Metals ( Pty) Ltd. In that case, the Supreme Court of Appeal confirmed the right to appeal from
the Labour Appeal Court to the Supreme Court of Appeal, with the leave of the Supreme Court of Appeal, and
spelt out the terms on which that leave was likely to be granted. In Fredericks & others v MEC for Education and
Training, Eastern Cape
& others (2002) 23 ILJ 81 (CC) the Constitutional Court held that there was no general jurisdiction afforded to the
Labour Court in employment matters and that the jurisdiction of the High Court is not ousted by s 157 simply
because a dispute is one that falls within the overall sphere of employment relations. The High Court’s jurisdiction
will be ousted only in respect of matters ‘that are to be determined’ by the Labour Court in terms of the Act.
189 See Van Eck and Mathiba ‘Constitution Seventeenth Amendment Act: Thoughts on the Jurisdictional Overlap,
the Restoration of the Labour Appeal Court and the Demotion of the Supreme Court of Appeal’ (2014) 35 ILJ 863.
506 Law@work
10 The Constitutional Court
In respect of constitutional matters, the Constitutional Court has jurisdiction to hear appeals from the Labour
Appeal Court. Although the Constitutional Court,
in theory at least, is entitled to hear appeals directly from the Labour Court, it will not generally do so unless the
matter has been heard by the Labour Appeal
Court.190
________________________
190 Dudley v City of Cape Town & another 2004 (8) BCLR 805 (CC).
18
Employment and
social protection
Page
1 Introduction
......................................................................................................
509
4.1.1
Statutory
framework
.......................................................................
515
4.2
Unemployment
.........................................................................................
522
4.2.1
Introduction
.....................................................................................
522
4.2.2
Statutory
regulation
........................................................................
523
4.3.1
Introduction
.....................................................................................
527
4.3.3 The role of the employer and third parties .................................. 529
4.4
Medical
insurance
....................................................................................
531
4.4.1
Introduction
.....................................................................................
531
5.1
Introduction
...............................................................................................
535
5.2 Regulation of skills development ............................................................ 536
5.3.1 Broad
outline
.................................................................................
537
5.3.3 Institutional
frameworks
...............................................................
539
5.4
Enforcement
.............................................................................................. 541
6.1
Introduction
...............................................................................................
542
6.2 South African public social insurance and migrant workers ............... 543
507
509
1 Introduction
Social protection is a relatively new area of study in South African labour law. In international terms however,
social protection has always featured prominently
protect workers against sickness, disease and injury arising out of employment,
and to provide for old age and injury. The ILO has adopted a total of 31 con-
In general, ILO activities in the field of social security have been rooted in the Declaration of Philadelphia (1944),
the more recent concept of ‘decent work’
and, naturally, the relevant ILO social security standards. The mandate of the ILO
is social justice as the basis for achieving peace, and social protection is re-
many of the initiatives in this field were limited to the formal sector of the economy and to public measures. 2 The
ILO today places more emphasis on the concept of decent work in its protection strategies, with one of the main
characteristics of the decent work approach being that everybody is entitled to
basic social security. 3 It must be accepted that the decent work deficits are,
however, still most pronounced in the informal economy.4 To this deficit, the changing nature of employment must
be added as a challenge facing the
labour costs. This may be partly true, but it is difficult to deny the necessity for social protection, especially in
developing countries and in times where the
nature and structure of the workplace are in a state of flux. After its general discussion on social security in June
2001, the International Labour Conference
________________________
1 ILO (Humblet and Silva) Standards for the XXIst Century: Social Security (2002) at 1. These instruments cover
the nine traditional branches of social security: sickness, maternity, employment injury, unemployment, invalidity,
old age and death; the provision of medical care; and the provision of subsidies for families and children.
2 This is particularly true for social insurance schemes where contributors were usually limited to employees
proper, and excluding independent contractors, self-employed persons and atypical workers.
3 See again Art 9 of the International Covenant of Economic, Social and Cultural Rights. Van Ginneken
‘Extending social security: Policies for developing countries’ (ESS Paper No. 13) (2003) at 11 correctly comments
that a decent work strategy aims at universality of coverage.
4 The ILO describes the ‘informal economy’ as referring to ‘all economic activities by workers and economic units
that are – in law or in practice – not covered or insufficiently covered by formal arrangements. Their activities are
not included in the law, which means that they are operating outside the formal reach of the law; or they are not
covered in practice, which means that – although they are operating within the formal reach of the law, the law is
not applied or not enforced; or the law discourages compliance because it is inappropriate, burdensome, or
imposes excessive costs’.
5 See ch 4 with regard to atypical employment that is becoming more and more typical.
510 Law@work
providing health care, income security and social services. The Conference also
concluded that while there is no single correct model of social security adminis-
weaken solidarity systems, 6 which share risks between all insured persons.7 The in-
dividualisation of social protection is clearly not preferable, and the social part-
Certain values, including those of prevention, restitution, solidarity, redistribution, self-sufficiency and the work
ethic, are to a greater or lesser extent inherent in all social protection frameworks. 9 One may even go so far as to
say that the basis for all social protection is to uphold the value of human dignity.
Although South Africa was a founding member of the ILO, it has ratified very
________________________
6 Solidarity is always necessary for social integration. It must, however, be noted that there are many different
understandings of ‘solidarity’ and that it is largely influenced by the prevailing political discourse and
environment. An important aspect of the concept of solidarity refers to some sort of empathy with other people: to
share resources with people in need; and to organise some sort of collective sharing with others. In social insurance
schemes the concept transcends individual charity and uses the state to redistribute resources.
7 A good example of solidarity in the South African system is that of the unemployment insurance scheme. A
sliding scale of benefits ensures that those who earn less (and thus contribute less) may claim benefits at a
proportionally higher scale than those who earn more (and contribute more). See para 4.2 ‘Unemployment’.
8 Refer also to the Committee of Inquiry into a Comprehensive System of Social Security for South Africa:
‘Where an aspect of the social security system relies on the private market for delivery, legislation typically has to
be introduced enforcing minimum solidarity and cross-subsidisation requirements. Without these protections,
reliance on the private market will be undermined through unilateral decisions made by the market to exclude
certain groups from cover’ ( Transforming the Present – Protecting the Future (2002) at 121 at para 13.2.4.5).
9 Olivier, relying on Berghman, states that ‘as far as the work ethic principle is concerned, it is one of the ultimate
aims of social security to support the basic policy chain and to uphold the work ethic or effort . . . When this
logical policy chain is endangered owing to limited resources or where the chain is interrupted as a result of
unemployment, incapacity to work or old age, social security basically operates at two levels in order to address
and redress the situation. Firstly, it provides measures to protect and/or augment income, by making benefits such
as family benefits or study grants available where resources are evidently deficient, and by replacing income
through unemployment, disability or pension benefits should the particular covered risk occur. Secondly, social
security supports reintegration measures in an attempt to mend the policy chain. Simultaneously, this is an
expression of the work ethic principle, which is one of the most fundamental values of society and which serves as
the ultimate justification of social security schemes. It is only where integration into the labour market is no longer
possible that social security operates as a bypass mechanism. This could be caused by, for example, a lack of
labour-demand. Even then, however, the work ethic principle must be upheld and would require that some wil -
ingness to seek social integration be shown. A commitment to retraining or voluntary work, against the
background of sound labour market policy, could suffice in this regard’. Olivier in Olivier, Smit, Kalula & Mhone
Introduction to Social Security (2004) at 27.
511
the strongest basis from which to advocate and promote the principle of soli-
darity, and to improve the legitimacy of social assistance and insurance schemes
in an unequal society.
and multi-faceted.12 Section 27(2) of the Constitution provides that the state
must take reasonable legislative and other measures, within its available re-
Most public insurance schemes cover workers in the formal sector only and
ever, this cannot be the only focus of development. When one has regard to
the number of people involved in the informal sector13 it is clear that the chal-
lenges of the decent work deficit in the informal economy must, in addition, be
ILO’s initiatives mostly are restricted to the formal sector some conventions and recommendations have been
adopted with a wider scope of application. 15 Initiatives in the field of social protection will most likely follow
suit.
________________________
10 South Africa has ratified the UN Convention on the Rights of the Child of 1989, which includes social security
rights of children. The Convention on the Elimination of All Forms of Discrimination against Women of 1981 was
ratified in 1995, which covers the eradication of discrimination in social security and a loss of seniority or benefits
owing to pregnancy or marriage in relation to employment. Although South Africa has signed the International
Covenant on Economic, Social and Cultural Rights 1976 in 1994 ratification remains outstanding.
11 S 10 of the Constitution.
12 S 27(1)(c) of the Constitution provides that ‘Everyone has the right to have access to social security, including,
if they are unable to support themselves and their dependants, appropriate social assistance’.
13 Van Ginneken (fn 3) at 9 submits that together with globalisation, the structural adjustment policies pursued in
many developing countries have contributed to a decline in the small percentage of working population in the
formal economy. There is no reason to believe that this trend will change.
14 ILO ‘Universal social protection for human dignity, social justice and sustainable development’ General Survey
concerning the Social Protection Floors Recommendation, 2012
(No. 202) ILC.108/III(B) (2019) at 12: ‘According to ILO estimates, only 29 per cent of the world’s population has
access to comprehensive social security systems, and 55 per cent of the global population is not effectively
protected in any area. Social security coverage is notably inadequate among the rapidly increasing number of
workers in non-standard forms of employment who were estimated to number 1.4 billion in 2017, with an
additional 17 million estimated to be joining their ranks every year’.
15 See, eg, the Freedom of Association and Protection of the Right to Organise Convention 87 of 1948 (applicable
to all workers); the Right to Organise and Collective Bargaining Convention 98 of 1949 (also applicable to ‘all
workers’); the Forced Labour Convention 29 of 1930; the Discrimination (Employment and Occupation)
Convention 111 and
512 Law@work
‘Social protection’ is a term that encompasses all that was previously understood
under the term ‘social security’, and more.16 Although the term is incapable of precise definition, it conceivably
refers to a wide variety of instruments all designed to ensure that human beings are adequately protected against
social,
entire population or for categories of deserving people. The allocation of social assistance is primarily needs-based
and is therefore often subject to means
testing, although it may be universal. Specific contributions by beneficiaries are not required, and benefits or
grants are provided for from the state budget. The
contributions and the state may also contribute to such schemes, or guarantee
certain benefits. The ‘insurance’ is obligatory and aims to promote and achieve
social solidarity.
The traditional view of social security has been criticised as being too con-
stricted. The more modern view has broadened the concept of social security
to refer to basic needs, and has widened the range of contingencies that are
covered. In addition, active labour market policies must also be included when
referring to ‘social protection’. In this chapter, this wider concept of social protection is preferred and applied. 17
As noted earlier the concepts of a ‘decent job’ and a ‘decent wage’ are not
Recommendation 111 of 1958 (applies to ‘all workers’ – see also the Equal Remuneration Convention 100 and
Recommendation 90 of 1951); the Minimum Age Convention 138
and Recommendation 146 of 1973 (applies to all sectors and the terms ‘employment’ and
‘work’ are used together so as to cover all economic activity regardless of the formal employment status of the
person concerned (ILO Fundamental Rights at Work and International Labour Standards (2003) at 94)); Home
Work Convention 177 of 1996 and Home Work Recommendation 184 of 1996; Domestic Workers Convention 189
of 2011; and
Employment and Decent Work for Peace and Resilience Recommendation 205 of 2017.
countries with historically scarce opportunities for formal employment, domestic workers constitute a significant
proportion of the national workforce and remain among the most marginalized’.
16 Originally, social security was divided primarily into two categories: social assistance and social insurance.
Later, other elements were also recognised, eg social relief and social services.
17 The ILO has a conception of social protection which broadly includes social security and labour protection –
Van Ginneken (fn 3) at 10. To this could also be added labour market policies and social services as Van Ginneken
points out: ‘It is also important to note already here that the goal and the concept of decent work, matches this
broader view of social security/social protection’. The Social Protection Floors Recommendation 202 of 2012
represents the consensus among ILO members on the crucial role and functions of universal and comprehensive
social protection.
513
that formal social security systems should attempt to complement rather than
substitute for informal systems. It is also trite that there are significant linkages
between the changing nature of work and the growth of the informal economy.18
An ILO discussion paper notes that the ‘new conceptual framework’ depicts ‘a
continuum of production and employment relations. It does away with the idea
that there are distinct formal and informal ‘sectors’ without direct links and instead stresses that there are linkages,
grey areas and interdependencies be-
The state bears the ultimate responsibility to ensure the realisation of social
security rights ‘because of its constitutional obligation and authority and re-
sources for promoting social protection for all’.20 It has, however, become increasingly apparent that the state is
struggling in the role as principal provider of social protection, including social security. Public-private
partnerships are therefore essential in the area of social protection, and have become increasingly
common.
[t]he protection which society provides for its members, through a series of public measures, against the economic
and social distress that otherwise will be caused
ternity, employment injury, unemployment, invalidity, old age and death; the pro-
vision of medical care; and the provision of subsidies for families and children.21
Social security standards materialise differently in countries (for example in developed and developing countries).
The ‘first-generation’ standards are based
mainly on the concept of social insurance and are applicable to certain cat-
________________________
18 See International Labour Conference (‘ILC’) ‘Conclusions concerning decent work and the informal economy’
(2002) at para 8: ‘Workers and economic units are increasingly engaged in flexible work arrangements, including
outsourcing and subcontracting; some are found at the periphery of the core enterprise or at the lowest end of the
production chain, and have decent work deficits’. See also ILO ‘Time to Act for SDG 8: Integrating Decent
2019.
19 Trebilcock ‘Decent work and the informal economy’ Discussion Paper No. 2005/04 (2005) 2.
20 See, eg, Olivier and Mpedi ‘Extending Social Protection to Families in the African Context: The
Complementary Role of Formal and Informal Social Security’ Paper presented at the 4th International Research
Conference on Social Security (International Social Security Association) Social Security in a Long-Life Society
(2003) at 33.
514 Law@work
income to all in need of protection.22 The ‘third-generation’ standards offer a higher level of protection (with
reference to both the population covered and
the level of benefits).23 In most developing countries, and this is the case in Southern Africa, it is mostly the first-
generation standards that are implemented and adhered to.
Olivier proposes that even though similarities exist with regard to the list of
social contingencies usually identified in international instruments, the concept of social security has to be
determined not purely in terms of the existing
schemes covering those contingencies, but essentially in terms of the aims for which these schemes are intended.
24 The focus should ‘ideally be not on a list of social risks, but rather on a set of policy instruments devised to
elaborate upon, or forward, a certain aim’.
Unfortunately, the South African social security system is presently still largely risk or contingency-based. Not all
risks are catered for by public schemes. Public social insurance schemes exist to deal with particular contingencies,
namely
related injury and death. Private insurance schemes must largely cater for the
ment and medical expenses are widespread in South Africa. In the area of
to older persons, qualifying children and people with disabilities. 25 Due to this contingency-based nature of social
security in South Africa, the Committee of
Inquiry into a Comprehensive System of Social Security for South Africa26 sug-
address the underlying structural and material basis of social exclusion, as well
effect to this goal in South Africa. 28 The introduction of a national minimum wage in South Africa should be
viewed as part of the decent work approach,
________________________
22 As described above the Social Security Minimum Standards Convention 102 of 1952 provides for a minimum
level of benefits in nine branches of social security. These standards were adopted in the period immediately after
World War II.
23 ILO (fn 1) at 2.
24 See Olivier ‘The Concept of Social Security’ in Olivier, Smit & Kalula Social Security: A Legal Analysis
(2003) at 35–36.
26 Fn 8 at 41.
27 That is to say income-poverty, capability-poverty and asset-poverty as coined by the Committee, as well as
special needs ( ibid at 42).
28 ‘Comprehensive social protection for South Africa seeks to provide the basic means for all people living in the
country to effectively participate and advance in social and economic life, and in turn to contribute to social and
economic development’ ( ibid at 41).
29 The ILO Constitution provides that ‘peace and harmony in the world requires the pro-
visions of an adequate living wage’, see ILO 1974 http://ilo.org. The Minimum Wage-Fixing
Machinery Recommendation No. 30 of 1928 states that a living wage should be determined with reference to the
specifics of the country and the time period involved. See also the National Minimum Wage Act 9 of 2018.
515
vide a safe working environment to its workers.31 This obligation is one of the principal duties of all employers.
32 The ILO Employment Injury Benefits Conven-
tion 121 and Recommendation 121 of 1964 regarding employment injuries and
The most significant legislation in South Africa that provides for preventive safety measures in workplaces are the
Occupational Health and Safety Act33 (OHSA)
for work-related illness, injury and death is the Compensation for Occupational
Injuries and Diseases Act35 (COIDA). The Occupational Diseases in Mines and
Works Act36 (ODMWA) also provides for mandatory reporting and the payment of certain benefits to workers,
who work in mines and works, and who develop
________________________
30 For a general discussion refer to Smit ‘Employment Injuries and Diseases’ in Olivier et al (fn 24) at 459–499.
31 See, eg, Van Zyl v Workmen’s Compensation Commissioner 1995 (1) SA 708 (N) and Skinner v Minister of
Public Works & another [1998] JOL 4223 (SE).
32 See ch 5.
33 Act 85 of 1993. In PSA obo Members v Minister of Health (2019) 40 ILJ 193 (LC) the court held that its power
to enforce compliance with labour laws does not extend to matters over which it lacks express jurisdiction. The
OHSA mandates the court to monitor the performance of the labour inspectorate and not to compel the employer
to comply with health and safety standards.
34 Act 29 of 1996. These Acts are currently being reviewed.
35 Act 130 of 1993. This Act is administered by the Department of Labour. The COIDA repealed the Workmen’s
Compensation Act of 1941. See also the Compensation for Occupational Injuries and Diseases Amendment Act 61
of 1997 that came into effect on
1 March 1998. The Road Accident Fund Act 56 of 1996 (RAFA) (see also the Road Accident Fund Amendment
Act 19 of 2005) is applicable where an employee is injured in the course of being conveyed by a motor vehicle in
the course of his or her employment. As the provisions of the COIDA are also relevant, these two statutes must be
read together in cases of commuting injuries. See Road Accident Fund v Monjane (2007) 28 ILJ 2516 (SCA)
where the court held that an employee who sustains an ‘occupational injury’ as defined in the COIDA will have no
claim under the RAFA if the wrongdoer is his or her employer.
Although this decision is not uncontroversial, leave to appeal to the Constitutional Court was refused.
516 Law@work
dependants of workers who die from these diseases. Substantial differences be-
tween the COIDA and ODMWA exist in so far as benefit structures, entitlements
The Department of Labour administers the OHSA. The OHSA spells out the
health and safety committees, and makes provision for a number of offences if
the Act is contravened. The maximum penalty for the contravention of a pro-
vision of the Act is a fine or 12 months’ imprisonment, or both. 37 However, the negligent causing of injury
carries a maximum penalty of a higher fine or two
years’ imprisonment, or both.38 The MHSA stipulates that the owner of every worked mine must ensure, as far as
reasonably practicable, that the mine is
can perform their work without endangering the health and safety of employ-
The LRA extends an important role in health and safety issues in the workplace
matters. 41
the course and scope of employment, has the right to institute a delictual action against the employer. This requires
the employee to prove intent or negligence
on the part of the employer, or on the part of a co-employee. 42 An employee is
then still not assured that the employer will be in a financial position to pay any compensation that may be
awarded. To address some of these issues, the
COIDA establishes a public fund, the Compensation Fund, which is the proper
________________________
39 S 2(1) of the MHSA. This Act is enforced by the Department of Minerals and Energy.
41 Although health and safety measures are not expressly listed as specific matters for consultation in s 84, a
representative trade union and an employer may conclude a collective agreement conferring on the workplace
forum the right to be consulted about any additional matters in that workplace (s 84(3) and (5)). The workplace
forum is also involved in the establishment of health and safety committees and is entitled to the appointment of
one or more members of the forum as health and safety representatives in the workplace (s 84(5)(a)–(c)).
43 Even though the Fund operates on a no-fault basis (ie, employees can claim compensation even in the absence
of fault on the side of their employer and regardless of fault on their own side) it is evident that employees will not
be compensated fully. Only defined benefits are payable as compensation.
517
Employers must contribute to the Compensation Fund.44 Subject to certain limited exceptions (and exempted
employers in section 1 of the Act) all employ-
ers45 in South Africa must register and pay assessments to the Fund. 46
The effect of this provision is that a particular form of (delictual) liability for damages is replaced by insurance
coverage. Section 35(1) of the COIDA provides that:
recovery of damages in respect of any occupational injury or disease resulting in the disablement or death of such
an employee against such employee’s employer,
and no liability for compensation on the part of such employer shall arise save
The Act thus provides a system of no-fault compensation for employees47 who are injured in accidents that arise
out of and in the course of their employment
________________________
44 See the classification of industries in terms of the COIDA as published in GN 216 in GG 40675 of 10 March.
There are, however, two important exceptions where employers do not contribute directly to the Compensation
Fund (these are the Rand Mutual Assurance Company Limited which operates in the mining industry and the
Federated Em-
45 In Crown Chickens ( Pty) Ltd t/a Rocklands Poultry v Rieck (2007) 28 ILJ 307 (SCA) the court reviewed the
century-long history of the legislation and stated (at para 10) that ‘a workman could have only one “employer” at
any time, which was the person with whom he was in a contractual relationship of employment, whether he
performed his duties for that person or for someone else’. The court reaffirmed this principle with reference to the
1993
Act: ‘the Act contemplates that an employee generally has only one employer at any time, which is the person with
whom he is in a contractual relationship of employment, even when he performs his contractual obligations for
some other person’ (at paras 15–
16). The definition of employer was thus extended to include labour brokers to avoid any misunderstanding.
46 As employees make their labour potential available to the employer (who benefits from the economic process),
so it is argued, it follows that the responsibility for financing the insurance scheme is the employer’s. In Mahlangu
& another v The Minister of Labour & others (Case no 79180/15 of 23 May 2019) the High Court declared that s
1(xix)(v) of the COIDA ‘is unconstitutional and invalid to the extent that it excludes domestic workers employed
in private households from the definition of “employee”’.
47 Both an ‘employee’ and ‘employer’ are defined in the Act; Compensation Commissioner v Van Vuuren [2015]
JOL 33943 (GP) confirms that an independent contractor, a sole-proprietor or self-employed person will not be
entitled to claim compensation. The Act also contains some express exclusions from its scope of coverage – see ch
4 in this regard.
(Eg a volunteer worker was found not to be an employee as defined in the COIDA as she was not remunerated in
cash or in kind – ER24 Holdings v Smith & another [2007] JOL 19898
(SCA).) In Minister of Defence and Military Veterans v Thomas 2016 (1) SA 103 (CC) the Constitutional Court
held that s 35(1) precludes a delictual claim against an employer but that the State as employer is not regarded as a
single entity. Dr Thomas could therefore claim compensation from the province and delictual damages from the
national government.
48 The word ‘accident’ should be given its ordinary meaning. Therefore an accident is ‘an unlooked-for mishap or
an untoward event which is not expected or designed’. See Nicosia v Workmen’s Compensation Commissioner
1954 (3) SA 897 (T) at 900E–F. Whether an accident arises ‘out of and in the course’ of employment is often in
dispute – see, eg, continued on next page
518 Law@work
________________________
Gunter v Compensation Commissioner (2009) 30 ILJ 2341 (O) and Twalo v Minister of Safety
& Security & another (2009) 30 ILJ 1578 (Ck). In De Necker v Member of the Executive Council for the
Department of Health, Free State Province ( Mosoeu NO & others as third parties) [2014] JOL 32175 (FB) a
female doctor was attacked and raped while she was on duty at a state hospital in Bloemfontein. She sued the
defendant for damages and s 35(1) was raised as a special plea barring such delictual action. The court, relying on
Minister of Justice v Khoza 1966 (1) SA 410 (A), summarised as follows (at para 9): ‘The essence of the Khoza
decision and the cases that follow it, is the following: 9.1 An accident may be said to arise “out of a workman’s
employment”, when, in a broad sense, there is a causal connection between the employment and the accident; 9.2
As a general rule there is a causal connection between the employment and the accident where the accident
happens at work; 9.3 It is not an injury arising out of and in the course of employment where an employee was/is
injured as a result of a criminal conduct such as an intentional and unlawful assault by another person that is
unrelated to the job of that employee, even if it happens at work; 9.4 This means an injury resulting from an assault
that is unrelated to the job does not arise “out of or in the course of” employment’. The court concluded (at para
22) that on the facts the intentional criminal act of the perpetrator of the attack was not a s 35 ‘accident’ and that
Dr De Necker did not sustain an ‘occupational injury’. The finding was confirmed in the Supreme Court of Appeal
in MEC for the Department of Health, Free State Province v EDN [2014] 12 BLLR 1155 (SCA). The court
emphasised the vile nature of rape (at para 32): ‘As a matter of policy alone an action based on rape should not,
except in circumstances in which the risk is inherent, and I have difficulty conceiving of such circumstances, be
excluded and compensation then be restricted to a claim for compensation in terms of COIDA’.
49 An occupational injury means a personal injury sustained as a result of an ‘accident’. There must be a causal
connection between the accident and the loss suffered by the employee, without any actus novus interveniens (ie,
without a break in the chain of causality). The Fund is facing an increased number of claims based on post-
traumatic stress disorder, and in Urquhart v Compensation Commissioner [2006] 1 BLLR 96 (E) the court held
that an occupational injury need not arise from a single accident. In this judgment, it was held that an injury might
also be caused by a series of incidents that culminate in a disability. The appellant was a newspaper photographer,
who suffered a nervous collapse after he was assaulted while on an assignment. His psychiatrist diagnosed post-
traumatic stress, arising from a lifetime of subjection to shocking and distressing scenes. The compensation
commissioner held that this did not constitute an occupational injury and this finding was upheld in objection
proceedings in terms of the COIDA. However, on appeal in terms of the Act, it was held that the presiding officer
had taken into account the text-book definition of post-traumatic stress disorder, which had not been introduced in
evidence. Furthermore, apart from this, the Act was construed too narrowly. The court held that there is nothing in
the COIDA that requires a claimant to prove a causal connection between a single incident and the occupational
injury or disease from which he or she is suffering. On the contrary, it was held, the purpose of the Act enjoins
those applying it to adopt a wide interpretation of ‘occupational injury’. This finding affirms the importance of
having regard to the social nature of legislation when interpreting and administering such legislation. In Healy v
Workmen’s Compensation Commissioner & another (2009) 30 ILJ 859
(E) the court held that the underlying policy of the COIDA was to assist workmen as far as possible, consequently
its terms should be interpreted so as not to prejudice a workman (see also Pretorius v Compensation Commissioner
& another (2010) 31 ILJ 1117 (O) at para 15: ‘The Compensation Act should not be interpreted restrictively so as
to prejudice continued on next page
519
employee can establish that the injury or disease was caused by the negligence
In Jooste v Score Supermarket Trading ( Pty) Ltd52 the Constitutional Court was called upon to decide whether the
prohibition on an employee instituting a
claim for damages against an employer, described above in section 35, vio-
lates the Constitution. The court held that the COIDA is important social legislation, which has a significant
impact on the sensitive and intricate relationship
between employers, employees and society. The state has chosen to intervene
other persons (in other words, employees, as opposed to other persons being
denied the right to claim full compensation from the employer) does not involve
a specified ground of discrimination and thus the court had to consider general
equality provisions. The court held that section 35 does not violate the right to equal protection and benefit of the
law in section 9, or any other right of the
Constitution.
The Constitutional Court accepted that the bar on civil claims in section 35 is
required to contribute.53
In Mankayi v Anglogold Ashanti Ltd54 an appeal against the finding of the High Court that the bar on civil claims
in section 35 also extends to diseases that are compensated in terms of the ODMWA was dismissed. However, the
Constitutional
________________________
an employee if it is capable of being interpreted in a manner more favourable to him or her’). In De Necker (fn 48)
the Supreme Court of Appeal stated (at para 33) that ‘workers should as far as possible be assisted to claim
compensation that is their due under the Act and which flow from incidents connected to their employment and
which can rightly be said to be a risk attendant upon or inherent to the employment’.
50 Occupational diseases are listed in Sch 3 to the Act and an employee is entitled to compensation should he or
she contract such a disease. When an employee contracts a disease, other than a scheduled disease, which arose out
of and in the course of his or her employment, compensation is also payable. While a presumption exists that,
where an employee contracts a disease in Sch 3, the disease was caused by the employment, the employee must
establish that the disease arose out of and in the course of employment where it is an unlisted disease.
51 S 37 of the COIDA.
53 In Bandat v De Kock & another (2015) 36 ILJ 979 (LC) the Labour Court held that s 35(1) also expunges a
claim for medical expenses incurred as a result of an injury on duty. The question whether or not an employee
ought to have retained the common-law right to claim damages, either over and above or as an alternative to the
compensation conferred by the Act, represents a highly debatable, controversial and complex matter of policy,
according to the court in the Jooste case (fn 52). The court stated that such a contention represents an invitation to
the court to make a policy choice under the guise of rationality review, an invitation that the court firmly declined.
This debate therefore remains valid.
520 Law@work
Court disagreed with the judgments of both the High Court and the Supreme
Court of Appeal. In Mankayi v Anglogold Ashanti Ltd55 Khampepe J concluded in her judgment that:
section 35(1) must be read in the context of the other provisions of COIDA. The
‘employee’ referred to in section 35(1) whose common law claim is expunged is
limited to an ‘employee’ who has a claim for compensation under COIDA, in re-
spect of occupational diseases mentioned in COIDA. It is this ‘employee’ that section 35(1) of COIDA excludes
from instituting a claim for the recovery of damages against the employer for occupational diseases resulting in
disablement or death.
The expungement does not extend to an ‘employee’ who is not entitled to claim
that section 35(1) does not cover an ‘employee’ who qualifies for compensation
in respect of ‘compensatable diseases’ under ODIMWA. The exclusion of liability in section 35(1) is therefore
limited to ‘employees’ who are entitled to compensation in respect of ‘occupational diseases’ under COIDA. The
exception should there-
This finding is of great importance to the mining industry where employers have
always held the view that employees cannot claim delictual damages for occu-
pational diseases contracted in mines and works. The finding opens the way for
The COIDA provides for a claim for medical expenses as well as a constant
care allowance against the Compensation Fund. The formula for calculating
the Act. The future loss of the ability to earn is not taken into consideration. 57 An
employee may forfeit his or her right to claim compensation where the employee
________________________
56 At paras 113–114.
57 ODMWA benefits are generally inferior to those under the COIDA even though free benefit examinations are
available under the ODMWA that is not the case under the COIDA.
The ODMWA only provides for lump-sum payments (no pension payments are made);
secondly, no provision is made for additional compensation in the event of negligence on the part of the employer
(additional compensation is, however, payable if the permanent disability of the employee worsens from the first to
the second degree); thirdly, limited provision is made for the payment of medical expenses. Having said this, the
Mankayi judgment results in a position where employees who fall under the scope of ODMWA will be much better
off than their counterparts – provided that they can prove fault on the side of the employer. In Chamber of Mines of
South Africa v Compensation Commissioner for Occupational Diseases & others [2013] JOL 29891 (SCA) the
court held that ODMWA establishes a Mines and Works Compensation Fund and that in the event of a deficit in
the Mines Account, such deficit should be made good by additional levies imposed on mine owners.
521
As explained above, the failure to comply with any of the obligations imposed
by the Act is a criminal offence and, in addition, the commissioner has the power
________________________
58 Serious and wilful misconduct means: being under the influence of intoxicating liquor or a drug having a
narcotic effect; a contravention of any law for the protection of the health of employees or for the prevention of
accidents, if such contravention was committed wilfully or with a reckless disregard of the provisions of such law;
or any other act or omission which the Director-General having regard to all the circumstances considers to be
serious and wilful misconduct.
59 Compensation is payable to injured employees during temporary total disablement by way of periodical
payments at the rate of 75 per cent of monthly earnings (a ceiling does apply). No compensation is payable in
respect of the first three days if disablement lasts no more than three days. (This is permissible in terms of
Convention 102.) Compensation for total or partial disablement is paid periodically and continues for as long as
the temporary total disablement continues but with a limit of 24 months. The ODMWA provides for 75 per cent of
wages to be paid for the period during which the employee is absent from work as a result of a compensatable
disease (with a maximum of 6 months).
60 Compensation for permanent disablement where the degree of disablement is 30 per cent or less takes the form
of a lump sum based on 15 times the employee’s monthly earnings up to a specified maximum of such earnings.
Where disablement is less than 30 per cent the lump sum is calculated proportionally. If the degree of permanent
disablement is 31 per cent or more, compensation takes the form of a monthly pension. The pension for total
permanent disablement (100 per cent) is calculated in the same manner as for periodical payments in respect of
temporary total disablement (ie, at the rate of 75 per cent).
If an employee’s permanent disablement is less than 100 per cent, a pension is calculated proportionally. The
ODMWA provides only for a lump sum based on the percentage permanent disability and the remuneration of the
employee.
61 No amount may be deducted from compensation received by a dependant in respect of any compensation
awarded to the employee himself in respect of the same or any other accident. The monthly pension is paid to
widows, widowers and dependent children. The value of the pension for dependants is expressed as a proportion of
the pension that the deceased employee would have received had he or she been totally and permanently disabled
(ie, 75 per cent of earnings subject to any stipulated minimum or maximum). This applies regardless of the number
of dependants, widow or widower. The widow or widower is also entitled to the payment of a lump sum. (The
ODMWA does provide for a lump sum payment to the widow(er) and dependants if the worker dies and is
revealed by an autopsy to have had a compensatable disease for which he or she was not previously compensated.)
62 According to Boer v Momo Developments CC & another [2005] JOL 13303 (T), where an employer failed to
register an employee in terms of the Act the employee can still claim compensation from the Commissioner. The
employer, being subject to a fine, can therefore still not be sued by the employee. This is also the case where an
employer fails to report an accident as required by statute. The principle is thus that an employee is totally
precluded from claiming common-law damages in a case where his or her injury falls within continued on next
page
522 Law@work
4.2 Unemployment
4.2.1 Introduction
Another public social insurance scheme in South Africa is that covering the risk
working age who are without work, and are currently available for work and
actively seeking work or wanting to work. 63 The ILO regards the scheme that
ings due to the inability to obtain suitable employment in the case of a person
protected who is capable of and available for work.64 The Employment Promo-
tion and Protection against Unemployment Convention65 does not only intend
unemployment, but rather as a scheme with the primary focus to ‘arrange for
ployees” in the formal sector, and not to impact directly on the comprehensive
________________________
s 35(1) of the COIDA – see Skorbinski v Bezuidenhout t/a DB Transport (2009) 30 ILJ 2847
(EC).
63 Barker and Holtzhausen South African Labour Glossary (1996) distinguish between the following types of
unemployment (at 157): ‘“Chronic unemployment” usually describes unemployment lasting longer than six
months. “Cyclical unemployment” arises during reces-sionary periods, when aggregate demand is low and thus
also the demand for labour . . .
“Frictional unemployment” arises as a result of the normal labour turnover that occurs in an economy and the time
lags involved in the re-employment of labour. Frictional unemployment usually has a relatively short duration and
the extent thereof can be reduced further by effective active labour-market policies. “Seasonal unemployment”
arises as a result of normal and expected changes in economic activity during the course of a single year, eg in the
agricultural sector . . . “Structural unemployment” arises as a result of the overall inability of the economy to
provide employment for its total labour force . . .
“Technological unemployment” arises because of the displacement of workers by the introduction of new
technology’.
64 ILO (fn 1) at 21–22. Convention 68 and Recommendation 176 expressly provide that the person must be
actively seeking work. S 16(1)(c) of the Unemployment Insurance Act 63 of 2001 (UIA) requires an applicant for
benefits to be registered as a work seeker with a labour centre. Refusal by the employee to undergo training and/or
vocational counselling for employment, without just reason, results in his or her disentitlement to unemployment
benefits.
66 South Africa is often criticised for a lack of active labour-market policies that effectively promote productive
employment. The SDA is aimed at developing the skills of the South African workforce to promote productive
employment. See para 5 ‘Skills development and training’.
67 See Olivier & Van Kerken ‘Unemployment insurance’ in Olivier et al (fn 24) at 418. See, however, the new
provision that the Unemployment Insurance Fund must also be used for financing of the retention of contributors
in employment and the re-entry of contributors into the labour market and any other scheme aimed at vulnerable
workers (s 5(d) of the Unemployment Insurance Act 63 of 2001).
523
The Unemployment Insurance Act69 (UIA) provides for an Unemployment Insurance Fund (UIF), administered
by the Department of Labour, to which employers
and employees contribute an equal amount.70 In terms of section 3(1) of the Act all employers and employees are
covered, except for employees employed
for fewer than 24 hours a month with a particular employer, and their employers.71
l unemployment benefits;
l illness benefits;
l maternity benefits;
l dependant’s benefits.
It should be clear that the unemployment scheme covers benefits, for example
benefits that ordinarily fit under such a scheme as it is unrelated to termination of employment by the employer.
This is mainly due to the absence of separate
benefits where that contributor fails to comply with any provision of the Act or
________________________
68 For a general discussion refer to Olivier and van Kerken ( ibid) at 415–458.
69 Act 63 of 2001.
70 Contributions are determined in accordance with the provisions of the Unemployment Insurance Contributions
Act 4 of 2002 (UICA). The employer must pay the total amount of contributions (2 per cent of the remuneration to
the relevant party; ie, either the SARS
Commissioner or the UIF Commissioner (s 5(2)). As is the case under the COIDA, benefits and contributions are
also here determined with reference to a certain ceiling or maximum amount of earnings (s 6(2) of the UICA). For
the definitions of ‘employer’ and ‘employee’
71 S 3(2) excludes members of parliament, cabinet ministers, deputy ministers, members of provincial executive
councils, members of provincial legislatures and municipal councillors from the scope of the Act.
72 In general, the application must be made within 6 months after the occurrence of the risk but in the case of
maternity benefits it must be made at any time before or after childbirth but within a period of 12 months (s 25(1)).
73 The UIF commissioner may, after giving a contributor or a dependant an opportunity to make written
representations, on written notice with reasons provided, suspend a contributor or dependant for a period of up to
five years from receiving benefits in terms of the Act if the contributor or dependant acted fraudulently (including
making a false statement in an application for benefits, submitting a fraudulent application for benefits, or failing
to inform a claims officer of the resumption of work during the period in respect of which benefits were being
paid) (s 36(1)).
524 Law@work
benefits74 for any period of unemployment lasting more than 14 days, if the reason for the unemployment is:
of that contributor;75
The contributor must be capable and available for work in order to receive un-
employment benefits, but where he or she becomes ill while in receipt of un-
employment benefits, and the claims officer is satisfied that the illness is not likely to prejudice the contributor’s
chance of securing employment, the entitlement
may remain. 79
A contributor is entitled to the illness benefits for any period of illness, lasting more than 7 days, if:
l the contributor fulfils any prescribed requirements in respect of any specified illness and makes an application for
illness benefits. 80
________________________
74 A contributor who becomes ill while in receipt of unemployment benefits, remains entitled to unemployment
benefits if the claims officer is satisfied that the illness is not likely to prejudice the contributor’s chance of
securing employment (s 16(3)).
75 S 12(1A). A contributor who is employed as a domestic worker by more than one employer and whose
employment is terminated by one or more employers is, despite still being employed, entitled to benefits in terms
of the UIA if the contributor’s total income falls below the benefit level that the contributor would have received if
he or she had become wholly unemployed (s 12(1A)). As a result of the 2016 amendments (s 12(1B)), a
contributor who is employed in any sector who loses his or her income due to reduced working time, despite still
being employed, is entitled to benefits if the contributor’s total income falls below the benefit level that the
contributor would have received if he or she had become wholly unemployed. S 12(1B) requires the contributor to
have sufficient credits.
76 Some would argue that by ‘concluding such a contract, the employee does not become involuntarily
unemployed when the contract comes to an end’ but ‘the coming to an end of the contract is, under normal
circumstances, a given, and not a risk which may or may not materialise’. See Olivier and Van Kerken (fn 67) at
446.
77 These reasons require a dismissal or termination of employment by the employer. An employee who resigns,
retires or deserts therefore has no right to benefits. Strangely, an employee who is dismissed for misconduct (ie,
where the employee himself or herself contributed to the dismissal) is, however, not excluded as the Act does not
have regard of the reason for the dismissal or termination of employment.
78 S 16(1)(a) of the UIA. One may ask why other employees whose employers pass away, and whose employment
is terminated by operation of law, are not also included here.
79 S 12(3).
80 S 20(1) of the UIA. S 20(2) stipulates that a contributor is not entitled to illness benefits if the period of illness
is less than 7 days, or for any period during which the contributor is entitled to unemployment or adoption benefits
in terms of the UIA. Where the contributor without continued on next page
525
section 14, for any period of pregnancy or delivery and the period thereafter. 81
The maximum period of maternity leave for purposes of the calculation of ma-
ternity benefits is 17.32 weeks. In addition, a contributor who has a miscarriage during the third trimester or bears
a stillborn child is entitled to the same max-
imum maternity benefit of 17.32 weeks after the miscarriage or stillbirth.82 A con-
contributor or not, for at least 13 weeks before the date of application for ma-
ternity benefits.83 The Minister of Employment and Labour determines the scale
1. Contributors who earned less than a particular amount (the ‘benefit transition income level’) are entitled to a
percentage of their previous pay; and
2. Contributors who earned more than the benefit transition income level are entitled to a flat benefit, equal to the
entitlement of a contributor previously
________________________
just reason, refuses or fails to undergo medical treatment or to carry out the instructions of a medical practitioner,
chiropractor or homeopath, the right to claim illness benefits is also forfeited.
81 In terms of s 13(3)(a) a contributor’s entitlement to benefits accrues at a rate of one day’s benefit for every
completed five days of employment as a contributor subject to a maximum accrual of 365 days benefit in the four
year period immediately preceding the day after the date of ending of the period of employment. In terms of the
2016 amendments, unemployment benefits must be paid to the unemployed contributor regardless of whether or
not he or she has received benefits within that four year cycle, if the contributor has credits. However, it is
significant that s 13(5)(a) provides that the days of benefits that a contributor is entitled to in terms of such
calculation may not be reduced by the payment of maternity benefits in terms of Part D of the Act. Furthermore, s
13(5)(b) now expressly provides that ‘the payment of maternity benefits may not affect the payment of
unemployment benefits’. These provisions effectively allow for so-called ‘double-dipping’. Even though a female
contributor only contributes once, she can, in principle, receive both unemployment and maternity benefits. A
recent provision states that if an application for benefits is made within the four year cycle of a previous claim, the
Fund must subtract the number of days in respect of which benefits have already been paid in that cycle (s 13(6)).
83 S 24(6) was added by Act 10 of 2016. Remember that the application for maternity benefits may now be within
12 months from childbirth (s 25(1) as amended).
84 A ceiling is applied to the maximum remuneration on the basis of which benefits are calculated.
85 For contributors earning below the benefit transition income level, the entitlement is calculated as follows:
Benefit = Daily Income *IRR (where IRR is the Income Replacement Rate corresponding to the contributor’s
daily income). (A low rate of income replacement may force mothers or contributors to return to work before
having exhausted their maternity leave entitlement. Financial constraints must, therefore, be considered from new
perspectives to promote greater equality in the workplace. The creation of a separate scheme for maternity and
adoption benefits, eg, which is financed by parties other than only those involved in the current unemployment
scheme, could be considered.) Contributors earning more than the benefit transition income level are entitled to a
flat rate equal to the benefit transition income level multiplied by the minimum IRR (currently 38 per cent).
526 Law@work
Benefits are thus payable in terms of a sliding scale or flat rate with reference to
It is regrettable that only females who work in the formal economy, who
accumulated credits and who were in employment for at least 13 weeks before
the application for benefits are entitled to maternity benefits. This is a direct result of the inclusion of maternity
under a social insurance scheme concerned
medical aid schemes, 87 only limited health care services are available in the
public sector to those women who cannot afford private medical insurance.
Coverage in this context is incomplete, with the consequence that many per-
child if the child has been adopted in terms of the Child Care Act,89 the period ________________________
86 Sch 2 states that ‘The Income Replacement Rate (IRR) determines the percentage of a contributor’s previous
income to which the contributor is entitled in the form of benefits.
The IRR is a variable, so it defines a sliding scale. A contributor who previously earned a low wage is entitled to
receive benefits representing a larger portion of her or his previous income than a contributor who previously
earned a higher wage’. The current maximum and minimum are set at 60 per cent and 38 per cent respectively and
although the minister may, in consultation with NEDLAC, vary the minimum maximum income and flat
replacement rate (see s 12(3)( b)) he or she cannot reduce the minimum IRR to any percentage below 38. The 2016
amendments improved the situation of female contributors as maternity benefits must be paid at a rate of 66 per
cent of the earnings of the beneficiary at the date of application (s 12(3)(c)). However, this entitlement is subject to
the maximum income threshold set by the minister. From 1 April 2017 the rate of earnings is R212 539
(GN 231 in GG 40691 of 17 March 2017). The ILO Employment Promotion and Protection Against
Unemployment Convention 168 of 1991 provides that persons who become ‘unemployed’ should receive cash
benefits at a rate of not less than 45 per cent of previous earnings. Even though contributors claiming maternity or
adoption benefits are no longer deemed to be ‘unemployed’ (see s 12(1) of the UIA), this steep sliding scale could
still be potentially vulnerable to attack for those earning above the maximum rate of earnings.
The reason for this is that international standards (as contained in the Maternity Protection Convention 3 of 1919,
the revised Maternity Protection Convention 103 of 1952 and the Maternity Protection Convention 183 of 2000)
refer to a minimum cash benefit relating to 66 per cent of previous earnings. South Africa will definitely be lacking
with regard to the rate of income replacement in the case of higher income contributors, particularly in the light of
the Maternity Protection Recommendation 95 of 1952, which promotes, where reasonably practicable, benefits
being awarded at a higher rate than 66 per cent of previous earnings (see also the Maternity Protection
Recommendation 191 of 2000).
(CC), the court was not willing to accept budgetary constraints as a reason to refuse the administering of anti-
retroviral drugs to pregnant mothers and their babies in public health institutions.
89 Act 74 of 1983. The Child Care Act was repealed by the Children’s Act 38 of 2005. In terms of a proclamation
by the (then) Deputy-President Ramaphosa in GNR 12 in GG 33076 of 26 March 2010 all sections of the
Children’s Act of 2005 are now in full effect.
527
that the contributor was not working was spent caring for the child, and the
Section 30(1) provides that the surviving spouse or a life partner91 of a deceased contributor is entitled to the
dependant’s benefits contemplated in the
Act. The application for benefits must be made within eighteen months of the
death of the contributor but on just cause shown, the commissioner may accept
an application after such period. Section 30(2) provides that any dependent
is no surviving spouse or life partner; or the surviving spouse or life partner has not made application for the
benefits within eighteen months of the contributor’s
death. Section 30(2A) provides that any nominated beneficiary of the deceased
Implicit in this regulation is the presumption that the surviving spouse or life
partner will assume responsibility for the dependent children of the deceased
contributor since the child can only qualify for the benefit if the spouse or life partner does not apply for the
benefit. The benefit payable to the dependant is
the unemployment benefit that would have been payable to the deceased
A person convicted for the contravention of the Act may be fined and im-
prisoned. 94
4.3.1 Introduction
sons who have reached a certain age (normally 65 years) the means of a
decent standard of living for the remainder of their lives. International instru-
ments, for example ILO Convention 102 and the Invalidity, Old Age and Sur-
vivors’ Benefits Convention,95 envisage the payment of a benefit in the form of ________________________
91 Neither ‘spouse’ nor ‘life partner’ is defined in the Act. However, a definition of ‘life partner’ has been
included in reg 1 of the Unemployment Insurance Regulations (GNR 400 in GG 23283 of 28 March 2002): ‘any
major person who is a party to the opposite sex or same sex relationship with another major person, which
relationship must be intended to be permanent, exclude any other person and involve cohabitation, an obligation of
mutual emotional support between the parties and a reciprocal obligation to support one another financially in
circumstances where the one has the means to do so and the other requires such support in order to maintain,
without recourse to the Public funds, his or her financial and social standing and standard of living’. Inserted by
reg 3 in GNR 948 in GG 32614 of 5 October 2009.
92 ‘Child’ is defined as meaning: ‘a person as contemplated in section 30(2) who is under the age of 21 years and
includes any person under the age of 25 who is a learner and who is wholly or mainly dependent on the deceased’
(s 1).
94 S 65 of the UIA.
528 Law@work
periodical payments throughout the contingency of old age until the death of
the beneficiary. Qualifying conditions are often set, relating to age and the completion of a qualifying period of
employment or of contribution.
There is currently no public retirement insurance scheme in South Africa. 96 Individuals therefore have to turn to
private retirement provision. Employees have the possibility of joining an occupational retirement vehicle. 97 In
principle, employers
and employees must choose between a pension and a provident fund.98 Traditionally, the parties must also choose
between a defined contribution and a
have become more popular.100 For employers, a defined contribution fund does not incur open-ended liability of
defined benefit pension funds, while for
funds do not only pay out for retirement. Other benefits, for example death
scheme. The Pension Funds Act establishes the office of the Registrar of Pension
Funds, a Pension Funds Advisory Committee and regulates the role and powers
legislation.101 All retirement funds must be registered with the Financial Services
Board. 102
________________________
96 The Social Assistance Act 13 of 2004 (s 10) does make provision for a means-tested old-age grant for men who
have attained the age of 60 years (previously 65 years) and women who have attained the age of 60 years. Most
people employed in the informal economy would end up relying on the old-age grant rather than occupational
retirement. This is due to the unorganised nature of the informal economy and the low levels of income that mostly
make it very difficult to contribute to a private fund.
97 There is no statutory obligation in terms of the Pension Funds Act 24 of 1956, to join a retirement fund. Many
contracts of employment do, however, require that employees join the employer’s pension or provident fund.
98 In the case of a provident fund the contributions of members are not allowed as tax deductions and, when the
member reaches the retirement age, the whole benefit may be accessed in a cash lump sum.
99 Benefits can take the form of monthly payments or lump sum payments.
101 Eg since 1996 all boards of management of retirement funds must have member representation on a 50:50
basis, with a minimum of four board members.
102 That is each fund that provides retirement benefits to its members who are resident South African citizens. On
registration a pension fund becomes a separate legal persona. In continued on next page
529
parties to a dispute. When a fund amalgamates with another fund, or is dissolved, special provisions in the Pension
Funds Act (contained in section 14) protect the interests of members. During 2001, pension law was amended to
address the
surpluses that many funds had accumulated. In addition, the Pension Funds
Second Amendment Act 39 of 2001, in section 14A of the Pension Funds Act,
also introduced prescribed minimum benefits.
Even though there is no statutory obligation on an employer to provide retirement benefits to an employee, an
employer does benefit from doing so. Advantages
A pension fund has advantages for both the employer and the employee. It assures
the employee a financially secure old age. Employees, especially those who have
is available. Employers are thus able to offer that advantage to attract suitable employees. The fact that long
serving employees receive an adequate pension
removes the moral burden that would otherwise rest on an employer to ensure that
such employees do not starve when they are too old to work. The advantage is
gained only when the pension fund remains financially sound. Both the employer
In South African law, an employer with discretionary powers in terms of the rules of a fund has a duty to exercise
those powers in good faith. 105 In Chamber of Mines of SA v Council of Mining Unions106 the Chamber of Mines
brought an application contending that the ‘all-white’ union was guilty of an unfair labour prac-
tice due to its refusal to allow employees of other races to become members of
________________________
Registrar of Pension Funds & another v Brian Angus NO & others 2007 (5) SA 1 (SCA) the court confirmed that
the Pension Funds Act does not apply to either a fund established by an industrial council agreement or to one
established separately from, but pursuant to, such an agreement.
103 TEK Corporation Provident Fund v Lorentz (1999) 20 ILJ 2797 (SCA).
104 Van Coppenhagen v Shell and BPSA Petroleum Refineries ( Pty) Ltd (1991) 12 ILJ 620 (IC) at 626.
105 See Lorentz v TEK Corporation Provident Fund 1998 (1) SA 192 (W) at 229J . See also Erasmus
& others v Senwes Ltd & others (2006) 27 ILJ 259 (T) where the High Court held that an employer was not
permitted to amend unilaterally the terms of a post-retirement health care subsidy and that the employer had to
exercise its discretion reasonably (also with reference to the right to fair labour practices). See ch 5 at para 2
‘Contractual agreement and variation of contractual terms’. See also Pretorius & another v Transport Pension
Fund
& others [2019] 2 BPLR 303 (CC) where the appeal to the Constitutional Court against the High Court’s
upholding of exceptions in a class action against Transnet and its current pension funds in the High Court was
successful.
their pension fund. The Industrial Court held that the racially discriminatory practice could result in labour unrest
and/or the relationship between the employer
granted, the Council of Mining Unions (‘CMU’) was ordered to make provision
for admittance, and the Chamber was authorised to make the necessary rule
amendments. The court was therefore willing to find that relief could be granted
against third parties (in other words, outside the employer-employee relation-
ship).107
fund or in determining contributions and benefits, relief will be ordered against that employer. 108 If retirement
fund rules form part of conditions of employment,
the employer will have to negotiate rule amendments with employees and/or
determination of his or her liability to the employer for damage resulting from
theft, dishonesty, fraud or misconduct. In Highveld Steel & Vanadium Corporation Ltd v Oosthuizen110 it was
held that a pension fund has discretion to with-
hold the member’s pension benefits but it must be exercised with care. Pension
funds must ‘balance the competing interests with due regard to the strength of
with statutory duties or the rules of a pension fund. In Letsoalo v Private Security Sector Provident Fund &
others111 the adjudicator held that payment of any benefit that is due to a member of a fund is regulated by the
fund’s rules and
section 13 of the Pension Funds Act. The finding confirmed that an employer in a
________________________
107 See ch 8 regarding the definition of unfair labour practice in the LRA of 1995 (s 186(2)).
108 See Leonard Dingler Employee Representative Council v Leonard Dingler ( Pty) Ltd [1997]
110 2009 (4) SA 1 (SCA) at para 20. In South African Broadcasting Corporation SOC Limited v South African
Broadcasting Corporation Pension Fund & others [2019] 2 BPLR 332 (GJ) the court quoted Moodley v
Scottburgh/Umzinto North Local Transitional Council & another 2000 (4) SA 524 (D) with approval (para 81):
‘the Court [in Moodley] interpreted the word
“misconduct” as envisioned in section 37D(1)(b)(ii) of the Act and concluded that the general word “misconduct”
referred to therein must be interpreted to mean dishonest conduct or at least, conduct involving an element of
dishonesty, which would thus exclude negligence. Accordingly, in terms of Moodley, only intentional conduct that
contains an element of dishonesty will qualify as one of the grounds upon which a fund may deduct an amount
from the employee’s benefit’. The withholding of pension benefits of Mr Motsoeneng was allowed in terms of the
Act (as interpreted in Highveld Steel) and the rules of the fund since the SABC prima facie showed that
Motsoeneng unlawfully received payment of a success fee in the amount of R11 508 549,12 in circumstances as
described in Moodley and applied in SABC SOC Ltd.
531
pension fund ‘at the very least owes a duty of good faith to its employees and
4.4.1 Introduction
nature but also to afford such care with the view of maintaining, restoring or improving the health of protected
persons, as well as their ability to work and
engage in social activities. ILO Convention 102 allows for qualifying conditions, including a period of
contribution, employment, residence or of a combination
of the above. The level and duration of benefits may also be limited under
certain circumstances.
Although medical and sickness benefits are payable under the South African
public social insurance schemes (in other words, the Compensation Fund and
scheme that covers the contingency of health in South Africa. The National
Health Insurance Bill, 2019 contains provisions with the potential to change the
Given South Africa’s history, the public-sector health care programmes serve the
indigent and poor population while the more affluent sector of the community
________________________
112 Ibid at para 5.9, with reference to TEK Corporation Provident Fund & others v Lorentz [2000]
3 BPLR 227 (SCA) at 235. Lorentz dealt with a surplus, the employer’s taking a contribution holiday, the creation
of a new provident fund and the transfer to that new fund of most of the members of the previous pension fund. In
the absence of clear rules, many questions arise regarding an employer’s right to benefit from the surplus (at para
16): ‘Defined benefit pension funds do not exist to generate surpluses but they may arise when reality and actuarial
expectation do not coincide. In assessing the financial health of a pension fund an actuary is gazing into the
proverbial crystal ball to see what the future will hold’.
The court emphasised that an employer must show and act in good faith towards its employees. In the Letsoalo
case (fn 111) failure to register an employee as a member and to make contributions or lodge a death claim had to
be rectified. The complainant was entitled to be registered and the employer had to pay the death benefit as
calculated ex post facto. In another example, an employer incorrectly submitted a withdrawal claim (instead of a
disability claim form for a benefit based on dismissal due to ill health) to the fund. The employer was found in
breach of the duty of good faith to its employee as the insurer was not made aware of and could not consider the
claim for a disability benefit.
Since the employer did not notify the pension fund of the correct reason for the complainant’s termination of
employment the fund paid out the withdrawal benefit to the employee. The Pension Funds Adjudicator therefore
held that the employer would have to pay an ill-health benefit if the insurer assessed that the complainant qualified
for it –
Khetsiwe v Fundsatwork Umbrella Pension Fund – Participating Employer: G Liviero & Son ( Pty) Limited (
Plant Operators) & others [2015] JOL 32851 (PFA).
113 The Road Accident Fund, which is not an occupationally based scheme, also provides for the payment of
damages based on medical expenses and personal injuries.
532 Law@work
is served by the private insurance sector. In Soobramoney v Minister of Health, KwaZulu-Natal,115 Sachs J stated
that a healthy life: depends upon social interdependence: the quality of air, water, and sanitation
which the State maintains for the public good; the quality of one’s caring relationships, which are highly correlated
to health; as well as the quality of health care and support furnished officially by medical institutions and provided
informally by families, friends and the community.
The quality of public-sector health care and support in South Africa has, how-
ever, been the subject of much criticism. Employees can, in general, choose
between insuring themselves against the risk of ill-health through private insur-
to cater for all forms of insurance, managed care and employer arrangements
can prevent medical cover from being limited to insurance products that only
which make use of risk rating. The high costs involved in obtaining health cover-
age remains of great concern to workers and their families. Because of the high
of health status;
l all open schemes must accept all applicants, subject to specified anti-
selection protections;
l all medical schemes must offer a prescribed set of minimum benefits; 117
________________________
115 1997 (12) BCLR 1696 (CC) at 1712E–F. In this case the right of access to health care services (s 27(1) of the
Constitution) and the right not to be refused emergency medical treatment (s 27(3)) were considered. With regard
to s 27(1), the Constitutional Court expressly stated that the obligation on the state to provide access to health care
is qualified by s 27(2) and the task of deciding how scarce resources should best be allocated is that of the
responsible authority. The court adopted a conservative approach and stated that the court will be slow to interfere
with rational decisions which have been taken in good faith (at 1706A). The court accepted, without evidence
being led, that ‘an unqualified obligation to meet these needs would not presently be capable of being fulfilled’ (at
1701E–F).
117 See s 29(1)(o) of the Medical Schemes Act and ch 3, reg 8 of the Regulations to the Medical Schemes Act
GNR 1262 of 20 October 1999. In Council for Medical Schemes & continued on next page
533
l medical schemes must cover the full cost of any prescribed minimum bene-
fits obtained from public-sector hospitals where schemes provide partial pri-
ing the medical scheme of its employees (in which case such transfer must
occur at the beginning of the financial year); 118 the definition of dependant
the principal member ( de facto dependants) and to same sex partners; and, finally, the Council for Medical
Schemes has been established as regulatory
authority.
________________________
another v Genesis Medical Scheme & others [2016] 1 All SA 15 (SCA) the court held (at para 44) that ‘the law
obliges medical schemes to pay the costs of treating PMB conditions in full, and that is what Genesis must do’
regardless of whether the treatment was obtained from the public or private sector.
118 See s 29A(6) of the Medical Schemes Act. S 29A regulates general and condition specific waiting periods. A
standard three-month waiting period for all people applying to join a scheme with a break in membership longer
than three months was retained by the 1998
Act (excluding prescribed minimum benefits that a scheme is required to include in its benefits). Pre-existing
condition waiting periods – a 12 month waiting period that applies to all conditions that existed at application – are
still applicable. As explained above, this limitation will not apply to people who change schemes as a consequence
of a change of employer and who apply for membership within three months (prescribed minimum
benefits are also not subject to these waiting periods). In terms of ch 4, reg 13 of the Regulations (fn 117) a
medical scheme may apply premium penalties to a late joiner, which penalties must be applied only to the portion
of the contribution related to the member or any adult dependant who qualifies for late joiner penalties. A ‘late
joiner’ means: ‘an applicant or the adult dependant of an applicant who, at the date of application for membership
or admission as a dependant, as the case may be, is 35 years of age or older, but excludes any beneficiary who
enjoyed coverage with one or more medical schemes as from a date preceding 1 April 2001, without a break in
coverage exceeding three consecutive months since 1 April 2001’. Penalty surcharges are aimed at preventing
people from opportunistically joining medical schemes only later in life, so undermining the solidarity and risk-
pooling of the scheme.
534 Law@work
The Human Immune Deficiency Virus (HIV) and the Acquired Immune Deficiency
Syndrome (AIDS) have, in a relatively short period, arguably become one of the
Even though empirical research regarding the number of workers denied em-
to come by, it is generally accepted that these figures must be high.120 An important consideration here is that in
Southern Africa the disclosure and/or re-
porting of HIV/AIDS is extremely low. This is mainly attributed to the great degree of stigmatisation and
discrimination that still prevails in society. 121
or practice, on the basis of the employee or applicant’s HIV status.122 The Act
ably practicable, a safe working environment for its employees. 124 This duty includes an obligation to ensure that
the risk of occupational exposure to HIV is
minimised. The EEA Code of Good Practice on HIV and Employment submits
________________________
119 AIDS is the acronym for ‘acquired immune deficiency syndrome’. According to the Code of Good Practice:
Key aspects of HIV/AIDS and employment (GN 1298 in GG 21815 of 1 December 2000) AIDS is ‘the clinical
definition given to the onset of certain life-threatening infections in persons whose immune systems have ceased to
function properly as a result of infection with HIV’. HIV is a virus that attacks and which may ultimately destroy
the body’s natural immune system.
120 The Code of Good Practice: Key aspects of HIV/AIDS and employment states at item 1.2:
‘It is recognised that the HIV/AIDS epidemic will affect every workplace, with prolonged staff illness,
absenteeism, and death impacting on productivity, employee benefits, occupational health and safety, production
costs and workplace morale’. See also The Second Interim Report on Aspects of the Law Relating to AIDS. Pre-
employment HIV Testing South African Law Commission Project 85 (1998) at 39, referred to in Dupper & Garbers
(eds) Essential Discrimination Law (2004) at 210. The Law Commission’s report contains statistics that an
employee may be absent for up to 50 per cent of the time during his or her last year of the illness. Dupper et al
rightly submit that this position may equally apply to any other life-threatening disease in its final stages.
121 In Hoffmann v South African Airways 2001 (1) SA 1 (CC) the Constitutional Court described people living
with HIV/AIDS as ‘one of the most vulnerable groups in our society’.
123 S 7 of the EEA. In Joy Mining Machinery, a division of Harnischfeger ( SA) ( Pty) Ltd v NUMSA
& others (2002) 23 ILJ 391 (LC) the court appeared to have endorsed the approach that the Labour Court had to
sanction HIV-testing, even where such testing was voluntary and anonymous. In Irvin & Johnson Ltd v Trawler &
Line Fishing Union & others [2003] 4 BLLR 379
(LC) the court held that anonymous and/or voluntary testing did not fall within the ambit of s 7(2) of the EEA, and
that it did therefore not require the prior authorisation of the Labour Court. However, in PFG Building Glass ( Pty)
Ltd v CEPPWAWU & others [2003] 5
BLLR 475 (LC) the court held that a person who has not consented couldn’t be tested, even if the testing is
anonymous, except with the leave of the Labour Court. See ch 6 for a full discussion of these judgments.
535
that the risk of HIV transmission within most workplaces is minimal. However, it is acknowledged that
occupational accidents involving bodily fluids may occur,
particularly within the health care profession. Thus the code lists aspects regarding promoting a safe working
environment that should be dealt with in every
workplace policy.
ciple apply for benefits in terms of section 22(1) of the COIDA. Guidelines were
100 per cent impairment.126 Consequently, benefits will be payable in terms of the Act. However, eligibility for
benefits will lapse if there is no seroconversion
As the period for initial testing is limited employers should be aware of their
obligations to assist employees to undergo the necessary testing in order to claim and be eligible for benefits. 128
5.1 Introduction
resources to finance such measures suffer set-backs due to the worldwide phe-
nomenon of the ‘end of work’. 129 It is questionable whether social security can make a significant contribution to
the increase of the level of employment in
________________________
125 Draft circular instruction regarding compensation for occupationally acquired HIV (GN 1349
in GG 27003 of 19 November 2004). According to the draft circular occupationally acquired HIV infection may be
defined as: ‘an infection contracted as a result of exposure to an HIV infected source in a workplace, resulting in
progressive weakening of the immune system of an individual leading to the AIDS. The HIV infection must have
been [ sic]
127 Item 4.
128 In another context, see NM & others v Smith & others [2005] 3 All SA 457 (W) regarding unauthorised
disclosure of the names and HIV status of individuals in a biography and the significance of the right to privacy
even when regard is had to the recently accepted defence of ‘reasonable publication’.
129 See Ben-Israel ‘Labour and Social Security: Is There a Conflict?’ in Engels and Weiss (eds) Labour Law and
Industrial Relations at the Turn of the Century: Liber Amicorum in Honour of Roger Blanpain (1998) at 21. Where
unemployment rates are high, there is not only a higher number of applicants for unemployment benefits, the
number of contributors to the social insurance schemes is also reduced.
536 Law@work
any country. 130 Social protection, including active labour market policies, skills
this end.131 Where a worker’s qualifications and skills are improved, the chances
The undeniable truth is, however, that often a large number of the unemployed
possess some qualifications or skills. Consequently, the inherent challenges in a country where the unemployment
rate remains alarmingly high are the creation
of jobs (in other words, vacancies) for qualified workers;133 and the growth of appropriately or suitably skilled
workers. 134 To this end, any developmental pol-
icy should clearly target relevant sectors and workers for skills development
However, the world of work is changing with one of the most important factors
This requires a ‘mental revolution’, particularly in the area of vocational training and in responding creatively and
aptly to new opportunities which the information society offers. Technology has had, and will have, a major impact
on
Two statutes are important to skills development and training in South African
workplaces: the Skills Development Act136 (SDA) and the Skills Development Levies
Act137 (SDLA). Two further Acts, the Employment Services Act138 (ESA) and the
________________________
130 Tomandl ‘Interdependences between Labour Law, Social Security Law and Unemployment’ in Engels and
Weiss (fn 129) at 117–118.
131 It has been stated, however, that skills shortages in South Africa have left society on shaky grounds. See
Erasmus & Breier (eds) Skills Shortages in South Africa: Case Studies of Key Professions (2009) and Solidarity
Research Institute ‘Skills Shortages in South Africa: Summary of Facts per Sector regarding this Issue’ (25
January 2008) generally. Previous initiatives such as the National Skills Development Strategy, the Accelerated
and Shared Growth Initiative for South Africa and the Joint Initiative on Priority Skills Acquisition had limited
success, if any.
133 Employees who receive remuneration under a learnership agreement registered in terms of the SDA are
excluded from the ambit of the UIF (s 3(1)(b) of the UIA). The unemployment rate was at 29 per cent end of the
second quarter of 2019, which represents a 16-year high (Quarterly Labour Force Survey Q2: 2019 Statistics South
Africa of 30 July 2019).
A worrying 6.2 million adults being unemployed. According to the QLFS Q2:2019: ‘There were approximately
10,3 million persons aged 15–24 years . . . The percentage of young persons aged 15–24 years who were not in
employment, education or training (NEET) . . .
[was at] 32,3 per cent . . . Of the 20,4 million young people aged 15-34 years, 40,3 per cent were not in
employment, education or training’.
134 According to s 2(1)(g) of the SDA one of the Act’s purposes is to help work seekers find work, retrenched
workers re-enter the labour market and employers find qualified employees.
135 Blanpain ‘Work in the 21st Century’ (2017) 38 ILJ 740 at 742ff.
537
Employment Tax Incentive Act139 (ETIA) will also be discussed in so far as they
both the SDA and the SDLA fall under the auspices of the Department of Higher
Education and Training (DHET),141 the ETIA falls under the Minister of Finance and the ESA under the auspices
of the Minister of Employment and Labour.
and training. 142 The Act goes wider than the existing employment relationship as it also provides unemployed
people, currently at 29 per cent in the country, with the opportunity to gain work experience and employment. 143
environment of good quality,144 to provide employees with opportunities to acquire new skills and gain
experience, and to employ people who otherwise
and education.147 The SDLA finances the SDA by way of monthly levies from
________________________
140 Over and above these laws, the Adult Basic Education and Training Act 52 of 2000 provides for the
establishment, government and funding of private and public centres which offer training to adults and youths with
less than a grade 9 education. These centres are found in townships and rural areas. They mostly focus on
numeracy and literacy and enable pupils to eventually engage in further skills development.
141 The administration of these Acts was taken over from the Department of Labour in 2011.
142 S 2(1)(a)–(b).
143 S 2(1)(c).
144 S 2(1)(f).
145 S 2(1)(c)(i)–(iv).
146 S 2(1)(d).
147 S 2(1)(e).
148 S 3. The levy payable by an employer is equivalent to one per cent of its payroll.
149 These aim to improve the effectiveness and efficiency of the skills development system, literacy and numeracy
shortcomings of the unemployed, training or tertiary education for those leaving school to enter the formal
workplace or making a livelihood for themselves with quantitative targets, and the integration of these with related
government programmes. (Du Toit (ed) et al Labour Relations Law: A Comprehensive Guide 6th ed (2015) at 68–
69).
538 Law@work
The ESA requires the Department of Employment and Labour to provide citi-
zens with free services including the registration of job seekers, placement
opportunities, matching of job seekers and vacancies, and advising work seek-
ers on access to training, and career information.150 In particular, the Act seeks
access to training for work seekers. 151 Moreover, it seeks to improve access to
the labour market while improving employment prospects. The number of vul-
nerable and young work seekers and of employees facing retrenchment pro-
vided the rationale for this Act.152 To facilitate this, the Department of Employment and Labour has set up a
Public Employment Services Agency. The Act
also regulates and registers private employment agencies, 153 and facilitates the employment of foreign nationals.
154
The ETIA came into force on 1 January 2014. It owes its existence to the gov-
ernment’s concern about the high unemployment rate, the need to share with
the private sector the costs of expanding job opportunities, and it focuses par-
ticularly on young work seekers.155 The Act offers employers in the private sector
age, who earn less than R6 000 and operating inside a fixed place of business
The scheme was originally legislated to end on 28 February 2019 but given the
positive outcome with thousands of workers being employed to date, the Minis-
ter of Finance has extended the application of this Act with a further 10 years,
While the SDA aims to develop the skills of the South African workforce generally, the SDLA does not apply to
employers in the public service in the national or
provincial spheres of government, to municipalities in respect of which a certificate of exemption has been
granted, to religious or charity organisations, to public entities that get more than 80 per cent of their money from
Parliament, or to
employers whose total pay to all its workers is less than R500 000 per year. 158
________________________
150 S 5(1)(b)–(f). A national database – the Employment Services System of South Africa –
makes information available to job seekers for placement possibilities at registered employers. Job seekers are
screened and matched in terms of their personal details, skills and experience with employers’ employment and
skills development opportunities (ss 5, 10, 11). Registered job seekers amounted to 618 570 and actual placements
to 14 634 in 2014/15. Many job seekers could not be matched due to low skill levels.
151 S 2(1)(c)–(d).
153 S 13ff.
156 Ss 2; 6.
157 See Brits ‘Employing the youth – how the Employment Tax Incentive can benefit you’
16 August 2019.
158 S 4.
539
The ESA applies to all employers and employees. 159 The ETIA applies to em-
ployers who are registered for the withholding and payment of employees’
tax, 160 but excludes certain employers, namely national, provincial or local government entities and public
entities such as Denel, Eskom, the SAA, HSRC,
Finances Services Board and municipalities.161 The Act stipulates the employees
l The National Skills Authority (NSA) – a body advising the minister on various
issues including national skills development policy and strategy and criteria
l The National Skills Fund (NSF) – established in terms of the SDA165 and overseeing projects identified as
national priorities. 166
________________________
159 S 2(1). See also the definition of ‘employee’ in s 1, which is similar to that found in the BCEA and the LRA.
161 S 3.
162 S 6.
163 S 2(2).
164 Ss 4–5. The minister must appoint representatives of business, labour and the community as nominated by
NEDLAC to serve on the NSA. The tripartite composition of NEDLAC is thus repeated in the NSA. Further
provision is made for other representatives including women, the youth, people with disabilities, and the State.
165 S 27.
166 S 28.
168 Most government departments offer students opportunities for bursaries and government learnerships. These
encourage unemployed, educated students to have an opportunity to further their experiene and skills (see GG
40730 vol 621 of 1 April 2017).
171 SETAs thus register agreements between a learner and an employer or groups of employers if the latter falls
within the scope of the SETA.
172 Workplace-based learning programmes adopt an educational approach with a quality assured curriculum
where knowledge is internalised, insight is gained and skills and competencies are acquired through exposure;
specific outcomes for employability need to be achieved. Workplace-based skills programmes similarly adopt an
educational approach to achieve specific outcomes for increased employability, but without a quality assured
curriculum.
540 Law@work
the NSA and the Quality Council for Trades and Occupations (QCTO); 173 and
‘N’ Diploma and various categories of student internships.174 These relate mainly to an occupational qualification
in terms of the QCTO model, ie
needs for the country as a whole, each sector of the economy, and organs
of state; assist in the formulation of a national skills strategy and skills de-
Employers must register with SARS and pay the relevant levy.180 The levies thus collected must be paid into the
National Revenue Fund. Eighty per cent of the
collected funds are distributed to SETAs (employers may get some money back
as a refund if they train their workers) and twenty per cent to the NSF.181 The levy
Commissioner.182
________________________
173 The QCTO is managed in terms of the Public Finance Management Act 1 of 1999 (s 26G
of the SDA). Its main function is to advise the minister on all policy matters concerning occupational standards
and qualifications in terms of the National Qualifications Framework Act 67 of 2008.
174 Internships differ by distinguishing the period of time spent in a workplace as part of a requirement for a
Diploma, National Diploma, Higher Certificate, Advanced Certificate, professional qualification, student
internships categories 1, 2 and 3 or as part of a requirement for another occupational qualification of the QCTO
(see GN 295 in GG 40730 of 29
March 2017).
175 These programmes also provide that an occupational qualification (or part of such) may be obtained by time
spent in a workplace.
177 S 4.
179 S 22.
180 S 6.
181 S 8.
182 S 2.
541
The free services provided in terms of the ESA are financed by money from, inter alia, the budget of the
Department of Employment and Labour, the Unemployment Insurance Fund, the Compensation Fund, grants and
donations. 183
Productivity South Africa (that earlier resorted under the SDA) now falls under
the ESA. 184 It aims to increase productivity levels in order to help the economy
grow. Its objectives are, inter alia, to promote a culture of productivity in workplaces, develop productivity
competencies (including skills development and
tems, publish those systems, and undertake research and support initiatives with
Income Tax Act’s framework for qualifying employees, namely, those who are
18 to 29 years of age. 185 The initial end date of the incentive has been extended by the President in his 2019 State
of the Nation Address (SONA) from 31 December 2016 to 2029. 186 The incentive is capped per employer at R20
million per year.
Allowances are also granted to learnerships and the end-date for these allow-
ances is 31 March 2022. 187 The tax deduction value is based on the NQF level of
the learner with lower deductions for higher NQF levels. For learners with disabilities, additional annual
deductions have been made available. These targeted
allowances are a shift away from the general allowances available to all skills
levels.
5.4 Enforcement
Subject to the provisions of the SDA and ESA, the Labour Court has exclusive
jurisdiction in respect of all matters arising from the SDA and ESA. 188 The Labour
Court may also review matters on any grounds permissible in law. 189 The NSA has
________________________
183 S 12.
184 S 31(1).
185 Preamble to and ss 2 and 6 of the ETIA. The Preamble states that the government is concerned about the
unemployment rate in South Africa and recognises that the costs of expanding job opportunities must be shared
with the private sector. Government wants to support employment growth and creation (ie, labour market
activation of work seekers) through the institution of an employment tax incentive.
2019.
187 Ibid.
188 S 31(1) of the SDA and s 49 of the ESA. S 50 of the ESA provides for offences and penalties.
190 S 5(2).
542 Law@work
Interest and penalties will be levied on late payment of levies in terms of the
terms of the BCEA have the same powers as those of SARS officials.193
The National Development Plan (NDP) is highly relevant with regards to skills de-
velopment and training. 194 The NDP provides, inter alia, for skills development in the form of the National
Youth Service which trains youths to be artisans. It is, however, unclear to what extent the NDP is followed in
South Africa. But recently the President has emphasised the NDP and a focus on the poor, the marginal-
ised, the dispossessed and unemployed people.195 The President proposed, inter alia, a huge skills development
drive to better prepare young South Africans for the workplace.
6.1 Introduction
Migrant workers often face difficulties in accessing social protection, in particular social security benefits. Not
only do they frequently risk losing social security entitlements in their country of origin, but they regularly also
encounter restrictive conditions in the host country’s national system of social security. For this reason, the ILO
has adopted an inclusive approach to try to improve the position
of migrant workers. There are two conventions that are particularly important to
________________________
191 Ss 11–12.
192 S 14.
193 Ss 15–19. See ss 68–70 and 73 of the BCEA. Labour inspectors collect levies paid by the SETAs, enter
workplaces, question people and inspect documents and records. They may also secure written undertakings from
employers who are not complying with particular provisions (s 68(1A) of the BCEA). If such an employer persists
in its non–compliance, the Director-General may apply to the Labour Court to have the written undertaking made a
compliance order or eventually an order of court directing the employer to comply with the undertaking. In certain
instances inspectors may not issue compliance orders. The BCEA as amended does not allow employers to object
or appeal to the Labour Court
against a compliance order because these procedures were often used as delaying tactics by employers.
194 This Plan was drawn up because various stakeholders did not support the New Growth Path. The cure for
poverty, it has been mooted, is to allow people to earn money through their labour; therefore obstacles that hinder
poor people attempting to earn money must be removed. This includes removing the difficulties that employers
face in hiring people (Kane-Berman @liberty The Policy Bulletin of the IRR SARRI, 13 Feb 2014, ‘South Africa:
A 12-point plan for prosperity’ at 2 et seq).
https://www.moneyweb.co.za/news/south-africa/radical-economic-transformation-zuma-
vs-ramaphosa/ 2 May 2017 (accessed on 4 May 2017); 2019 SONA( see fn 186).
543
Migrant workers enjoy coverage under the COIDA scheme. Although persons
employed outside South Africa are excluded from the Act, they may, while they
made with the commissioner.199 Where such an employee performs his or her
work inside the country for a period longer than 12 months, that employee is
the Act.200 A non-resident employee, who qualifies for compensation in the Republic and in another state
following an occupational accident, must elect
to claim compensation either in terms of the COIDA or in terms of the law of the
other state.
employee (or his or her dependant) who receives a pension and who is resident
outside the Republic or is absent from the Republic for a period or periods totalling more than six months. 201 It
appears therefore that in this instance it is the
Migrant workers will seldom enjoy coverage under the unemployment insur-
ance scheme as limitations exist. The UIA previously provided that persons who
enter the Republic for the purpose of carrying out a contract of service, ap-
persons must leave the Republic, or that such person be repatriated, upon
termination of the contract.202 In such a case the migrant worker and his or her employer would therefore not
have to contribute to the UIF, but would also not
be entitled to any benefits under the scheme. An unfortunate result of this regu-
lation was that migrant workers were often considered as ‘cheaper’ labour than
their South African counterparts. As discussed earlier, other fixed-term contract workers who lose their
employment because of the termination of their contracts
are entitled to receive benefits.203 The extension of coverage to migrant workers is therefore welcomed as it
promotes equal treatment.
________________________
197 Act 118 of 1962. This Convention requires that migrant workers should benefit from the same conditions as
nationals in a host country – particularly with reference to coverage and entitlement to benefits.
198 Act 157 of 1982. This Convention requires that migrant workers should be able to receive benefits to which
they are entitled even when they move out of the territory of the state that is obliged to make available such
benefits.
199 S 23(3)(a) of the COIDA.
200 S 23(3)(b) of the COIDA. The same principles are also applicable to persons who ordinarily work within the
country, but who perform work on a temporary basis outside the country.
Bibliography
Books
Aristotle Nicomachean Ethics translated with an introduction by Ross, revised by Ackrill and Urmson (Oxford:
Oxford University Press, 1980)
Barker & Holtzhausen South African Labour Glossary (Kenwyn: Juta & Co, 1996) Barnard, Deakin & Morris
(eds) The Future of Labour Law: Liber Amicorum: Sir Bob Hepple QC (Oxford and Portland, Oregon: Hart
Publishing, 2004)
Benjamin & Barry Occupational Health and Safety Handbook (Kenwyn: Juta & Co, revision service, 2006)
Bogg, Costello, Davies and Prassl (eds) The Autonomy of Labour Law (Oxford, Portland, Oregon: Hart Publishing,
2015)
Bosch & Myburgh Reviews in the Labour Courts (Durban: LexisNexis, 2016) Botha Employee Participation and
Voice in Companies: A Legal Perspective
(NWU 2015)
Bourn & Whitmore Race and Sex Discrimination 2nd edn (London: Sweet & Maxwell, 1993)
Brand, Lötter, Mischke & Steadman Labour Dispute Resolution (Cape Town: Juta
Brassey Employment and Labour Law Vol 1: Employment Law (Cape Town: Juta
Cameron, Cheadle & Thompson The New Labour Relations Act (Kenwyn: Juta, 1989)
Cheadle, Conradie, Cohen, Du Toit, Fergus, Jacobs and Steenkamp Strikes and
Cheadle, Davis & Haysom South African Constitutional Law: The Bill of Rights (Durban: LexisNexis
Butterworths, 2006)
Cheadle, Le Roux, Thompson & Van Niekerk Current Labour Law 2003 (Durban: LexisNexis Butterworths, 2003)
Cheadle, Le Roux, Thompson & Van Niekerk Current Labour Law 2006 (Durban: LexisNexis Butterworths, 2006)
545
546 Law@work
Coaker & Zeffert (eds) Wille & Millin’s Mercantile Law of South Africa (Johannesburg: Hortors, 1984)
Collins, Lester and Mantouvalou (eds) Philosophical Foundations of Labour Law (2018)
Currie & De Waal The Bill of Rights Handbook (Cape Town: Juta, 2013)
Davidov and Langille (eds) Boundaries and Frontiers of Labour Law (Oxford and Portland, Oregon: Hart
Publishing, 2006)
Davidov & Langille (eds) The Idea of Labour Law (Oxford-New York, Oxford University Press, 2011)
Davies & Freedland Kahn-Freund’s Labour and the Law (London: Sweet & Maxwell, 1983)
Davis, Cheadle & Haysom Fundamental Rights in the Constitution: Commentary and Cases (Kenwyn: Juta & Co,
1997)
Du Toit, Godfrey, Cooper, Giles, Cohen, Conradie and Steenkamp Labour Re-
lations Law: A Comprehensive Guide (Durban: LexisNexis Butterworths, 2015) Dugard International Law: A
South African Perspective (Cape Town: Juta & Co, 2011)
Dupper & Garbers (eds) Equality in the Workplace Reflections from South Africa and Beyond (Cape Town: Juta &
Co, 2008)
Dupper, Garbers, Landman, Christianson, Bassan & Strydom (eds) Essential Discrimination Law (Cape Town:
Juta & Co, 2004)
Engels & Weiss (eds) Labour Law and Industrial Relations at the Turn of the Century (Liber Amicorum in Honour
of Prof. Dr Roger Blanpain) (The Hague: Kluwer Law International, 1998)
Erasmus & Breier (eds) Skills Shortages in South Africa Case Studies of Key Professions (Cape Town: HSRC
Press, 2009)
Flanagan & Gould (eds) International Labour Standards (Stanford: Stanford University Press, 2003)
Hepple Labour Laws and Global Trade (Oxford: Hart Publishing, 2005)
Humblet & Silva Standards for the XXIst Century: Social Security (Geneva: ILO, 2002)
Parsons International Labour and Social Policy Review (Geneva: International Organisation of Employers, 2007)
ILO Fundamental Rights at Work and International Labour Standards (Geneva: ILO, 2003)
Bibliography
547
2019
ILO ‘Universal social protection for human dignity, social justice and sustainable development’ General Survey
concerning the Social Protection Floors Recommendation, 2012 (No. 202) ILC.108/III(B) (2019)
ILO Work for a Brighter Future – Global Commission on the Future of Work (2019) Kahn-Freund & Hepple Laws
Against Strikes (London: Fabian Society, 1972) Le Roux Retrenchment Law in South Africa (Durban: LexisNexis,
2016)
Le Roux & Rycroft Reinventing Labour Law: Reflecting on the First 15 Years of the Labour Relations Act and
Future Challenges (Cape Town: Juta, 2012)
Le Roux & Van Niekerk The South African Law of Unfair Dismissal (Kenwyn: Juta & Co, 1994)
Le Roux, Rycroft and Orleyn Harassment in the Workplace: Law, Policies and
Malherbe and Sloth-Nielsen (eds) Labour Law into the Future: Essays in Honour of D’Arcy du Toit (Cape Town:
Juta, 2012)
Myers Ownership of Jobs: A Comparative Study (Los Angeles: UCLA Press, 2004) Neethling, Potgieter & Visser
Law of Delict (Durban: LexisNexis, 2010) Numhauser-Henning and Rönnmar (eds) Age Discrimination and
Labour Law –
Olivier, Smit & Kalula Social Security: A Legal Analysis (Durban: LexisNexis Butterworths, 2003)
Olivier, Smit, Kalula & Mhone Introduction to Social Security (Durban: LexisNexis Butterworths, 2004)
Rönnmar & Votinius (eds) Festschrift till Ann Numhauser-Henning (Lund: Juristför-laget i Lund, 2017)
Schwab The Fourth Industrial Revolution (2016) and International Labour Organization Work for a Brighter
Future – Global Commission on the Future of Work
(2019)
Servais International Labour Law (The Hague: Kluwer Law International, 2011) Thompson & Benjamin South
African Labour Law vol 2 (Cape Town: Juta & Co, 1994–2006)
Todd, Du Toit & Bosch Business Transfers and Employment Rights in South Africa (Durban: LexisNexis
Butterworths, 2004)
Vettori The Employment Contract and the Changed World of Work (Burlington: Ashgate Publishers, 2007)
Weiler & Eliot Litigating the Values of the Nation: The Canadian Charter of Rights and Freedoms (Toronto:
Carswell, 1986)
548 Law@work
Articles
Adam ‘The Politics of Redress: South African Style Affirmative Action’ (1997) 35
Albertyn & Goldblatt ‘Facing the Challenge of Transformation: Difficulties in the Development of an Indigenous
Jurisprudence of Equality’ (1998) 14 SAJHR 248
Aletter &Van Eck ‘Employment Agencies: Are South Africa’s Recent Legislative
Apon & Smit ‘Does a Right to be Appointed Exist for Designated Groups? The
Behari ‘The Effect of the Labour Laws Amendment Bill 2017 on Shared Parental
Benjamin ‘An Accident of History: Who is (and Who should be) an Employee
Benjamin ‘Beyond Dispute Resolution: The Evolving Role of The Commission for
Benjamin ‘Beyond “Lean” Social Democracy: Labour Law and the Challenge of
Benjamin & Cooper ‘Innovation and Continuity: Responding to the Labour Re-
lations Bill’ (1995) 16 ILJ 258
Boraine & Van Eck ‘The New Insolvency and Labour Legislative Package: How
Bosch ‘Balancing the Act: Fairness and Transfers of Businesses’ (2004) 25 ILJ 923
Bosch ‘Contract as “Barrier” to Dismissal: The Plight of the Labour Broker’s Em-
Bosch ‘Of Business Parts and Human Stock: Some Reflections on Section 197(a)
Bosch ‘The Implied Term of Trust and Confidence in South African Labour Law’
(2006) 27 ILJ 28
22 ILJ 840
Bibliography
549
Bosch ‘Two Wrongs Make it More Wrong, or a Case for Minority Rule’ (2002) 119
SALJ 501
Bosch & Christie ‘Are Sex Workers Employees?’ (2007) 28 ILJ 804
Brassey ‘The Employment Equity Act: Bad for Employment and Bad for Equity’
Cheadle ‘Regulated Flexibility: Revisiting the LRA and BCEA’ (2006) 27 ILJ 663
Cohen ‘Implying Fairness into the Employment Contract’ (2009) 30 ILJ 2271
Cohen ‘Onus of Proof in Automatically Unfair Dismissals: Janda v First National Bank (2006) 27 ILJ 2627 (LC)’
(2007) 28 ILJ 1465
Collier ‘The Right to Legal Representation under the LRA’ (2003) 24 ILJ 753
Collins ‘The Productive Disintegration of Labour Law’ (1997) 26 ILJ (UK) 295
Discrimination Act and the Employment Equity Act’ (2001) 22 ILJ 1532
Cooper ‘Harassment on the Basis of Sex and Gender: A Form of Unfair Discrimin-
when Labour Intensive Services are Outsourced or when a New Service Pro-
Davis ‘Voluntarism and South African Labour Law – Are the Queensberry Rules
(2010) 31 ILJ 21
Du Toit ‘The Evolution of the Concept of “Unfair Discrimination” in South African Labour Law’ (2006) 27 ILJ
1311
ment Equity Act 55 of 1998’ in Dupper & Garbers (eds) Equality in the Workplace Reflections from South Africa
and Beyond (2008)
ILJ 2623
Du Toit ‘What is the Future of Collective Bargaining (and Labour Law) in South
Dupper ‘Affirmative Action: Who, How and How Long?’ (2008) SAJHR 425
550 Law@work
Erasmus & Jordaan ‘South Africa and the ILO: Towards a New Relationship’
Fergus ‘The Distinction between Appeals and Reviews – Defining the Limits of
Fergus ‘Reviewing an Appeal: A Response to Judge Murphy and the SCA’ (2014)
35 ILJ 47
Fourie ‘Non-standard Workers: the South African Context, International Law and
Godfrey, Maree & Theron ‘Regulating the Labour Market: The Role of Bargaining Councils’ (2006) 27 ILJ 731
Grogan ‘Fire the Boss! Strikes over Unpopular Managers’ (2004) 20:5 Employment Law 8
Grogan ‘No Duty to Bargain: Military Union Back in Line’ (2007) 23:2 Employment Law 3
Hepple ‘Labour Courts: Some Perspectives’ (1980) Current Legal Problems 169
Idensohn ‘The Nature and Scope of Employees’ Fiduciary Duties’ (2012) 33 ILJ
1539
Jordaan & Davis ‘The Status and Organization of Industrial Courts: A Compara-
Review 504
Kujinga and Van Eck ‘Large Scale Operational Requirements Dismissals: How
Landman & Ndou ‘The Protection from Harassment Act and its Implications for
the Workplace’ (2013) CLL 22(9): 82
36 ILJ 2460
Langille ‘Core Labour Rights – The True Story (Reply to Alston)’ Eur J Int Law (2005), 16(3): 409
Le Roux ‘A Recipe for Procedural Success in the Case of Large Scale Retrench-
ments: Woolies Times Three, with a Pinch of Edcon and Steenkamp for Taste’
Bibliography
551
Le Roux ‘The Barnard decision – what it means: Differences in the decisions of the Constitutional Court in key
judgment on affirmative action’ (2014) CLL
24(2): 11
Le Roux ‘Benefits: Have We Found the Way Out of the Labyrinth?’ (2015) 36 ILJ
888
Le Roux ‘ The Meaning of “Worker” and the Road Towards Diversification: Reflecting on Discovery, SITA and
“Kylie”’ (2009) 30 ILJ 49
Le Roux ‘The Role and Enforcement of Collective Agreements’ (2006) CLL 15(6): 51
Le Roux ‘The Test for Review of CCMA Commissioners: Some Certainty at Last?’
Le Roux & Mischke ‘Constitutional and Common Law Remedies’ (2007) CLL
16(11): 111
Le Roux & Mischke ‘Picketing and the Dismissal of Strikers: Three new Labour
Court Decisions’ (2006) CLL 16(5): 50
Louw ‘The Right to Work and the Increasing Demand for Labour’ (2005)
McGregor ‘Blowing the Whistle: The Future of Affirmative Action in South Africa?
McGregor ‘Blowing the Whistle: The Future of Affirmative Action in South Africa?
from the Labour Court – Solidarity v Minister of Safety & Security ( Police & Prisons Civil Rights Union as
Amicus Curiae) (2016) 37 ILJ 1012 (LC)’ (2016) 79(4) THRHR 698
McGregor ‘”Do you want a lover tonight?” Do these words constitute sexual
harassment? Simmers v Campbell Scientific Africa ( Pty) Ltd & others; Campbell Scientific Africa ( Pty) Ltd & A
Simmers (2016)’ THRHR 79(2) 322
During the Dark Ages to Recognition of an Altered Sex and Zero-Tolerance for
552 Law@work
Unfair Discrimination in the 21st Century: Atkins v Datacentrix (Pty) Ltd [2010] 4
Maupain ‘New Foundation or New Façade? The ILO and the 2008 Declaration
on Social Justice for a Fair Globalization’ Eur J Int Law (2009), 20(3): 823
CLL 13(9): 81
Mischke ‘Getting a Foot in the Door: Organisational Rights and Collective Bar-
which Fall Outside the Ambit of the Labour Relations Act’ (2006) CLL 16(3): 23
907
Myburgh ‘ Sidumo v Rusplats: How have the courts dealt with it?’ (2009) 30 ILJ 1
Myburgh & Van Niekerk ‘Dismissal for Misconduct: The Reasonable Employer and
Newaj and Van Eck ‘Automatically Unfair and Operational Requirement Dismis-
Ngcukaitobi ‘Life after Chirwa: Is there Scope for Harmony between Public Sector Labour Law and
Administrative Law?’ (2008) 29 ILJ 841
Parsons ‘Investing in Social Capital in South Africa’ (2007) IOE Labour and Social Review 61
Bibliography
553
Plasket & Khoza ‘The Fundamental Right to Reasons for Administrative Action:
Moletsane v The Premier of the Free State (1996) 17 ILJ 251 (O)’ (2001) 22 ILJ 52
(2013) SALJ 31
Pretorius ‘Legal Evaluation of Affirmative Action in South Africa’ (2001) 26(3) JJS
12
Pretorius ‘Making you Whistle: The Labour Appeal Court’s Approach to Reviews
Pretorius & Myburgh ‘A Dual System of Dismissal Law: Comment on Boxer Superstores Mtyhatha & Another v
Mbenya (2007) 28 ILJ 2209 (SCA)’ (2007) 28 ILJ
2172
Rautenbach ‘Riglyne om die Reg op Gelykheid toe te Pas’ (2012) 9(2) LitNet
Akademies 229
Robertson ‘Does the New Code of Good Practice on “Equal Pay for Equal
Rycroft ‘Can a Protected Strike Lose its Status? Tsogo Sun Casinos (Pty) Ltd v Future of SA Workers Union &
others (2012) 33 ILJ 998 (LC)’ (2012) 33 ILJ 821
Rycroft ‘The Dislocated Employee in a Restructured Process South African Breweries (Pty) Ltd v Louw (2018) 39
ILJ 189 (LAC)
Rycroft ‘The Intolerable Relationship’ (2012) 33 ILJ 2271
ILJ 1411
Saley & Benjamin ‘The Context of the ILO Fact-finding and Conciliation Commission Report on South Africa’
(1992) 13 ILJ 731
1851
Strike’ 2017 Comparative Labor Law & Policy Journal (38) 101
554 Law@work
Smit ‘Labour law, The Queen Bee Syndrome and Workplace Bullying: A Contri-
bution to the Shattering of at Least One Glass Ceiling for Female Employees
Smit ‘The Labour Relations Act and Transfer of Undertakings: The Notion of a
TSAR 100
Smit & Le Roux ‘Employee “benefits” and the unfair labour practice’ (2015) CLL
24(10): 92
Smit & Olivier ‘Discrimination based on Pregnancy in Employment Law: The Case of Woolworths v Whitehead’
(2002) 4 TSAR 783
Theron ‘The Shift to Services and Triangular Employment: Implications for Labour
Thompson ‘Bargaining over Business Imperatives: The Music of the Spheres after
Van Eck ‘ Chirwa v Transnet and Beyond: Urgent Need for Certainty from the Constitutional Court’ (2010) 1
TSAR 119
Van Eck ‘Labour Dispute Resolution in the Public Service: The Mystifying Com-
Van Eck ‘Regulated Flexibility and the Labour Relations Amendment Bill of 2012’
Van Eck ‘Revisiting Agency Work in Namibia and South Africa: Any Lessons from
the Decent Work Agenda and the Flexicurity Approach?’ (2014) 30 Int Journal
Van Eck ‘The Right to a Pre-dismissal Hearing in terms of the Common Law: Are
Van Eck ‘Temporary Employment Services (Labour Brokers) in South Africa and
Van Eck, Boraine & Steyn ‘Fair Labour Practices in South African Insolvency Law’
Bibliography
555
Van Niekerk ‘ Bleached Skeletons Resurrected and Vibrant Horses Corralled – SA Municipal Workers Union v
Rand Airport Management Company (Pty) Ltd &
CLL 15(2): 11
Van Niekerk ‘In Search of Justification: The Origins of the Statutory Protection of Security of Employment in
South Africa’ (2004) 25 ILJ 853
Van Niekerk ‘Is the South African Law of Unfair Dismissal Unjust? A Reply to Mar-
Some Thoughts on Denel (Pty) Ltd v Gerber (2005) 26 ILJ 1256 (LAC)’ (2005) 26
ILJ 1904
Wallis ‘Now You Forsee It, Now You Don’t – SATAWU v Garvas & others’ (2012) 33
ILJ 2257
Accelerated and Shared Growth Initiative for South Africa (AsgiSA), available at
www.info.gov.za/asgisa
article/sa-cyril-ramaphosa-address-by-south
Selected Provisions of the Labour Relations Amendment Bill 2010, Basic Con-
ditions of Employment Bill 2010, Employment Equity Amendment Bill 2010, Em-
Bhorat, Lundall & Rospabe ‘The South African Labour Market in a Globalizing
available at www.ilo.org/publish/english/employment/strat/download/ep32
Brits ‘Employing the youth – how the ETI can benefit you’ available at https://
Bruce ‘Not the worst of jobs crisis yet’ Business Day, 5 June 2017
UploadedMedia/CCMA%20Report%2005_06%20.pdf
UploadedMedia/CCMA_2009-2010_Annual_Report.pdf
UploadedMedia/CCMA%20%20FULL%20ANNUAL%20REPORT%202012-2013.pdf
556 Law@work
Us/Reports-Plans/Annual-Reports
http://www.labour.gov.za/DOL/documents/annual-reports/Commission%20for
%20Employment%20Equity%20Report/2013-2014/commission-for-employment-
equity-report-2013-2014/
http://www.labour.gov.za/DOL/documents/annual-reports/Commission%20
for%20Employment%20Equity%20Report/2016-2017/commission-for-employ
ment-equity-report-2016-2017
Du Toit ‘Much ado about – what exactly?’ IRNetwork Today Weekly comment 1
ILO ‘Code of Good Practice: Key Aspects on the Employment of People with
ILO ‘Code of Good Practice on the Handling of Sexual Harassment Cases in the
ILO ‘Code of Practice on the Protection of Workers’ Personal Data’ (1997) 18 ILJ 26
ILO Meeting of Experts on Workers in Need of Protection: Basic Technical Document (2000)
ILO ‘Organizing for Social Justice – Global Report under the Follow-up to the ILO
Time for Equality at Work Global Report under the Follow-up to the ILO Dec-
Bibliography
557
Lee ‘Labour Market Regulation and Economic Growth’, paper presented at the
Molopyane ‘Quarterly labour force figures paint a grim picture’ of 6 June 2017
available at https:/www.moneyweb.co.za/moneyweb-opinion/what-the-first-
number-quarters-of-2017-tell-us/
Olivier & Mpedi ‘Extending Social Protection to Families in the African Context: The Complementary Role of
Formal and Informal Social Security’ paper presented at the 4th International Research Conference on Social
Security, ‘So-
Security for South Africa, in Transforming the Present – Protecting the Future Draft Consolidated Report,
available at http://welfare.gov.za/2002/May/pdf
Second Interim Report on Aspects of the Law relating to AIDS, The Pre-
employment HIV Testing South African Law Commission Project 85 (SALC, 1998)
South African Law Commission Final Report on Group and Human Rights (1994)
Van Ginneken ‘Extending Social Security: Policies for Developing Countries’, ESS
Paper No 13 (2003)
Van Niekerk ‘Regulating Flexibility and Small Business: Revisiting the LRA and
Table of cases
Page
3M SA (Pty) Ltd v SACCAWU [2001] 5 BLLR 483 (LAC) .......................................... 495, 500
21st Century Life (Pty) Ltd v Nombewu (2019) 40 ILJ 1499 (LAC) ................................ 249
A Mauchle (Pty) Ltd t/a Precision Tools v NUMSA [1995] 4 BLLR 11 (LAC) .................. 432
Abels and Dialogue Group (Pty) Ltd (2009) 30 ILJ 2167 (CCMA) ................................ 164
ABSA Brokers (Pty) Ltd v Moshoana NO (2005) 26 ILJ 1652 (LAC) ............................... 264
Ackerman & another v United Cricket Board of SA (2004) 25 ILJ 353 (CCMA) ......... 287
Adriaanse / Swartklip Products [1999] 6 BALR 649 (CCMA) ................................. 131, 132
AECI Explosives Ltd (Zomerveld) v Mambalu (1995) 16 ILJ 1505 (LAC) ....................... 297
Afrox Ltd v Laka & others [1999] 5 BLLR 467 (LC) ........................................................... 497
Afrox Ltd v SACWU & others; SACWU & others v Afrox Ltd [1997] 4 BLLR 382 (LC) .... 456
Algoa Bus Company v SATAWU & others [2010] 2 BLLR 149 (LC) ................................ 472
Allen v Amalgamated Construction Co Ltd [2000] IRLR 119 (ECJ) ............................. 369
[2011] 5 BLLR 462 (LC), (2011) 32 ILJ 1637 (LC) ................................................... 135, 284
Amazwi Power Products (Pty) Ltd v Turnbull [2008] 9 BLLR 817 (LAC) ......................... 249
Anglo Office Supplies (Pty) Ltd v Lotz (2008) 29 ILJ 953 (LAC) ..................................... 386
Arbitration & others [2013] 5 BLLR 434 (LAC) ...................................... 213, 214, 215, 481
April v Gen-Tech Engineering Services CC (2005) 26 ILJ 407 (BCA) ............................ 222
April v Workforce Group Holdings (Pty) Ltd t/a The Workforce Group
559
560
Law@work
Page
Apsey v Babcock Engineering Contractors (Pty) Ltd (1995) 16 ILJ 914 (IC) ................. 85
[2015] 11 BLLR 1081 (LAC), (2015) 36 ILJ 2989 (LAC) .......................... 135, 265, 266, 287
Arbuthnot v SA Municipal Workers Union Provident Fund (2012) 33 ILJ 584 (LC) ...... 226
Asara Wine Estate & Hotel (Pty) Ltd v Van Rooyen & others
Assign Services (Pty) Ltd v CCMA [2015] 11 BLLR 1160 (LC) ........................................... 73
Assign Services (Pty) Ltd v NUMSA [2018] 9 BLLR 837 (CC) ............................................. 73
Chamber of Mines of SA & others [2017] 7 BLLR 641 (CC) ............................. 41, 53, 55
Chamber of Mines & others 2017 (6) BCLR 700 (CC) ................................................ 405
Chamber of Mines of South Africa & others [2017] 7 BLLR 641 (CC) ....... 434, 436, 440
[2017] 5 BLLR 501 (LC), (2017) 38 ILJ 1128 (LC) ............................................. 78, 250, 251
Royal Bafokeng Platinum Ltd and others [2018] 11 BLLR 1075 (LAC) ...................... 351
Association of Professional Teachers & another v Minister of Education & others (1995) 16 ILJ 1048 (IC)
................................................................................................... 134
AST Holdings (Pty) Ltd v Roos [2007] 10 BLLR 891 (LAC) ................................................ 388
[2013] 12 BLLR 1194 (LAC), (2014) 35 ILJ 140 (LAC) ............................................ 113, 359
Atkins v Datacentrix (Pty) Ltd [2010] 4 BLLR 351 (LC) ............................................ 134, 273
Atlantis Diesel Engines (Pty) Ltd v NUMSA (1994) 15 ILJ 1247 (A) ................................. 350
(2011) 32 ILJ 2861 (CC) ................................................. 367, 368, 369, 370, 372, 382, 391
Aviation Union of SA obo Barnes & others v SA Airways (Pty) Ltd & others
Aviation Union of South Africa & others v South African Airways (Pty) Ltd,
Conciliation, Mediation & Arbitration (2006) 27 ILJ 1644 (LC) .................................. 313
Bagarette & others v Performing Arts Centre of the Free State & others
Ball v Bambalela Bolts (Pty) Ltd & another [2013] 9 BLLR 843 (LAC) .............................. 96
Bandat v De Kock & another (2015) 36 ILJ 979 (LC) ............................................. 127, 519
Table of cases
561
Page
Bato Star Fishing (Pty) Ltd v Minister of Environmental Affairs & others
Baudach v United Tobacco Co Ltd (2000) 21 ILJ 2241 (SCA) ..................................... 253
Bayat v Durban Institute of Technology (2006) 27 ILJ 188 (CCMA) ............................ 237
Bayley v Constantia Greetings (Pty) Ltd [1997] 3 BLLR 298 (CCMA) ........................... 493
Beaurain v Martin NO & others (1) (2014) 35 ILJ 2443 (LC) ................................... 225, 226
Bedderson v Sparrow Schools Education Trust [2010] 4 BLLR 363 (LC) ............... 285, 288
Bensingh v Minister of Education & others (2003) 24 ILJ 1098 (C) ................................ 501
Bessie and University of KwaZulu-Natal (2013) 34 ILJ 2130 (CCMA) ............................ 216
BMD Knitting Mills (Pty) Limited v SA Clothing & Textile Workers Union
BMW (SA) (Pty) Ltd v National Union of Metalworkers of South Africa &
another [2019] 2 BLLR 107 (LAC), (2019) 40 ILJ 1159 (LAC) ............................... 135, 288
Boer v Momo Developments CC & another [2005] JOL 13303 (T) .............................. 521
Bootes v Eagle Ink Systems KwaZulu-Natal (Pty) Ltd (2008) 29 ILJ 139 (LC) ................ 135
Botha v A Import Export International CC (1999) 20 ILJ 2580 (LC) .............................. 282
Botha v Du Toit Vrey & Partners CC [2006] 1 BLLR 1 (LC) .............................................. 252
Bracks NO & another v Rand Water & another [2010] 8 BLLR 795 (LAC) ................... 257
Branford v Metrorail Services (Durban) & others (2003) 24 ILJ 2269 (LAC) ................. 315
Brown v Read Educational Trust [2006] 6 BALR 605 (CCMA) ....................................... 242
BTR Industries SA (Pty) Ltd v MAWU (1992) 13 ILJ 803 (A) .............................................. 497
Burger and SA Post Office Ltd (2008) 29 ILJ 2305 (CCMA) .................................. 217, 219
Burman Katz Attorneys v Brand NO [2001] 2 BLLR 125 (LC) .................................. 369, 373
Business & Design Software (Pty) Ltd & another v Van der Velde
Callanan v Tee-Kee Borehole Castings (Pty) Ltd & another (1992) 13 ILJ 279 (IC) ...... 85
Camdons Realty (Pty) Ltd v Hart (1993) 14 ILJ 1008 (LAC) ............................................. 84
Campbell Scientific Africa (Pty) Ltd v Simmers & others
[2016] 1 BLLR 1 (LAC), (2016) 37 ILJ 116 (LAC) .................................................... 127, 304
Cape Performing Arts Board v Schuster (1994) 15 ILJ 109 (LAC) ................................. 208
Cape Town City Council v Masitho & others (2000) 21 ILJ 1957 (LAC) ............... 308, 309
562
Law@work
Page
(incorporated as the Law Society of the Transvaal) (2013) 34 ILJ 2779 (SCA) ....... 494
CEPPWAWU v Hydro Colour Inks (Pty) Ltd & another [2011] 7 BLLR 655 (LC) ............. 375
CEPPWAWU obo Konstable v Safcol [2003] 3 BLLR 246 (LC) ........................................ 104
Chamber of Mines of SA v Council of Mining Unions (1990) 11 ILJ 54 (IC) ................. 529
Occupational Diseases & others [2013] JOL 29891 (SCA) ........................................ 520
Chambers v Process Consulting Logistics (Pty) Ltd [2003] 4 BALR 405 (CCMA) .......... 82
Chartaprops 16 (Pty) Ltd & another v Silberman (2009) 30 ILJ 497 (SCA) .................... 91
Chauke v Lee Services Centre t/a Leeson Motors (1998) 19 ILJ 1441 (LAC) .............. 305
Chemical Energy Paper Printing Wood and Allied Workers Union & another v
Glass and Aluminium 2000 CC [2002] 5 BLLR 399 (LAC) ........................................... 266
Chemical, Energy, Paper, Printing, Wood & Allied Workers Union & others v Print Tech (Pty) Ltd & others (2010)
31 ILJ 1850 (LC) .................................................. 378
obo Two Members and Leader Packaging (2005) 26 ILJ 1129 (BCA) .................... 219
Chevron Engineering (Pty) Ltd v Nkambule & others [2004] 3 BLLR 214 (LC) ............. 505
Chinese Association of South Africa & others v Minister of Labour & others case 59251/2007 TPD, dated 18 June
2007 ................................................................ 176
Chirwa v Transnet Ltd & others [2008] 2 BLLR 97 (CC) .................................................. 501
[2008] 10 BLLR 940 (LC), (2008) 29 ILJ 2919 (LC) ......................................... 135, 137, 272
Chubb Guarding SA (Pty) Ltd v SATAWU [2005] JOL 15040 (LC) ................................. 466
[2016] 6 BLLR 568 (LAC), (2016) 37 ILJ 1364 (LAC) .............................................. 133, 297
& another [2010] 3 BLLR 229 (SCA), (2010) 31 ILJ 322 (SCA) ............................. 227, 292
City Power (Pty) Ltd v Grinpal Energy Management Services (Pty) Ltd & others
CMS Support Services (Pty) Ltd v Briggs [1997] 5 BLLR 533 (LAC) .................................. 85
Coetzee v Zeitz Mocaa Foundation Trust & others [2018] 9 BLLR 909 (LC) ................. 100
Coin Security Group (Pty) Ltd v Adams & others [2000] 4 BLLR 371 (LAC) ................. 458
Coin Security Group (Pty) Ltd v SANUSO (1998) 19 ILJ 43 (C) ...................................... 469
Collins v Volkskas Bank (Westonaria Branch), a division of ABSA Bank Ltd
Colonial Mutual Life Assurance Society v MacDonald 1931 AD 412 ...................... 60, 63
Table of cases
563
Page
Colyer v Dräger SA (Pty) Ltd [1997] 2 BLLR 184 (CCMA) .............................................. 493
Commercial Catering & Allied Workers Union & others v Woolworths (Pty) Ltd (2019) 40 ILJ 87 (CC)
..................................................................................................... 261
obo Dube & others v Robertson Abattoir [2016] 12 BLLR 1163 (LAC) ...................... 278
Communication Workers Union and Daily Dispatch (2010) 31 ILJ 1496 (CCMA) ...... 405
Compensation Commissioner v Van Vuuren [2015] JOL 33943 (GP) ......................... 517
Concor Projects (Pty) Ltd t/a Concor Opencast Mining v Commission for
Conciliation, Mediation and Arbitration & others [2014] 6 BLLR 534 (LAC) .............. 47
Conti Print CC v CCMA & others [2015] 9 BLLR 865 (LAC) ................................... 245, 246
Continental Tyre SA (Pty) Ltd v NUMSA [2008] 9 BLLR 828 (LAC) ................................. 350
COSAWU v Zikhethele Trade (Pty) Ltd & another [2005] 9 BLLR 924 (LC) ................... 379
Council for Medical Schemes & another v Genesis Medical Scheme & others
Hotel, Liquor, Catering, Commercial and Allied Workers Union & others
County Fair Foods (Pty) Ltd v FAWU & others [2001] 5 BLLR 494 (LAC) ....................... 466
County Fair Foods (Pty) Ltd v OCGAWU & another [2003] 7 BLLR 647 (LAC)............. 341
Crown Chickens (Pty) Ltd t/a Rocklands Poultry v Kapp & others
Cullen and Distell (Pty) Ltd (2001) 10 CCMA 6.9.3 ........................................................ 205
Cupido v GlaxoSmithKline SA (Pty) Ltd (2005) 26 ILJ 868 (LC) ..................................... 174
CWIU v Plascon Decorative (Inland) (Pty) Ltd (1999) 20 ILJ 321 (LAC) ............... 454, 469
CWIU & others v Algorax (Pty) Ltd (2003) 24 ILJ 1917 (LAC) ................................. 278, 341
CWIU & others v Latex Surgical Products (Pty) Ltd (2006) 27 ILJ 292 (LAC) ................ 344
CWU & another v Mobile Telephone Networks (Pty) Ltd [2003] 8 BLLR 741 (LC) ....... 291
CWU & others v SA Post Office Ltd (2005) 26 ILJ 1679 (LC) .......................................... 469
Damelin (Pty) Ltd v Solidarity obo Parkinson & others [2017] 7 BLLR 672 (LAC) ......... 325
Daniels and Robben Island Museum (2010) 31 ILJ 1959 (CCMA) ............................... 216
[2009] 5 BLLR 449 (LC), (2009) 30 ILJ 2429 (LC) ................................................... 135, 252
Dauth v Brown & Weirs Cash and Carry [2002] 8 BLLR 837 (CCMA) ........................... 297
564
Law@work
Page
De Beer v SA Export Connection CC t/a Global Paws [2008] 1 BLLR 36 (LC) .... 272, 283
South-Central Local Council & others 2002 (1) SA 429 (CC) ...................................... 83
De Beers Consolidated Mines Ltd v CCMA & others [2000] 5 BLLR 578 (LC) .............. 481
De Beers Group Services (Pty) Ltd v NUM [2011] 4 BLLR 319 (LAC) ............................. 355
Denel (Pty) Ltd v Gerber [2005] 9 BLLR 849 (LAC) ......................................... 64, 67, 84, 85
[2011] 32 ILJ 2629 (LAC) ........................................................ 121, 127, 131, 134, 135, 136
Police and Prisons Civil Rights Union & others [2013] 7 BLLR 639 (SCA) ................... 286
Department of Home Affairs & another v Public Servants Association & others (2017) 38 ILJ 1555 (CC)
................................................................................................. 481
Department of Justice v CCMA & others (2004) 25 ILJ 248 (LAC) ............................... 212
Van der Merwe NO & others (2010) 31 ILJ 1184 (LC) ................................................ 480
Dierks v University of South Africa [1999] 4 BLLR 304 (LC) ............................................. 242
Dikobe v Mouton NO & others [2016] 9 BLLR 902 (LAC) ............................................... 307
Dince & others v Department of Education North West Province & others
(2010) 31 ILJ 1193 (LC) .................................................................................................. 218
Dis-Chem Pharmacies Ltd v Malema & others (2019) 40 ILJ 855 (LC) ........................ 474
Discovery Health v CCMA [2008] 7 BLLR 633 (LC) ............................................. 62, 82, 255
Ditsamai v Gauteng Shared Services Centre [2009] 5 BLLR 456 (LC) ......................... 159
Dlamini v Toyota SA Manufacturing (2004) 25 ILJ 1513 (CCMA) ......................... 204, 205
Dlamini & others v Green Four Security [2006] 11 BLLR 1074 (LC) ........ 135, 136, 140, 286
Douglas & others v Gauteng MEC for Health [2008] 5 BLLR 401 (LC) ......................... 386
(2008) 29 ILJ 2685 (LAC), 2004 (8) BCLR 805 (CC) ...................................... 173, 174, 506
Duma v Minister of Correctional Services & others (2016) 37 ILJ 1135 (LC) ........ 132, 136
Duncanmec (Pty) Ltd v Gaylard NO [2018] 12 BLLR 1137 (CC) .................................. 298
Dunwell Property Services CC v Sibande & others [2012] 2 BLLR 131 (LAC) .............. 263
Table of cases
565
Page
Early Bird Farms (Pty) Ltd v FAWU & others [2004] 7 BLLR 628 (LAC) .................... 276, 469
East Rand Proprietary Mines Ltd v UPUSA (1996) 17 ILJ 1134 (LAC) ............................. 333
Edcon Ltd v Pillemer NO & others [2010] 1 BLLR 1 (SCA) ...................................... 260, 300
Edgars Consolidated Stores Ltd v FEDCRAW [2004] 7 BLLR 649 (LAC) ........................ 414
Edgars Stores (Pty) Ltd v SACCAWU [1998] 5 BLLR 447 (LAC) ...................................... 480
Ehlers v Bohler Uddeholm Africa (Pty) Ltd (2010) 31 ILJ 2383 (LC) ............................... 132
Ekhamanzi Springs (Pty) Ltd v Mnomiya [2014] 8 BLLR 737 (LAC) ................................ 283
Ellerines Holdings v CCMA & others [1999] 9 BLLR 917 (LC) .......................................... 301
Enforce Security Group v Fikile & others (2017) 38 ILJ 1041 (LAC) ............................... 250
Enterprise Foods (Pty) Ltd v Allen & others [2004] 7 BLLR 659 (LAC) .................... 341, 350
Ephraim v Bull Brand Foods (Pty) Ltd (2010) 31 ILJ 951 (LC) ......................................... 484
Mediation and Arbitration & others [2008] 12 BLLR 1129 (CC) ................................ 261
Equity Aviation Services (Pty) Ltd v SA Transport & Allied Workers Union & others (2009) 30 ILJ 1997 (LAC)
................................................................................................ 276
ER24 Holdings v Smith & another [2007] JOL 19898 (SCA) ........................................... 517
Erasmus v Ikwezi Municipality & another (2016) 37 ILJ 1799 (ECG) ............................. 157
Erasmus & others v Senwes Ltd & others (2006) 27 ILJ 259 (T) ...................... 104, 105, 529
Eskom v Marshall & others (2002) 23 ILJ 2251 (LC) ......................................................... 204
Eskom Holdings Ltd v Fipaza & others [2013] 4 BLLR 327 (LAC) .................................... 301
Khanya & others (DA9/2012) [2014] ZALAC 48 (18 September 2014) ..................... 141
(2006) 27 ILJ 2607 (LC), [2006] 12 BLLR 1146 (LC) ....................................... 135, 251, 288
EWN v Pharmaco Distribution (Pty) Ltd (2016) 37 ILJ 449 (LC) ............. 136, 152, 153, 274
Exactics-Pet (Pty) Ltd v Petalia NO & others (2006) 27 ILJ 1126 (LC) ........................... 298
Experian SA (Pty) Ltd v Haynes & another (2013) 34 ILJ 529 (GSJ) .............................. 387
FAWU v The Cold Chain (Pty) Ltd & another [2010] 1 BLLR 49 (LC) ..................... 369, 376
FAWU v Ngcobo [2013] 12 BLLR 1035 (CC) ...................................................................... 47
FAWU v Pets Products (Pty) Ltd [2000] 7 BLLR 781 (LC) ................................................. 471
FAWU & another v The Cold Chain [2007] 7 BLLR 638 (LC) .................................. 274, 399
FAWU & others v Rainbow Chicken Farms [2000] 1 BLLR 70 (LC) ................ 127, 135, 454
(2004) 25 ILJ 1979 (LC), [2004] 11 BLLR 1093 (LC) ....................................... 265, 346, 347
FAWU obo Meyer v Rainbow Chickens [2003] 2 BALR 140 (CCMA) ........................... 254
(2001) 22 ILJ 2407 (SCA), [2001] 12 BLLR 1301 (SCA) ................................... 98, 102, 502
Feinberg v African Bank Ltd (2004) 21 ILJ 217 (LC) ....................................................... 501
Ferguson v Basil Read (Pty) Ltd [2013] 3 BLLR 274 (LC) ................................................. 253
Ferodo (Pty) Ltd v De Ruiter (1993) 14 ILJ 974 (LAC) ..................................................... 265
FGWU v Minister of Safety and Security (1999) 20 ILJ 1258 (LC) .......................... 453, 464
Fidelity Guards Holdings (Pty) Ltd v Pearmain [1998] 3 BLLR 334 (SE) ........................... 96
Fidelity Guards Holdings (Pty) Ltd v PTWU [1997] 9 BLLR 1125 (LAC) ........................... 459
566
Law@work
Page
Fijen v Council for Scientific & Industrial Research (1994) 15 ILJ 759 (LAC) ................ 249
First Garment Rental (Pty) Ltd v CCMA & others [2015] 11 BLLR 1094 (LAC) .............. 259
Fleet Africa (Pty) Ltd v Nijs [2017] 5 BLLR 450 (LAC) ....................................................... 386
Foodgro, a Division of Leisurenet v Keil (1999) 20 ILJ 2521 (LAC) ................................. 378
Forecourt Express (Pty) Ltd v SATAWU & another (2006) 27 ILJ 2537 (LAC) ................ 290
Fourie v Stanford Driving School & 34 Related Cases (2011) 32 ILJ 914 (LC) ............. 484
Franmann Services (Pty) Ltd v Simba (Pty) Ltd & another (2013) 34 ILJ 897 (LC) ...... 384
Fredericks v MECS Africa Project Support (2005) 26 ILJ 2484 (BCA) ............................ 429
Fredericks & others v MEC for Education and Training, Eastern Cape & others (2002) 23 ILJ 81 (CC)
............................................................................................... 55, 505
Free Market Foundation v Minister of Labour & others [2016] 8 BLLR 805 (GP) .......... 436
(in his capacity as Commissioner of the CCMA, Free State Province &
Presiding Officer) & others [2006] 11 BLLR 1090 (LC) ................................................. 256
Freshmark (Pty) Ltd v CCMA & others (2003) 24 ILJ 373 (LAC) ............................. 340, 360
Future of SA Workers Union obo AB & others v Fedics (Pty) Ltd & another
Gaga v Anglo Platinum Ltd & others (2012) 33 ILJ 329 (LAC) ...................................... 134
Galane and Green Stone Civils CC [2015] 1 BALR 60 (CCMA) ........................... 213, 219
Ganes & another v Telekom Namibia (2004) 23 ILJ 995 (SCA) ................................ 93, 94
General Food Industries Limited v FAWU [2004] 7 BLLR 667 (LAC) .............................. 350
General Food Industries Limited t/a Blue Ribbon Bakeries v FAWU & others
Genric Mai (Pty) Ltd v Industrial Council for the Iron, Steel, Engineering &
George v Liberty Life Association of Africa Ltd (1996) 17 ILJ 571 (IC) ......................... 176
Table of cases
567
Page
Goddard v Metcash Trading Africa (Pty) Ltd (2010) 31 ILJ 104 (LC) ........................... 343
Gold Fields Mining South Africa (Pty) Ltd (Kloof Gold Mine) v CCMA & others
Goldgro (Pty) Ltd v McEvoy (2019) 40 ILJ 1202 (LAC) ................................................... 292
Gordon v Department of Health, KwaZulu-Natal [2004] 7 BLLR 708 (LC) ................... 181
Gotso v Afrox Oxygen Ltd [2003] 6 BLLR 605 (Tk) ........................................................... 501
Govender v Dennis Port (Pty) Ltd (2005) 26 ILJ 2239 (CCMA) ............................. 201, 219
Grieve v Denel (Pty) Ltd [2003] 4 BLLR 366 (LC), (2003) 24 ILJ 551 (LC) ............... 291, 496
Grobler v Naspers Bpk & another [2004] 5 BLLR 455 (C) ......................... 92, 127, 129, 156
Grootboom v National Prosecuting Authority & another [2014] 1 BLLR 1 (CC) ......... 255
Group 4 Falck (Pty) Ltd v DUSWO [2003] 4 BALR 422 (CCMA) ............................. 406, 407
Harksen v Lane NO & others 1997 (11) BCLR 1489 (CC) ....................... 125, 136, 137, 168
Harley v Bacarac Trading 39 (Pty) Ltd (2009) 30 ILJ 2085 (LC) ..................................... 219
Harmse v City of Cape Town [2003] 6 BLLR 557 (LC) ............................................ 135, 172
Harsco Metals SA (Pty) Ltd & another v Arcelormittal SA Ltd & others
Head of the Dept of Education v Mofokeng [2015] 1 BLLR 50 (LAC) ......................... 499
MEC for Health, Eastern Cape & others (2017) 38 ILJ 890 (LAC) ............................. 205
Department of Health, KwaZulu-Natal (2016) 37 ILJ 1839 (LAC) ..................... 439, 480
Henn v SA Technical (Pty) Ltd (2006) 27 ILJ 2617 (LC) .................................................. 178
568
Law@work
Page
Hextex & others v SA Clothing and Textile Workers Union & others
(2013) 34 ILJ 1190 (LC), [2013] 2 BLLR 189 (LC) ................................................... 135, 288
Allied Workers Union obo Cornelis & others (2017) 38 ILJ 1758 (LAC) ..................... 388
Highveld Steel & Vanadium Corporation Ltd v Oosthuizen 2009 (4) SA 1 (SCA) ...... 530
Hoch v Mustek Electronics (Pty) Ltd (2000) 21 ILJ 365 (LC) ........................................... 300
Horn v LA Health Medical Scheme 2015 (7) BCLR 780 (CC) .......................................... 34
HOSPERSA & another v MEC for Health [2003] 12 BLLR 1242 (LC) ............................... 255
HOSPERSA obo Venter v SA Nursing Council [2006] 6 BLLR 558 (LC) .......................... 135
Hydraulic Engineering Repair Services v Ntshona & others (2008) 29 ILJ 163 (LC) ...... 64
Hydro Colour Inks (Pty) Ltd v CEPPWAWU [2011] 7 BLLR 637 (LAC) ..................... 389, 390
IMATU obo Verster v Umhlathuze Municipality [2011] 9 BLLR 882 (LC) ....................... 213
Imperial Cargo Solutions (Pty) Ltd v SA Transport & Allied Workers Union & others (2017) 38 ILJ 2479 (LAC)
................................................................................................ 452
Imvula Quality Protection (Pty) Ltd v UNISA [2018] 12 BLLR 1151 (LAC) ...................... 383
City of Matlosana Local Municipality & another (2014) 35 ILJ 2459 (LC) ....... 224, 230
Transitional Local Council (2002) 21 ILJ 1119 (LC) ............................................. 142, 143
City of Cape Town (2005) 26 ILJ 1404 (LC) ......................................................... 120, 140
Indwe Risk Services (Pty) v Van Zyl: In re Van Zyl v Indwe Risk Services (Pty) Ltd (2010) 31 ILJ 956 (LC)
.................................................................................................... 484
Insurance & Banking Staff Association & another v Old Mutual Services & Technology Administration & another
[2006] 6 BLLR 566 (LC) ................................. 357
Intertech Systems (Pty) Ltd v Sowter (1997) 18 ILJ 689 (LAC) ....................................... 127
Irvin & Johnson Ltd v CCMA & others [2006] 7 BLLR 613 (LAC) ............................ 359, 360
Irvin & Johnson Ltd v Trawler & Line Fishing Union & others
Table of cases
569
Page
J
Jabari v Telkom SA (Pty) Ltd [2006] 10 BLLR 924 (LC) .................................................... 332
Jacot-Guillarmod v Provincial Government, Gauteng (1999) 20 ILJ 1689 (T) ...... 89, 502
Janda v First National Bank [2006] 12 BLLR 1156 (LC) ................................................... 270
Jansen van Vuuren v SA Airways (Pty) Ltd (2013) 34 ILJ 1749 (LC) ...................... 135, 141
Jantjies and Barloworld Handling (2013) 34 ILJ 2165 (BCA) ......................................... 204
[2003] 7 BLLR 717 (LC), (2002) 23 ILJ 547 (CCMA) ...................................... 109, 332, 333
Jenkin v Khumbula Media Connexion (Pty) Ltd [2010] 12 BLLR 1295 (LC) .................. 370
Jooste v Kohler Packaging Ltd [2003] 12 BLLR 1251 (LC) ............................................. 109
(1999) 20 ILJ 525 (CC), 1998 (9) BCLR 1106 (CC) ................................................. 98, 519
Jooste v Transnet t/a South African Airways (1995) 16 ILJ 629 (LAC) .......................... 245
Jordaan v CCMA & others [2010] 12 BLLR 1235 (LAC) ......................................... 246, 247
Joseph v University of Limpopo & others (2011) 32 ILJ 2085 (LAC) .............................. 241
Joslin v Olivetti Systems and Networks Africa (Pty) Ltd (1993) 14 ILJ 227 (IC) ............. 332
NUMSA & others (2002) 23 ILJ 391 (LC) ............................................................... 153, 534
Karan t/a Karan Beef Feedlot & another (2010) 31 ILJ 2449 (LC) ................................ 135
Kebeni v Cementile Products (Ciskei) (Pty) Ltd (1987) 8 ILJ 442 (IC) ........................... 366
Keil v Foodgro (a Division of Leisurenet) [1999] 4 BLLR 345 (LC) .................................. 386
Kelly Industrial Ltd v CCMA & others [2015] 6 BLLR 606 (LC) ........................................ 240
Kelman v Care Contract Services Ltd [1995] ICR 260 (EAT) ......................................... 380
Kem-Lin Fashions CC v Brunton & another (2001) 22 ILJ 109 (LAC) ..................... 436, 438
[2002] 7 BLLR 597 (LAC), (2002) 23 ILJ 882 (LAC) ........................................................ 504
Kgasago & others v Meat Plus CC (1999) 20 ILJ 572 (LAC) .......................................... 476
Kgethe & others v LMK Manufacturing & another [1997] 10 BLLR 1303 (LC) ............. 373
Kgethe & others v LMK Manufacturing & another (1998) 19 ILJ 524 (LAC) ................ 373
Khumalo and Enforce Security Services (Pty) Ltd (2017) 38 ILJ 711 (CCMA) ............. 135
Khutshwa v SSAB Hardox (2006) 27 ILJ 1067 (BCA) ............................................... 303, 334
Kirsten v Southern Cross Manufacturing Co Ltd (2006) 27 ILJ 2471 (CCMA) .............. 251
Klusener and KZN Cricket (Pty) Ltd (2016) 37 ILJ 2916 (CCMA) ................................... 241
570
Law@work
Page
KO and Kuasa Commodities 332 t/a Twin Peak Spur Steak Ranch
Kotze & Genis (Edms) Bpk v Potgieter 1995 (3) BCLR 349 (C) ........................................ 95
[2005] 12 BLLR 1172 (LAC)............................................. 261, 263, 272, 273, 274, 280, 399
KwaZulu-Natal Tourism Authority & others v Wasa [2016] 11 BLLR 1135 (LAC) ........... 101
[2010] 7 BLLR 705 (LAC), 2010 (10) BCLR 1029 (LAC) ..................................... 62, 82, 396
‘Kylie’ v Van Zyl t/a Brigittes [2007] 4 BALR 338 (CCMA) ................................................ 83
L-A J v Afrox Oxygen Ltd [2015] 12 BLLR 1213 (LC) ........................................................ 291
LAD Brokers (Pty) Ltd v Mandla [2001] 9 BLLR 1137 (LAC) .............................................. 72
Lagadien v University of Cape Town (2000) 21 ILJ 2469 (LC) ....................................... 132
Langemaat v Minister of Safety & Security & others (1998) 19 ILJ 240 (T) ................... 134
(North-West Province) & another 1998 (1) SA 745 (CC) ........................................... 136
Le Roux v CCMA & others [2000] 6 BLLR 680 (LC) ......................................................... 497
[1998] 7 BLLR 666 (LAC), (1998) 19 ILJ 1112 (LAC) ...................................... 127, 298, 333
Leonard Dingler (Pty) Ltd [1997] 11 BLLR 1438 (LC) ................................................... 530
Sesing v Minister of Police & others [2016] 8 BLLR 793 (LC) ....................................... 231
Lewis v Media 24 Ltd (2010) 31 ILJ 2416 (LC) ......................................................... 127, 135
Liberty Life Association of Africa Ltd v Niselow (1996) 17 ILJ 673 (LAC) ...... 62, 63, 64, 90
Lifeguards Africa (Pty) Ltd v Raubenheimer (2006) 27 ILJ 2521 (D) ............................... 95
Lobtrans SA (Pty) Ltd v MTWUSA & others [2006] JOL 17557 (LC) ................................ 453
Long v Prism Holdings Ltd & another (2012) 33 ILJ 1402 (LAC) .................................... 373
Long v SA Breweries (Pty) Ltd (2019) 40 ILJ 965 (CC) .................................................... 218
Lorentz v TEK Corporation Provident Fund 1998 (1) SA 192 (W) ................................... 529
Lotter v SA Red Cross Society (2006) 27 ILJ 2486 (CCMA) .................................... 332, 333
Lottering & others v Stellenbosch Municipality [2010] 12 BLLR 1306 (LC) ................... 248
Table of cases
571
Page
North West Housing Corporation & another (2000) 21 ILJ 482 (B) ............................. 89
Louw v Golden Arrow Bus Services (Pty) Ltd (2000) 21 ILJ 188 (LC) ..................... 137, 147
LTE Consulting (Pty) Ltd v Commission for Conciliation, Mediation & Arbitration (2017) 38 ILJ 2787 (LC)
.................................................................................................. 301
Ludick v Rural Maintenance (Pty) Ltd [2014] 2 BLLR 178 (LC) ...................................... 109
Mackay v ABSA Group & another [1999] 12 BLLR 1317 (LC) ........................................ 282
McPherson v University of KwaZulu-Natal & another (2008) 29 ILJ 674 (LC) ............... 136
Mafomane v Rustenburg Platinum Mines Ltd [2003] 10 BLLR 999 (LC) ............... 272, 285
[2013] 8 BLLR 768 (LC); (2010) 31 ILJ 322 (SCA) .......................................................... 226
Magna Alloys & Research SA (Pty) Ltd v Ellis 1984 (4) SA 874 (A) .................................. 95
Magson Speed Weave Manufacturing (Pty) Ltd (2009) 30 ILJ 2196 (CCMA) ............ 219
Makoti v Jesuit Refugee Service SA (2012) 33 ILJ 1706 (LC) ......................................... 127
Shashape v Tswaing Local Municipality (2011) 32 ILJ 928 (LC) ................................ 484
Maloba v Minaco Stone Germiston (Pty) Ltd & another (2000) 21 ILJ 1795 (LC) ...... 373
Manana v Department of Labour & others [2010] 6 BLLR 664 (LC) ............................ 206
Mangena & others v Fila South Africa (Pty) Ltd & others
[2009] 12 BLLR 1224 (LC) ....................................................... 132, 133, 134, 135, 137, 147
Mankayi v Anglogold Ashanti Ltd (2010) 31 ILJ 1065 (SCA) ......................................... 519
Mankayi v Anglogold Ashanti Ltd (2011) 32 ILJ 545 (CC) ...................................... 98, 520
Mantzaris v University of Durban Westville & others (2000) 21 ILJ 1818 (LC) ............... 501
Mapulane v Madibeng Local Municipality & another [2010] 6 BLLR 672 (LC) .......... 217
Maqubela v SA Graduates Development Association (2014) 35 ILJ 2479 (LC) ......... 230
Maritime Industries Trade Union of SA & others v Transnet Ltd & others
(2002) 23 ILJ 2213 (LAC) ................................................................................................ 209
Maritz v Calibre Clinical Consultants (Pty) Ltd & another (2010) 31 ILJ 1436 (LC) ..... 343
Martin & East (Pty) Ltd v National Union of Mineworkers & others
Masango v Liberty Group Ltd (2012) 33 ILJ 414 (LC) ..................................................... 158
Mashava v Cuzen & Woods Attorneys (2000) 21 ILJ 402 (LC).............................. 272, 284
Mathews v GlaxoSmithKline SA (Pty) Ltd [2007] 3 BLLR 230 (LC) ................................. 361
572
Law@work
Page
Matsekoleng v Shoprite Checkers (Pty) Ltd [2013] 2 BLLR 130 (LAC) .................. 261, 263
MATUSA v Central Karoo District Municipality [2019] 2 BLLR 159 (LC) ......................... 403
Mazista Tiles (Pty) Ltd v NUM & others [2005] 3 BLLR 219 (LAC) ................................... 343
Mbana v Shepstone & Wylie (2015) 36 ILJ 1805 (CC) ................................... 133, 134, 137
Mbayeka & another v MEC for Welfare, Eastern Cape 2001 (4) BCLR 374 (T) .......... 501
Mdamba and Masibambane Recruitment (2009) 30 ILJ 2200 (CCMA) .................... 219
MEC for Education, KwaZulu-Natal & others v Pillay 2008 (1) SA 474 (CC) ................ 110
[2005] 7 BLLR 649 (SCA), (2005) 26 ILJ 1007 (SCA) ......................... 92, 98, 127, 134, 157
Mere v Tswaing Local Municipality & another (2015) 36 ILJ 3094 (LC) ....................... 216
Metal & Allied Workers Union v Hart Ltd (1985) 6 ILJ 478 (IC) ....................................... 418
Bargaining Council & others [2016] 5 BLLR 435 (LAC) ............................................... 305
Mhlambi v Matjhabeng Municipality & another (2003) 24 ILJ 1659 (O) ..................... 501
Mhlongo & others v FAWU & another [2007] 1 BLLR 141 (LC) ...................................... 433
Mills v Drake International SA (Pty) Ltd (2004) 25 ILJ 1519 (CCMA) ............................. 255
Minister of Correctional Services v Mthembu NO (2006) 27 ILJ 2114 (LC) .................. 311
Minister of Correctional Services v Police and Prisons Civil Rights Union obo
Minister of Defence & Military Veterans v Thomas 2016 (1) SA 103 (CC) ................... 519
Minister of Defence & others v SA National Defence Force Union & others
(2006) 27 ILJ 2276 (SCA) ............................................................................................ 34, 50
[2004] 12 BLLR 1181 (CC) ...................................................... 122, 142, 163, 166, 168, 176
Minister of Health & another NO v New Clicks SA (Pty) Ltd and others
Table of cases
573
Page
others amici curiae); Lesbian and Gay Equality Project & others v
(2011) 32 ILJ 1145 (LC) .................................................................. 133, 134, 135, 158, 173
Bargaining Council & others [2010] 4 BLLR 428 (LC ........................................... 205, 206
MISA/SAMWU obo members v Madikor Drie (Pty) Ltd [2006] 1 BLLR 12 (LC) ..... 359, 387
MITUSA & others v Transnet Ltd & others [2002] 11 BLLR 1023 (LAC) ........................... 210
Miyambo v CCMA & others [2010] 10 BLLR 1017 (LAC) ............................................... 260
Miyeni and Chillibush Communications (Pty) Ltd (2010) 31 ILJ 3054 (CCMA) ........... 332
Mkhonto v Ford NO & others [2000] 7 BLLR 768 (LAC) .................................................. 265
MM & G Engineering (Pty) Ltd v NUMSA & others (2005) 26 ILJ 1326 (LAC) ............... 470
Modikwa Mining Personnel Services v CCMA & others (2013) 34 ILJ 373 (LC) ........... 133
Modise & others v Steve’s Spar Blackheath (2000) 21 ILJ 519 (LAC) ........................... 314
Mokhele & others v Schmidt NO & another (2016) 37 ILJ 2662 (LC) ................... 289, 290
Mokoena & another v Garden Art (Pty) Ltd & another (2008) 29 ILJ 1196 (LC) ........ 127
Mokone v Sahara Computers (Pty) Ltd (2010) 31 ILJ 2827 (GNP) ............................... 127
Moloi v Euijen & others [1997] 8 BLLR 1022 (LC) ............................................................. 497
Moloka v Greater Johannesburg Metropolitan Council (2005) 26 ILJ 1978 (LC) ....... 203
Molusi v Ngisiza Bonke Manpower Services CC (2009) 30 ILJ 1657 (CCMA) ............... 74
Monare v South African Tourism & others [2016] 2 BLLR 115 (LAC) ............................. 258
Mondi Ltd – Mondi Kraft Division v CEPPWAWU & others (2005) 26 ILJ 1458 (LC) ...... 469
Monyakeni and SA Police Service & others (2008) 29 ILJ 3111 (BCA) ......................... 181
Monyela & others v Bruce Jacobs t/a LV Construction (1998) 19 ILJ 75 (LC) ............ 104
Moses v Safika Holdings (Pty) Ltd (2001) 22 ILJ 1261 (CCMA) ........................................ 82
Moslemany v Unilever plc & another [2006] 12 BLLR 1167 (LC) ..................................... 34
Motala & another v University of Natal 1995 (3) BCLR 374 (G) ............................ 177, 189
Motaung v Department of Education & others (2013) ILJ 1199 (LC) .......................... 135
Roads & Public Works & others (2014) 35 ILJ 2492 (LC) ............................................. 230
574
Law@work
Page
Motor Industry Staff Association v Macun NO & others (2016) 37 ILJ 625 (SCA) ........ 503
Motsamai v Everite Building Products (Pty) Ltd [2011] 2 BLLR 144 (LAC) ............ 127, 134
Mozart Ice Cream Classic Franchises (Pty) Ltd v Davidoff & another
Mputle and Neotel (Pty) Ltd (2017) 38 ILJ 263 (CCMA) ................................................ 213
Msipho and Plasma Cut [2005] 26 ILJ 2276 (BCA) ......................................................... 217
Msomi v Protea Security Services [2004] 3 BALR 360 (CCMA) ..................................... 207
Mtati v KPMG Services (Pty) Ltd [2017] 3 BLLR 315 (LC) ................................................ 239
Muller v Unilong Freight Distributors (Edms) Bpk [1996] 2 BLLR 137 (LAC) ..................... 91
Murray v Minister of Defence [2008] 6 BLLR 513 (SCA) ......................................... 245, 247
Mutale v Lorcom Twenty Two CC (2009) 30 ILJ 634 (LC) .............................................. 133
Mutual and Federal Insurance Co Ltd v BIFAWU [1996] 4 BLLR 403 (A) ...................... 418
Naidoo v Minister of Safety & Security & another (2013) 34 ILJ 2279 (LC) .......... 142, 169
Nampesca (SA) Products (Pty) Ltd v Zaderer (1999) 20 ILJ 549 (C) .............................. 95
Nape v INTCS Corporate Solutions (Pty) Ltd [2010] 8 BLLR 852 (LC) .............................. 75
t/a Wolf Security & another [2009] 3 BLLR 229 (LC) ................................................... 361
Natal Die Casting (Pty) Ltd v President, Industrial Court & others
National Bargaining Council for the Road Freight Industry & another v
Carlbank Mining Contracts (Pty) Ltd & another [2012] 11 BLLR 1110 (LAC) ........... 258
(2004) 25 ILJ 2091 (BCA) ............................................................... 164, 288, 320, 321, 323
National Education Health & Allied Workers Union obo Tati and
National Labor Relations Board v Hearst Publications (1944) 322 US 111 ..................... 59
Table of cases
575
Page
National Union of Metal Workers of South Africa obo Fohlisa & others v
SA Five Engineering (Pty) Ltd & others (2007) 28 ILJ 1290 (LC) ................................... 71
Dunlop Mixing and Technical Services (Pty) Ltd (CCT 202/18, 28 Feb 2019) ........... 94
Aveng Trident Steel (A Division of Aveng Africa) (Pty) Ltd & another
General Motors of South Africa (Pty) Ltd [2009] 9 BLLR 914 (LC) ............................. 350
Johnson Controls Automotive SA (Pty) Ltd & others [2017] 5 BLLR 483 (LAC) ........ 275
(Casual Workers Advice Office as amicus curiae) 2019 (8) BCLR 966 (CC) .......... 305
South African Airways SOC Ltd & another [2017] 9 BLLR 867 (LAC) ................ 435, 481
National Union of Mineworkers & others v East Rand Gold & Uranium Co Ltd
2014 (3) SA 544 (CC), (2014) 35 ILJ 1929 (CC) ............................................ 280, 317, 396
576
Law@work
Page
obo Mani & others v National Lotteries Board [2013] 8 BLLR 743 (SCA) .................. 280
National Union of Textile Workers v Stag Packing (Pty) Ltd & another
Ncane v Lyster NO & others (2017) 38 ILJ 907 (LAC) ..................................................... 204
Ndamse v University College of Fort Hare & another 1966 (4) SA 137 (E) .................... 99
Ndikumdavyi v Valkenberg Hospital & others [2012] 8 BLLR 795 (LC) ......................... 238
Ndima v Waverley Blankets Ltd [1999] 6 BLLR 577 (LC) ................................................ 373
Ndlela & others and Philani Mega Spar (2016) 37 ILJ 277 (CCMA) ............................. 132
NEHAWU v University of Cape Town & others [2000] 7 BLLR 803 (LC) ......................... 367
NEHAWU v University of Cape Town & others [2002] 4 BLLR 311 (LAC) ....................... 367
(2003) 24 ILJ 95 (CC) ................................. 42, 45, 54, 55, 64, 83, 201, 367, 374, 378, 505
NEHAWU & others v University of Pretoria [2006] 5 BLLR 437 (LAC) .............................. 350
NEHAWU obo Barnes v Department of Foreign Affairs [2001] 6 BALR 539 (P) ............ 303
NEHAWU obo Thomas v Department of Justice (2001) 22 ILJ 306 (BCA) ................... 181
NEHAWU obo Zuma & KZN Legislature (2017) 38 ILJ 717 (CCMA) ............................... 151
Neuwenhuis v Group Five Roads & others [2000] 12 BLLR 1467 (LC) .......................... 345
New Clicks SA (Pty) Ltd v CCMA & others (2008) 29 ILJ 1972 (LC) .............................. 261
New Forest Farming CC v Cachalia & others [2003] 10 BLLR 105 (LC) ....................... 330
New Justfun Group (Pty) Ltd v Turner & others (2018) 39 ILJ 2721 (LC) ......................... 96
NEWU v CCMA & others [2004] 2 BLLR 165 (LC) .................................................... 199, 201
Ngema & others v Screenex Wire Weaving Manufacturers (Pty) Ltd & another
Ngobeni v Minister of Communications & another (2014) 35 ILJ 2506 (LC) ............... 230
Nicholson v East Rand Pty Mines Ltd 1910 WLD 235 ........................................................ 97
Nicosia v Workmen’s Compensation Commissioner 1954 (3) SA 897 (T) .................... 517
Niselow v Liberty Life Association of Africa Ltd (1998) 19 ILJ 752 (SCA) ........................ 63
NK v Minister of Safety & Security (2005) 26 ILJ 1205 (CC) ........................................... 157
Nkopane v Independent Electoral Commission [2007] 2 BLLR 146 (LC) ..................... 343
Nkosi v Embhuleni Tribal Authority [2007] JOL 19165 (CCMA) ..................................... 216
NM & others v Smith & others [2005] 3 All SA 457 (W) ................................................... 535
Nogcantsi v Mnquma Local Municipality & others (2017) 38 ILJ 595 (LAC) ....... 237, 256
Nokes v Doncaster Collieries Ltd [1940] All ER 549 (HL) ................................................ 365
Table of cases
577
Page
Norman Tsie Taxis v Pooe NO & others (2005) 26 ILJ 109 (LC) ...................................... 493
Commissioner Hambidge NO & others (1999) 20 ILJ 1910 (LC) ....................... 211, 431
Ntsabo v Real Security CC [2004] 1 BLLR 58 (LC) ............................................ 92, 127, 156
NUCCAWU v Transnet Ltd t/a Portnet [2001] 2 BLLR 203 (LC) ........................................ 81
NULAW v Barnard NO & another [2001] 9 BLLR 1002 (LAC) ......................................... 252
NUM v Council for Mineral Technology [1999] 3 BLLR 209 (LAC) ................................. 310
NUM v Ezulwini Mining Co (Pty) Ltd [2017] 1 BLLR 47 (LC) ............................................ 358
NUM v Libanon Gold Mining Co Ltd (1994) 15 ILJ 585 (LAC) ......................................... 91
NUM & another v CCMA & others [2009] 8 BLLR 777 (LC) ............................................ 254
NUM & others v Billard Contractors CC & another (2006) 27 ILJ 1686 (LC) ................ 315
NUM obo Snyders & others and Sonop Delwery [2005] 8 BLLR 858 (CCMA) ............. 456
NUMSA v Assign Services & others [2017] 10 BLLR 1008 (LAC) ....................................... 73
NUMSA v Staman Automatic CC & another [2003] 11 BLLR 1167 (LC) ....................... 384
NUMSA v Tiger Wheels Limited Group [2001] 12 BLLR 1353 (LC) .................................. 353
t/a Score Panelbeaters and Service Centre (1999) 20 ILJ 1851 (LC) ...................... 386
(2005) 26 ILJ 1984 (LC), [2005] 12 BLLR 1238 (LC) ....................................... 314, 317, 470
(2003) 24 ILJ 305 (CC) ........................................... 33, 48, 55, 83, 404, 408, 420, 450, 459
(2005) 26 ILJ 689 (SCA), [2005] 5 BLLR 430 (SCA) ............................................... 278, 505
NUMSA & others v Hendor Mining Supplies [2003] 10 BLLR 1057 (LC) ......................... 457
NUMSA & others v Pro Roof Cape (Pty) Ltd (2005) 26 ILJ 1705 (LC) ............................ 470
NUMSA & others v SA Five Engineering & others [2005] 1 BLLR 53 (LC) ....................... 356
NUMSA obo Fete & Formex Engineering (2003) 24 ILJ 2412 (BCA) .............................. 219
NUMSA obo members v Behr Climate & Control [2004] 3 BALR 364 (CCMA) ........... 412
Correctional Services & others [2008] 29 ILJ 2708 (LAC) ........................... 206, 219, 220
Nxumalo v Minister of Correctional Services & others (2016) 37 ILJ 177 (LC) ............. 224
Nxumalo & others v Industrial Contract Catering Services t/a Corporate Chefs
578
Law@work
Page
Oak Industries (SA) (Pty) Ltd v John NO (1987) 8 ILJ 756 (N) .......................................... 63
OCGAWU v Woolworths (Pty) Ltd [1997] 7 BALR 813 (CCMA) ..................................... 406
OCGAWU & another v Volkswagen of South Africa (Pty) Ltd & another
OCGAWU obo Member and KLK Landbou BPK (2009) 30 ILJ 2538 (CCMA) ............. 414
Oerlikon Electrodes SA v CCMA & others [2003] 9 BLLR 900 (LC) ................................ 298
[2007] 4 All SA 866 (SCA), [2007] 8 BLLR 699 (SCA) ...................... 41, 102, 283, 313, 502
Old Mutual Life Assurance Company (SA) [2003] 9 BALR 1052 (CCMA) ........ 406, 407
Ouwehand v Hout Bay Fishing Industries (2004) 25 ILJ 731 (LC) .................................. 238
Owen & others v Department of Health, KwaZulu-Natal (2009) 30 ILJ 2461 (LC) ...... 243
Oy Liikenne AB v Liskojärvi and Juntunen [2001] IRLR 171 (ECJ) ......................... 379, 380
Palluci Home Depot (Pty) Ltd v Herskowitz & others [2015] 5 BLLR 484 (LAC) ............ 330
Pam Golding Properties (Pty) Ltd v Erasmus & others (2010) 31 ILJ 1460 (LC) .............. 65
Parexel International (Pty) Ltd v Chakane NO & others (2018) 39 ILJ 644 (LC) .......... 319
Parliament of the RSA v Charlton [2010] 10 BLLR 1024 (LAC) ................ 67, 223, 229, 291
PE Rack 4100 CC v Sanders & others (2013) 34 ILJ 1477 (LAC) .................................... 385
Pedzinski v Andisa Securities (Pty) Ltd (formerly SCMB Securities (Pty) Ltd)
Perumal v Minister of Safety & Security & others [2001] 8 BLLR 953 (LC) ............. 219, 220
Perumall and Saficon Industrial Equipment (Pty) Ltd t/a Toyota Forklifts
Peteni and SA Police Service & another (2013) 34 ILJ 228 (BCA) ................................ 204
PFG Building Glass (Pty) Ltd v CEPPWAWU & others [2003] 5 BLLR 475 (LC) ....... 155, 534
Phaka & others v Bracks & others [2015] 5 BLLR 514 (LAC) ............................................ 63
Ex parte President of the Republic of South Africa 2000 (2) SA 674 (CC) ................ 54
Pharmaco Distribution (Pty) Ltd v EWN (2017) 38 ILJ 2496 (LAC) ................................. 121
Phenithi v Minister of Education & others (2006) 27 ILJ 477 (SCA) ............................... 256
Phillips v Fieldstone Africa (Pty) Ltd & another (2004) 25 ILJ 1005 (SCA)....................... 93
Photocircuit SA (Pty) Ltd v De Klerk NO & others (1991) 12 ILJ 289 (A) ....................... 429
Phutiyagae v Tswaing Local Municipality [2006] JOL 17477 (LC) ................................ 216
Picardi Hotels Ltd v FGWU [1999] 6 BLLR 601 (LC) ................................................. 453, 473
Pikitup Johannesburg (SOC) Ltd v Mutero (2019) 40 ILJ 1030 (LAC) ........................... 263
Pillay and Old Mutual Property (Pty) Ltd (2015) 36 ILJ 1961 (CCMA) .......................... 156
Table of cases
579
Page
Police & Prisons Civil Rights Union v SA Correctional Services Union & others
Minister of Correctional Services & another (2013) 34 ILJ 690 (LC) .......................... 134
Police & Prisons Civil Rights Union obo Dhanarajan and SA Police
Police & Prisons Civil Rights Union obo Sephanda & another v
Ponties Panel Beaters Partnership v NUMSA & others [2009] 2 BLLR 99 (LAC) ............ 374
[2010] 10 BLLR 1067 (LC), 2010 (9) BCLR 921 (LC) ...................................... 131, 273, 286
Porter Motor Group v Karachi [2002] 4 BLLR 357 (LAC) ........................................ 345, 346
(2014) 35 ILJ 2419 (LAC), [2012] 5 BLLR 509 (LC) ........................................................ 226
President of the Republic of South Africa v Hugo 1997 (4) SA 1 (CC) .......... 53, 122, 163
President of the Republic of South Africa & others v Reinecke
Pretoria City Council v Walker 1998 (2) SA 363 (CC) .................................................... 121
Pretorius v Compensation Commissioner & another (2010) 31 ILJ 1117 (O) .............. 518
Protekon (Pty) Ltd v CCMA & others [2005] 7 BLLR 703 (LC) ................ 202, 211, 212, 213
PSA obo Karriem v SAPS & another [2007] 4 BLLR 308 (LC) .................................. 143, 174
PSA obo Members v Minister of Health (2019) 40 ILJ 193 (LC) ..................................... 515
Security Services Bargaining Council and others [2014] 5 BLLR 484 (LC) ................ 255
Sectoral Bargaining Council & others (2007) 28 ILJ 1300 (LC) .................................. 428
Minister of Safety & Security & another (2012) 33 ILJ 1822 (LAC) ............................ 500
Constitutional Development & others [2001] 11 BLLR 1250 (LC) .............................. 459
580
Law@work
Page
Ramoroka and Robben Island Museum (2012) 33 ILJ 400 (CCMA) ............................ 204
Rand Tyres & Accessories (Pty) Ltd v Industrial Council for the
Motor Industry (Tvl), Minister for Labour & Minister for Justice
Rand Water Board v CCMA (2005) 26 ILJ 2028 (LC) ..................................................... 314
Randles v Chemical Specialities Ltd [2010] 7 BLLR 730 (LC) ................................ 231, 292
RAWUSA v Schuurman Metal Pressing (Pty) Ltd [2005] 1 BLLR 78 (LC) ........................ 357
Reddy v Siemens Telecommunications (Pty) Ltd (2007) 28 ILJ 317 (SCA) .............. 95, 96
Regent Insurance Co Ltd v CCMA & others (2013) 34 ILJ 410 (LC) ............................. 246
Reynhardt v University of South Africa (2008) 29 ILJ 725 (LC) .............................. 133, 144
Rheinmetall Denel Munition (Pty) Ltd v National Bargaining Council for the
Chemical Industry & others [2015] 6 BLLR 633 (LC) ................................................... 327
Road Accident Fund v Monjane (2007) 28 ILJ 2516 (SCA) .......................................... 515
Rubenstein v Price’s Daelite (Pty) Ltd (2002) 23 ILJ 528 (LC) ........................................ 251
Rubin Sportswear v SACTWU & others [2004] 10 BLLR 986 (LAC) ................................. 287
Maluti-A-Phofung Local Municipality 2017 (1) BCLR 64 (CC) ........... 372, 375, 376, 383
obo Bester and others [2018] 8 BLLR 107 (CC) ........................................................... 297
SA Airways v SATAWU & others (2006) 27 ILJ 1034 (LC) ................................................. 465
SA Airways (Pty) Ltd v Jansen van Vuuren & another (2014) 35 ILJ 2774 (LAC) ........ 215
SA Bank of Athens Ltd v Cellier NO & others (2009) 30 ILJ 197 (LC) ............................ 241
Table of cases
581
Page
SA Breweries (Pty) Ltd v Hansen & others [2016] 5 BLLR 516 (LC) ................................ 133
SA Breweries (Pty) Ltd v Hansen & others (2017) 38 ILJ 1766 (LAC) ............................. 297
SA Commercial & Allied Workers Union & others v JDG Trading (Pty) Ltd
SA Commercial Catering & Allied Workers Union v Irvin & Johnson Ltd
Woolworths (Pty) Ltd (2019) 40 ILJ 87 (CC) ......................................... 261, 262, 263, 342
SA Commercial Catering & Allied Workers Union obo Afrika & Swartz v
SA Equity Workers Association obo Bester v Rustenburg Platinum Mine & another (2017) 38 ILJ 1770 (LAC)
................................................................................................ 133
SA Maritime Safety Authority v McKenzie [2010] 5 BLLR 488 (SCA) ..................... 102, 503
SA Metal & Machinery Co (Pty) Ltd v Gamaroff [2010] 2 BLLR 136 (LAC) .......... 135, 288
SA Local Government Bargaining Council & others (2015) 36 ILJ 441 (LAC) ......... 248
(Pty) Ltd & others and the Outsourcing of Services’ (2005) 26 ILJ 66 ...................... 372
SA Municipal Workers Union obo Peterson v City of Cape Town & others
[2007] 9 BLLR 785 (CC) .................................................................... 51, 203, 397, 400, 420
SA Police Service v Gebashe & others (2016) 36 ILJ 1628 (LAC) ................................. 214
SA Police Service v Safety & Security Sectoral Bargaining Council & others (2012) 33 ILJ 453 (LC)
.................................................................................................... 246
(2010) 31 ILJ 2465 (LC); [2010] 10 BLLR 764 (LC) ......................................... 206, 219, 220
SA Police Service v Solidarity obo Barnard (Police & Prisons Civil Rights Union as amicus curiae) (2010) 31 ILJ
742 (LC) ............................................................. 133, 145
SA Post Office Ltd v Govender (2003) 24 ILJ 1733 (LC) ................................................. 493
582
Law@work
Page
SA Post Office Ltd v Mampuele [2010] 10 BLLR 1052 (LAC) ......................................... 237
SA Rugby Players’ Association (SARPA) & others v SA Rugby (Pty) Ltd & others; SA Rugby (Pty) Ltd v SARPU
& another [2008] 9 BLLR 845 (LAC) .............................. 242
SA Rugby (Pty) Ltd v CCMA & others [2006] 1 BLLR 27 (LC) ......................................... 241
SA Technical Officials Association v President of the Industrial Court
Khulani Fidelity Security Services (Pty) Ltd (2011) 32 ILJ 130 (LAC) .......................... 340
Transnet Freight Rail & another (2009) 30 ILJ 1692 (ARB) .................................. 121, 133
SAA (Pty) Ltd v SATAWU [2010] 3 BLLR 321 (LC) ............................................................. 463
SACCAWU v Garden Route Chalets (Pty) Ltd [1997] 3 BLLR 325 (CCMA) ......... 210, 435
SACCAWU v Southern Sun Hotel Interests (Pty) Ltd [2017] 1 BLLR 90 (LC) .................. 357
SACCAWU & another v Amalgamated Retailers (Pty) Ltd [2002] 1 BLLR 95 (LC) ...... 352
SACCAWU & another v Shakoane & others [2000] 10 BLLR 1123 (LAC) ..................... 486
SACTWU v Sheraton Textiles (Pty) Ltd [1997] 5 BLLR 662 (CCMA) ................................ 406
SACTWU v Stuttafords Department Stores Ltd (1999) 20 ILJ 2692 (LC) ........................ 475
SACTWU & others v Rubin Sportswear [2003] 5 BLLR 505 (LC) ...................................... 251
SACWU & another v NCP Chlorchem (Pty) Ltd [2007] 7 BLLR 663 (LC) ....................... 297
[1999] 10 BLLR 1005 (LAC), (1999) 20 ILJ 1718 (LAC) .......... 273, 274, 277, 278, 290, 470
SAEWA obo members v Aberdare Cables [2007] 2 BALR 106 (MEIBC) ...................... 216
Sajid v Mohamed NO & others [1999] 11 BLLR 1175 (LC) ............................................. 216
SALSTAFF obo Bezuidenhout v Metrorail [2001] 9 BALR 926 (AMSSA) ......................... 245
Salstaff obo Nel v Spoornet [1999] 4 BALR 524 (IMSSA) ................................................ 204
Samancor Tubatse Ferrochrome v MEIBC & others [2010] 8 BLLR 824 (LAC) ............. 254
Samancor Tubatse Ferrochrome v Metal & Engineering Industries
Bargaining Council & others (2010) 31 ILJ 1838 (LAC) .............................................. 318
SAMWU v Jada & others (2003) 22 ILJ 1344 (W) ............................................................ 421
SAMWU v Rand Airport Management Co Ltd [2005] 3 BLLR 241 (LAC) ...................... 371
SAMWU & another v SALGA & others [2010] 8 BLLR 882 (LC) ...................................... 386
Sanders v Cell C Provider Co (Pty) Ltd & others (2010) 31 ILJ 2722 (LC) ..................... 385
SANDU v Minister of Defence & another 1999 (4) SA 469 (CC) ................................... 396
SA National Defence Union & others [2006] 11 BLLR 1043 (SCA) ..................... 418, 420
Sanlic House of Locks (Pty) Ltd v Strydom (2014) 35 ILJ 2287 (LC) ............................... 385
Sappi Fine Papers v PPWAWU (1998) 19 ILJ 246 (SE) ..................................................... 501
Sappi Forests (Pty) Ltd v CCMA & others (2009) 30 ILJ 1140 (LC) ........................ 216, 219
Sappi Novaboard (Pty) Ltd v Bolleurs (1998) 19 ILJ 784 (LAC) ..................................... 300
Sappi Novaboard (Pty) Ltd v Bolleurs [1998] 5 BLLR 460 (LAC) .............................. 93, 103
SAPS v Safety & Security Bargaining Council [2010] 8 BLLR 892 (LC) .......................... 205
SAPTU obo members v Mbete [2003] 10 BALR 1182 (CCMA) ...................................... 414
Table of cases
583
Page
SASBO v Bank of Lisbon International (1993) 14 ILJ 394 (IC) ......................................... 530
[2012] 10 BLLR 959 (CC), 2012 (8) BCLR 840 (CC) .......................................... 47, 52, 474
Fidelity Supercare Cleaning Services Group (Pty) Ltd [2015] 8 BLLR 837 (LC) ........ 240
SATAWU obo Finca v Old Mutual Life Assurance Company (SA) Ltd & another
Schmidt v Spar und Leihkasse der Fruheren Amter Bordesholm, Kiel und
Schoeman v Samsung Electronics SA (Pty) Ltd [1997] 10 BLLR 1364 (LC) ........... 200, 211
Schutte & others v Powerplus Performance (Pty) Ltd (1999) 20 ILJ 655 (LC) .............. 369
Securicor (SA) (Pty) Ltd v Lotter (2005) 26 ILJ 1029 (E) .................................................. 387
Semenya v CCMA & others [2006] 6 BLLR 521 (LAC) .................................................... 315
Shoprite Checkers (Pty) Ltd v CCMA & others (2008) 29 ILJ 2581 (LAC) .................... 300
Shoprite Checkers (Pty) Ltd v Ramdaw NO & others (2001) 22 ILJ 1515 ............ 497, 498
Shoprite Checkers (Pty) Ltd v Samka & others [2018] 9 BLLR 922 (LC) ........................ 157
Sibiya and Mhlathuze Water (2008) 29 ILJ 2633 (CCMA) ..................................... 216, 219
Sidumo v Rustenburg Platinum Mines Ltd & others [2007] 12 BLLR 1097 (CC) ........... 259
[2007] 12 BLLR 1097 (CC) .......................................................... 40, 41, 295, 310, 490, 499
Sikhosana v Sasol Synthetic Fuels (2000) 21 ILJ 649 (LC) ............................................... 351
Simba (Pty) Ltd v FAWU [1997] 5 BLLR 602 (LC) .............................................................. 452
Sime Darby Hudson & Knight (Pty) Ltd v Lerena (2018) 39 ILJ 2413 (WCC) ................ 299
Simela & others v MEC for Education, Province of the Eastern Cape & another
Simmers v Campbell Scientific Africa (Pty) Ltd (2014) 35 ILJ 2866 (LC) ...................... 127
Simmers v Campbell Scientific Africa (Pty) Ltd & others [2014] 8 BLLR 815 (LC) ........ 304
(SA National Council for the Blind as amicus curiae) (2013) 34 ILJ 2807 (EqC) ..... 134
Singh & others v Mondi Paper (2000) 21 ILJ 966 (LC) .................................................... 346
Sisonke Partnership t/a DSV Healthcare v Medtronic SA (Pty) Ltd & others
584
Law@work
Page
Sithole v Nogwaza NO & others (1999) 20 ILJ 2710 (LC) ............................................... 211
Skinner v Minister of Public Works & another [1998] JOL 4223 (SE) .............................. 515
Skorbinski v Bezuidenhout t/a DB Transport (2009) 30 ILJ 2847 (EC) ............................ 522
1979 (1) SA 51 (A) ................................................................ 60, 62, 63, 64, 67, 90, 93, 100
[2016] 12 BLLR 1239 (LC), (2017) 38 ILJ 483 (LC) ......................................... 134, 265, 288
Solid Doors (Pty) Ltd v Commissioner Theron & others (2004) 25 ILJ 2337 (LAC) ........ 246
Solidarity v Minister of Safety & Security (Police & Prisons Civil Rights Union as amicus curiae) (2016) 37 ILJ
1012 (LC) ....................................................................... 170
Welfare Sectoral Bargaining Council & others [2013] 4 BLLR 362 (LAC) ................. 255
Solidarity & others and Department of Correctional Services & others
(2016) 37 ILJ 1995 (CC) ......................................................... 164, 171, 188, 189, 191, 206
Solidarity obo Barnard v SA Police Service (2010) 31 ILJ 742 (LC) ....................... 133, 144
Regslui vir Afrikaans as amicus curiae) (2014) 35 ILJ 416 (SCA) ............................... 133
Solidarity obo Christiaans v Eskom Holdings Ltd (2006) 27 ILJ 1291 (ARB) .................. 178
Solidarity obo Kotze v PHWSBC & others [2010] 11 BLLR 1203 (LC).............................. 255
Solidarity obo Van der Walt & others v SA Police Service & others
Sondlo / University of Fort Hare [2011] 5 BALR 551 (CCMA) ......................................... 332
South Africa (SOC) Ltd v CCMA & others [2016] 5 BLLR 461 (LC) ................................ 331
South African Airways (Pty) Ltd v Aviation Union of South Africa & others
South African Airways (Pty) Ltd v GJJVV [2014] 8 BLLR 748 (LAC) ............... 135, 139, 141
Broadcasting Corporation Pension Fund & others [2019] 2 BPLR 332 (GJ) ............. 530
Ethekwini Municipality & others [2016] 12 BLLR 1208 (LAC) ...................................... 301
South African Police Service v Police and Prisons Civil Rights Union &
South African Police Services v Solidarity obo Barnard [2013] 3 BCLR 320 (LAC) ...... 133
2017 (1) SA 549 (CC), 2017 (2) BCLR 241 (CC) ................................................... 261, 298
Table of cases
585
Page
Mediation and Arbitration and others [2014] 1 BLLR 41 (LAC) ................................. 316
South African Transport and Allied Workers Union v Garvis & others
South African Transport and Allied Workers Union (SATAWU) & others v
Southern v Franks Charlesly and Co [1981] IRLR 278 (CA) ........................................... 239
Southern Life Association v CCMA [2001] 3 BLLR 375 (LC) ........................................... 500
Southern Sun Hotel Interests (Pty) Ltd iro Southern Sun Waterfront Hotel v
Standard Bank of South Africa v CCMA & others [2008] 4 BLLR 356 (LC) .................. 322
State Information Technology Agency (SITA) (Pty) Ltd v CCMA & others
Steenkamp v Edcon Limited 2016 (3) BCLR 311 (CC) .................................................. 358
Stewart Wrightson (Pty) Ltd v Thorpe 1977 (2) SA 943 (A) ............................................ 100
Stojce v University of KZN (Natal) & another [2007] 3 BLLR 246 (LC) ... 133, 134, 136, 141
2002 (3) SA 468 (T), [2002] JOL 9408 (T) ....................................................................... 143
Stoman v Minister of Safety & Security & others (2002) 23 ILJ 1020 (LC) ............. 176, 177
Strategic Liquor Services v Mvumbi NO & others [2009] 9 BLLR 847 (LC) .................... 219
Stratford & others v Investec Bank Ltd & others (2015) 36 ILJ 583 (CC) ........................ 97
Sun Couriers (Pty) Ltd v CCMA & others (2002) 23 ILJ 189 (LC) ................................... 328
SVA Security (Pty) Ltd v Makro (Pty) Ltd – a Division of Massmart & others
(a division of Sterikleen (Pty) Ltd) (2010) 31 ILJ 180 (LC) ................................... 127, 134
Swart v Mr Video (Pty) Ltd (1998) 19 ILJ 1315 (CCMA) ................................................. 130
TDF Network Africa (Pty) Ltd v Faris [2019] 2 BLLR 127 (LAC) ........................................ 287
TDF Network (Pty) Ltd v Farris (2019) 40 ILJ 326 (LAC) ................................................... 135
TEK Corporation Provident Fund v Lorentz (1999) 20 ILJ 2797 (SCA) ........................... 529
TEK Corporation Provident Fund & others v Lorentz [2000] 3 BPLR 227 (SCA) ............ 531
Tekwini Security Services v Mavana (1999) 20 ILJ 2721 (LC) ................................ 369, 381
586
Law@work
Page
TGWU v Bayete Security Holdings (1999) 20 ILJ 1117 (LC) ............................................ 137
Tharatt v Volume Injection Products (Pty) Ltd [2005] 6 BALR 652 (MEIBC) ......... 207, 326
Thekiso v IBM South Africa (Pty) Ltd [2007] 3 BLLR 253 (LC) .................................. 174, 347
Themba v Mintroad Sawmills (Pty) Ltd [2015] 2 BLLR 174 (LC) ..................................... 262
Themba and African Meter Reading (2013) 34 ILJ 2159 (CCMA) ............................... 216
Thiso & others v Moodley NO & others (2015) 36 ILJ 1628 (LC) .................................... 215
Tibbett and Britten (South Africa) (Pty) Ltd v Marks & others
Tiger Wheels Babelegi (Pty) Ltd v NUMSA (1999) 20 ILJ 677 (LC) ................................. 462
Unitrans Supply Chain Solutions (Pty) Ltd & others [2014] 10 BLLR 974 (LAC) ......... 377
TMT Services & Supplies (Pty) Ltd v Commission for Conciliation, Mediation & Arbitration & others (2019) 40
ILJ 150 (LAC) ............................................................... 301
Toyota SA Motors (Pty) Ltd v Radebe & others (2000) 21 ILJ 340 (LAC) ...................... 300
Trans-Caledon Tunnel Authority v CCMA & others [2013] 9 BLLR 934 (LC) ................. 214
Transnet Ltd v CCMA & others (2008) 29 ILJ 1289 (LC) ................................................. 264
Transnet Ltd v CCMA & others [2001] 6 BLLR 684 (LC) .................................................. 210
Transnet Ltd & others v Chirwa [2007] 1 BLLR 10 (SCA) ................................................. 498
Transnet Rail Engineering v Mienies & others [2015] 11 BLLR 1144 (LAC) .................... 324
Transport & Allied Workers Union of SA v Putco Ltd (2016) 37 ILJ 1091 (CC) .............. 476
Transport & Allied Workers Union of SA v Transnet (Pty) Ltd & others
Unitrans Fuel & Chemical (Pty) Ltd (2016) 37 ILJ 2485 (CC) ............................. 276, 454
Transportation Motor Spares v NUMSA (1999) 20 ILJ 690 (LC) ...................................... 462
Trio Glass t/a The Glass Group v Molapo NO & others (2013) 34 ILJ 2662 (LC) .......... 253
TSB Sugar RSA Ltd (now RCL Food Sugar Ltd) v Dorey (2019) 40 ILJ 1224 (LAC) ........ 292
Tshaka and Vodacom (Pty) Ltd (2005) 26 ILJ 568 (CCMA) .................................. 321, 323
[2007] 4 BLLR 327 (LC) ................................................................... 224, 225, 226, 227, 291
TSI Holdings (Pty) Ltd & others v NUMSA & others [2006] 7 BLLR 631 (LAC) ......... 454, 455
Tsietsi v City of Matlosana Local Municipality & another (2015) 36 ILJ 2158 (LC) ...... 216
Twalo v Minister of Safety & Security & another (2009) 30 ILJ 1578 (Ck) ..................... 518
UASA v Impala Platinum Ltd & others [2010] 9 BLLR 986 (LC) ...................................... 409
UASA obo Davidtz & others v Kloof Gold Mining Company Ltd
UASA obo Zulu and Transnet Pipelines (2008) 29 ILJ 1803 (ARB) .......................... 127, 129
Uber Technology Services (Pty) Ltd v National Union of Public Service and
Allied Workers (NUPSAW) and others [2018] 4 BLLR 399 (LC) .................................. 6, 59
United Association of South Africa obo Members/De Keur Landgoed (Edms) Bpk
Table of cases
587
Page
University of Cape Town v Auf der Heyde [2001] 12 BLLR 1316 (LAC) ................ 142, 242
University of SA v Solidarity obo Marshall & others (2009) 30 ILJ 2146 (LC) ................. 219
University of South Africa v Reynhardt (2010) 31 ILJ 2368 (LAC) .......................... 133, 144
UPUSA obo members v Harmony Gold Mine [2003] 9 BALR 1062 (CCMA) ................ 409
Uys v Imperial Car Rental (Pty) Ltd (2006) 27 ILJ 2702 (LC) ........................................... 284
Bargaining Council & others [2006] 11 BLLR 1125 (LC) .............................................. 493
Van Alphen v Rheinmetall Denel Munition (Pty) Ltd (2013) 4 ILJ 3314 (LC) ............... 224
Van Blerk and Tshwane University of Technology (2012) 33 ILJ 1248 (CCMA) ........... 204
Van der Merwe and Agricultural Research Council (2013) 34 ILJ 3366 (CCMA) ...... 319
Van der Velde v Business and Design Software (Pty) Ltd & another (1)
Van Zyl v Workmen’s Compensation Commissioner 1995 (1) SA 708 (N) ................... 515
Vanadium Technology (Pty) Ltd v NUMSA (1997) 18 ILJ 740 (LC) ....................... 475, 476
Vidar Rubber Products (Pty) Ltd v CCMA & others (1998) 19 ILJ 1275 (LC) ................ 422
Viney v Barnard Jacobs Mellet Securities (Pty) Ltd (2008) 29 ILJ 1564 (LC) ................ 264
Visser v Mopani District Municipality & others [2012] 3 BLLR 266 (SCA) .............. 261, 263
Vodacom (Pty) Ltd v CWU [2010] 8 BLLR 836 (LAC) ............................. 405, 457, 458, 459
Vodacom (Pty) Ltd v Motsa & another [2016] 5 BLLR 523 (LC) ............................. 95, 100
[2010] 2 BLLR 128 (SCA), (2009) 30 ILJ 2333 (SCA) ............................................... 93, 299
Wagenaar v United Reform Church in SA [2005] 1 BALR 127 (CCMA) ....................... 332
Waltons Stationery Co (Edms) Bpk v Fourie 1994 (4) SA 507 (O) ................................... 95
Wardlaw v Supreme Mouldings (Pty) Ltd (2004) 25 ILJ 1094 (LC) ................................ 243
Wardlaw v Supreme Mouldings (Pty) Ltd (2007) 28 ILJ 1042 (LAC) ............................. 258
Wardlaw v Supreme Mouldings (Pty) Ltd [2007] 6 BLLR 487 (LAC) .............................. 283
588
Law@work
Page
Waverley Blankets Ltd v CCMA [2001] 1 BLLR 114 (LC) ................................................ 435
Waverley Blankets Ltd v CCMA
[2003] 3 BLLR 236 (LAC), (2003) 24 ILJ 388 (LAC) ................................................ 373, 435
Welch v Kulu Motors Kenilworth (Pty) Ltd & others (2013) 34 ILJ 1804 (LC) ................. 373
Sectoral Bargaining Council & others [2013] 8 BLLR 834 (LC) .................................. 247
White v Medpro Pharmaceuticals (Pty) Ltd [2000] 10 BALR 1182 (CCMA) ................ 328
Whitehead v Woolworths (Pty) Ltd (1999) 20 ILJ 2133 (LC) .......................... 134, 139, 239
Willemse v Patelia NO & others [2007] 2 BLLR 164 (LC) ......................................... 143, 182
Woolworths (Pty) Ltd v Mabija & others [2016] 5 BLLR 454 (LAC) ................................ 260
Woolworths (Pty) Ltd v Whitehead (2000) 21 ILJ 571 (LAC) .......................................... 134
WUSA v Crouse NO & another [2005] 11 BLLR 1156 (LC) .............................................. 421
Wyeth SA (Pty) Ltd v Manqele & others [2005] 6 BLLR 523 (LAC) .................... 62, 64, 239
Wylie v Standard Executors & Trustees (2006) 27 ILJ 2210 (CCMA) ............................. 321
Xstrata South Africa (Pty) Ltd (Lydenburg Alloy Works) v National Union of
Mineworkers obo Masha & others [2017] 4 BLLR 384 (LAC) ...................................... 261
Y
Yeni v South African Broadcasting Corporation [1997] 11 BLLR 1531 (CCMA) ......... 208
Zabala v Gold Reef City Casino [2009] BLLR 94 (LC) .................................................... 135
Zapop (Pty) Ltd v CCMA & others [2016] 9 BLLR 910 (LAC) ......................................... 266
Zondi v PPM Security Services (Pty) Ltd (2009) 30 ILJ 981 (CCMA) .............................. 334
Table of statutes
Page
Page
75 of 1997 – continued
s 33 ........................................................ 497
s 22 ........................................................ 110
s 23 ........................................................ 323
48 of 1953 ............................................... 13
s 23(2) .................................................... 110
s 27 ........................................................ 106
3 of 1983
s 1(1) ........................................................ 62
s 31 ........................................................ 112
s 32 ........................................................ 111
Ch 3 ....................................................... 109
Ch 8 ....................................................... 459
Ch 10 ..................................................... 484
s 2(a) ....................................................... 44
s 37 ........................................................ 112
s 9 .......................................................... 115
s 38 ........................................................ 113
s 11 ........................................................ 109
s 12 ........................................................ 109
s 15 ........................................................ 108
s 16 ........................................................ 108
s 18 ........................................................ 108
s 46 ........................................................ 114
s 20 ........................................................ 106
s 47 ........................................................ 114
589
590 Law@work
Page Page
75 of 1997 – continued
s 48 ........................................................ 114
s 49 ........................................................ 115
s 50 ........................................................ 115
s 55 ........................................................ 149
130 of 1993 ... 62, 65, 68, 83, 515, 516, 523
s 1(xix)(v) ................................................. 69
s 59 ........................................................ 183
s 64 ........................................................ 112
s 65 ........................................................ 484
s 37 ........................................................ 519
s 69 ........................................................ 542
s 70 ........................................................ 542
Ch 2 ......................................................... 32
s 8 ............................................................ 41
s 77 ........................................................ 116
s 8(2) ........................................................ 41
s 8(3) ........................................................ 41
s 83A ........................................................ 65
s 84 ........................................................ 358
s 14 .......................................................... 40
s 15 ........................................................ 396
s 16 ........................................................ 472
s 19 ........................................................ 396
s 22 .................................................... 40, 95
Table of statutes
591
Page Page
Act 55 of 1998
s 27 .................................................... 40, 54
s 28 ........................................................ 113
s 32 .......................................................... 40
284, 304, 320, 321, 483, 484, 488
s 34 ........................................................ 391
s 2 .......................................................... 123
s 167(4)(a) ............................................... 54
s 167(7) .................................................... 54
s 3 ............................................................ 34
s 172(1)(A) .............................................. 54
s 5 .......................................................... 124
s 173 ........................................................ 41
s 223 ........................................................ 34
s 27(4) ...................................................... 47
592 Law@work
Page Page
– continued
– continued
s 28 ........................................................ 184
s 29 ........................................................ 184
s 34 ........................................................ 184
s 36 ........................................................ 185
s 14 ........................................................ 174
s 41 ........................................................ 159
s 42 ........................................................ 187
s 48 ........................................................ 159
s 49 ........................................................ 192
s 54 ........................................................ 184
s 23 ........................................................ 191
s 57 ........................................................ 179
s 24(1) .................................................... 179
s 25 ........................................................ 182
s 27 ........................................................ 183
Table of statutes
593
Page Page
76 of 1998
s 49(3) ...................................................... 77
s 2 .......................................................... 538
s 24 .......................................................... 60
s 4 .......................................................... 538
28 of 1956 ............................................... 13
s 5(1) ........................................................ 76
s 9(4A) ..................................................... 97
s 7 ............................................................ 76
s 8 .......................................................... 538
s 8(1) ........................................................ 77
s 8(2)(b) ................................................... 77
s 98A ........................................................ 97
s 8(2)(c) ................................................... 77
s 9 .......................................................... 538
s 10(1) ...................................................... 76
s 12 ........................................................ 541
s 13 ........................................................ 538
s 13(1) ...................................................... 76
s 13(2) ...................................................... 76
s 13(3) ...................................................... 76
s 15(1) ...................................................... 76
s 1(1) ........................................................ 62
s 48 ........................................................ 541
s 1(3)(d) ................................................... 71
s 49 ........................................................ 541
s 50 ........................................................ 541
s 2 .......................................................... 538
s 3 .......................................................... 539
s 4 .......................................................... 538
2014
26 of 2013
Ch VI ..................................................... 421
H
preamble ................................................ 47
594 Law@work
Page Page
66 of 1995 – continued
– continued
s 18 ........................................................ 409
s 19 ........................................................ 409
s 3 ............................................................ 34
s 3(b) ....................................................... 54
s 10 ........................................................ 400
s 11 ........................................................ 404
s 27 ........................................................ 427
s 28 ........................................................ 429
s 29 ........................................................ 427
s 17 ........................................................ 410
Table of statutes
595
Page Page
66 of 1995 – continued
66 of 1995 – continued
s 30 ........................................................ 428
s 37 ........................................................ 430
s 43 ........................................................ 492
s 45 ........................................................ 491
s 70 ........................................................ 460
s 52 ........................................................ 492
s 72 ........................................................ 461
s 75 ........................................................ 461
s 62 ........................................................ 491
s 78 ........................................................ 441
s 80 ........................................................ 440
s 84 ........................................................ 516
s 86 ........................................................ 491
s 89 ........................................................ 491
s 92 ........................................................ 445
s 94 ........................................................ 491
596 Law@work
Page Page
66 of 1995 – continued
66 of 1995 – continued
s 115 ........................................................ 17
s 185 ........................................................ 63
597
Page Page
– continued
– continued
s 198 ........................................................ 71
s 198(3) .................................................... 72
s 198(4B)(a) ............................................. 74
s 198(4D) ................................................. 74
598 Law@work
Page Page
– continued
s 198(4F) .................................................. 76
s 198(5) .................................................... 78
s 198A(1) ................................................. 72
s 198A(3)(a) ............................................ 72
Merchant Shipping
s 198A(3)(b) ............................................ 74
s 198A(3)(b)(i) ......................................... 73
Act 29 of 1996
s 198B(2) .................................................. 78
s 198B(4) .................................................. 78
s 198B(6) .................................................. 79
s 198B(8) .................................................. 79
s 52 ........................................................ 358
s 198B(9) .................................................. 79
s 198B(10) ................................................ 79
s 198C................................................ 70, 72
Labour Council Act 35 of 1994 ............ 16
s 198C(1)(a) ............................................ 80
s 5(1)(c) ................................................... 16
s 198C(1)(b)(i) ........................................ 80
s 198C(1)(b)(ii) ........................................ 80
s 198C(2) ................................................. 80
s 198C(3)(a) ............................................ 80
s 3 .......................................................... 106
s 198C(3)(b) ............................................ 80
s 4 .......................................................... 107
s 198C(5) ................................................. 80
s 198C(6) ................................................. 80
s 4 .......................................................... 540
9 of 2018
s 200A(2) ................................................. 62
s 200A(4) ................................................. 62
s 200B ...................................................... 85
Works Act 78 of 1973 ..................... 98, 515
s 1 ............................................................ 69
Act 6 of 2014
2000
Table of statutes
599
Page Page
s 13 ........................................................ 530
– continued
s 14 ........................................................ 529
Act 4 of 2000
Act 17 of 2011
s 23(1) ...................................................... 81
s 1 .......................................................... 126
s 11 .................................................... 47, 48
s 1 .......................................................... 291
97 of 1998
Act 9 of 1999
s 1 .......................................................... 539
s 6 .......................................................... 225
600 Law@work
Page Page
97 of 1998 – continued
63 of 2001– continued
s 3 .......................................................... 537
s 4 .......................................................... 539
s 5 .......................................................... 539
s 10 ........................................................ 539
s 11 ........................................................ 539
s 12 ........................................................ 539
s 13 ........................................................ 539
s 14 ........................................................ 539
s 15 ........................................................ 539
s 16 ........................................................ 539
s 18 ........................................................ 539
s 22 ........................................................ 540
s 27 ........................................................ 539
s 2 .......................................................... 540
s 6 .......................................................... 540
s 8 .......................................................... 540
s 11 ........................................................ 542
s 12 ........................................................ 542
s 14 ........................................................ 542
s 17 ........................................................ 107
s 65 ........................................................ 527
63 of 2001
Index
Page
Page
defence to unfair
conduct justifying dismissal ........ 296–297
degrees of
economically active
numerical goals
affirmative action
177–178, 181n
601
602 Law@work
Page Page
closed shop or
287–288
appeal
appearance-based
arbitration
488–489
criticism of centralised
dispute resolution
unfair discrimination
Act 75 of 1997
Index
603
Page Page
belief
benefits
birth
collective agreement
breach of contract
regulatory function of
binding effect
bargaining council
bargaining council
Charter of Fundamental
variation of employment
citizenship
place forum
closed shop
604 Law@work
Page Page
calculation of
trade union
compensation........................ 520–521
dependants of deceased
scheduled or non-scheduled
overview ................................................. 17
488–489, 495
Commission for
contractual conditions
compensation
and diseases
Index
605
Page Page
conscience
interim Constitution
continued employment
disciplinary enquiry or
organisations
procedural fairness of
contract of employment
re-opening disciplinary
employer obligations
enforcement of conditions of
appropriateness of
consistent application
validity or reasonableness
606 Law@work
Page Page
disabled person
cultural belief
absence from
reasonable
CV
discipline
D
workplace .............................. 302–303
justifying dismissal
damages
death
unfair discrimination
unfair dismissal
exclusion from LRA ................................ 50
trade union
worker, as ............................................... 46
demotion
dismissal
Department of Employment
strikers
based on operational
requirements
Director-General
consultation process
director of company
identifying appropriate
Index
607
Page Page
requirements – continued
classification of disputes
480–482, 488–489
determining appropriate
480–481, 482
employee becoming
collective agreement
large-scale retrenchments
notice of termination of
conditions of employment
notice of contemplation of
operational requirements:
procedural fairness
determining appropriate
domestic worker
large-scale
strike and
e-lancer ................................................. 5, 59
1998
608 Law@work
Page Page
employee .................................................. 59
factors to be
independent contractor
application by Director-General to
working ............................................. 64
employee obligations
employer obligations
records .................................................. 183
employment relationship
employers’ organisation
definition............................................... 421
employment services
employment agency
application of statutory
services
overview ................................................. 15
Index
609
Page Page
unfair discrimination
Charter of Fundamental
essential services
definition....................................... 459–460
Universal Declaration of
ethnic origin
F
genuineness of trade union ................... 422
family responsibility
farm workers
harassment
fixed-term contract
definition................................................. 77
exclusions ............................................... 72
High Court,
high-earning employee
presumption of employment,
foreign national
definition........................................... 76–77
HIV/AIDS
Page Page
HIV/AIDS – continued
inherent requirements
insolvency of employer
medical insurance
suspension of employment
transfer of business as
investigation and
reasonable
Committee on Freedom of
supervening impossibility of
Association ....................................... 30
Employment Relations
incapacity
establishment ......................................... 23
definition............................................... 318
independent contractor
South African
employee distinguished ........... 60–61, 63
temporary employment
standards
Industrial Conciliation
relevance in
Index
611
Page Page
(ILO) – continued
Organization
on occupational detriment .......... 231
labour inspector
labour law
judicial review
jurisdiction
494–496, 500–504
association
constitutionalisation .............................. 10
Labour Court
conciliation as jurisdictional
conditions of employment
organise
leave
612 Law@work
Page Page
leave – continued
medical insurance
legal representation
not permitted at
member of parliament
lock-out
mental health
definition............................................... 475
merchant shipping
collective agreement
exclusion from BCEA ........................... 107
unprotected lock-out,
minimum services
magistrates’ courts
Commission ...................................... 15
maintenance services
definition............................................... 460
dismissal
misrepresentation of
marital status
maternity leave
matter of
provisions ........................................ 124
Labour Council
Index
613
Page Page
function .................................................. 16
structure .................................................. 16
overtime
wage
parliamentary service
part-time employee
exclusions ............................................... 80
pension fund
nationality
negligence
transfer of business as
temporary employment
police
political opinion
occupational injuries and diseases
safe working
investigation and
614 Law@work
Page Page
on occupational
automatically unfair
immunities
breach of contract or
non-union
probation
certificate of outcome or
substantive limitations
collective agreement
protest action
protected disclosure
provident fund
defined contribution or
interdicting
transfer of business as
going concern ............................... 388
occupational detriment:
Index
615
Page Page
remuneration – continued
public service
definition............................................... 430
transfer of business,
qualifications
retirement
race
continuation in employment
reasonable
on operational requirements
termination of employment
definition............................................... 340
on operational requirements
reinstatement or re-employment
change in representative
employee acceding to
Charter of Fundamental
remuneration
deductions
616 Law@work
Page Page
notice of intention to
strike securing
sufficiently representative
sexual harassment
SADC .......................................................... 35
safe working
sexual orientation
second-generation
shop steward
secondary strike
automatically unfair
definition....................................... 465–466
Secret Service
institutes in Department of
sectoral determination
levies
wages ..................................................... 97
senior management
settlement or waiver
National Qualifications Framework ... 540
severance pay
Index
617
Page Page
statutory council
training – continued
demanding supervisor’s
dismissal of strikers
based on operational
disputes of right
definition............................................... 512
refusal to do work
remedying grievance or
retardation or obstruction
(SADC)
Charter of Fundamental
unprotected strike,
state contract
sufficiently representative
618 Law@work
Page Page
supervening impossibility of
334–335
supervening impossibility of
appeal from
334–335
suspension
taxation
shop steward
teacher
definition................................................. 71
conscientious objection to
automatic termination of
Defence Force
independent contractors
distinguished .................................... 72
protection of employees
termination of employment
unfair dismissal
409, 428n
by employer, with or
organise
methods ................................................. 99
Index
619
Page Page
representativeness
concern – continued
sufficiently representative
377–384
temporary employment
participate in ................................... 46
training
automatically unfair
automatically unfair
objection to transfer of
defences
inherent requirements
second-generation
620 Law@work
Page Page
remedies – continued
resignation subsequently
termination of employment by
proving discrimination
and employee ............................... 199
linking to ground of
unfair dismissal
unfair dismissal
commissioner’s approach to
Universal Declaration of
unlawful dismissal
remedies
vicarious liability
Index
621
Page Page
working time
voluntarism ................................................ 51
volunteer
workplace
consultation with
warnings
winding-up
Commission for
young worker
work permit
forum
Document Outline
Cover
Half Title
Title Page
Copyright Page
Preface
Contents
CHAPTER 1 Introduction
1 The discipline of labour law
2 Perspectives on labour law in a South African context
2.1 The libertarian perspective
2.2 A social justice perspective
3 The evolution of employment law in South Africa
3.1 Pre-1995 labour legislation
3.2 The post-1994 era
4 Key labour market institutions: A brief overview
5 The future
CHAPTER 2 International labour standards
1 Introduction
2 The International Labour Organization
3 The structure of the ILO
4 ILO standards
5 Core standards
6 The ILO’s supervisory bodies and mechanisms
6.1 The Committee of Experts on the Application of Conventions and Recommendations
6.2 The Conference Committee on the Application of Standards
6.3 Article 24 complaints
6.4 Article 26 complaints
6.5 The Committee on Freedom of Association
7 The ILO in the era of globalisation
8 The application of international labour standards in South African law
8.1 Statutory recognition and incorporation of ILO standards
8.2 Other statutory injunctions regarding international standards
9 Regional instruments
9.1 South African Development Community (SADC)
10 International developments affecting corporate entities
10.1 The UN Global Compact
CHAPTER 3 The constitutional framework
1 Introduction
2 Section 23(1): The right to fair labour practices
3 Section 23(2) and (3): The right to form, join and participate in the activities of a trade union and
employers’ organisation
4 Section 23(4): Trade union and employers’ organisation rights
5 Section 23(5): The right to engage in collective bargaining
6 Section 23(6): Union security arrangements
7 Limitation of rights
8 Jurisdictional issues
CHAPTER 4 The elusive employee and non-standard employment
1 Introduction
2 Origins of the discourse
3 International guidelines
4 Identifying the elusive ‘employee’
4.1 Introduction
4.2 Interpreting the definition of ‘employee’
4.3 Presumption of employment
4.4 Social security legislation
5 Regulation of non-standard employment
5.1 Introduction
5.2 Temporary employment services
5.2.1 Background
5.2.2 Protection of TES employees in terms of the LRA
5.2.3 The Employment Services Act of 2014
5.3 Fixed-term employees
5.4 Part-time employees
6 Casual work
7 Unauthorised and illegal work
8 Who is the employer?
CHAPTER 5 Common-law and statutory conditions of employment
1 Introduction
2 Obligations of the employee
2.1 To report for duty and to render competent services
2.2 To be respectful and obey lawful instructions
2.3 To render services in good faith
2.3.1 Introduction
2.3.2 A strict ‘catch-all’ obligation
2.3.3 Restraint of trade
3 Obligations of the employer
3.1 To remunerate the employee
3.2 To provide safe working conditions
3.3 To treat the employee with respect and dignity
4 Termination, breach of contract and remedies
4.1 Termination of the contract of employment
4.2 Breach of contract and common-law remedies
5 Contractual agreement and variation of contractual terms
6 Statutory conditions of employment: the BCEA and NMWA
6.1 Introduction
6.2 Basic conditions of employment
6.2.1 Working time
6.2.2 Leave
6.2.2.1 Annual leave
6.2.2.2 Sick leave
6.2.2.3 Maternity leave
6.2.2.4 Family responsibility leave
6.2.3 Payment of remuneration, particulars of employment, and prohibited practices
6.2.4 Termination of employment
6.2.5 Prohibition of the employment of children and of forced labour
6.3 Sectoral determinations
6.4 Variation of basic conditions
7 Enforcing conditions of employment
7.1 Contracts
7.2 Statutory minimum conditions
CHAPTER 6 The right to equality in employment: non-discrimination (Chapter II of the EEA)
1 Introduction
1.1 The nature of equality
1.2 The constitutional dimension
2 Statutory prohibition of unfair discrimination in employment
2.1 Origin and purpose
2.2 Application of Chapter II of the EEA
3 Implementing Chapter II of the EEA
3.1 Prohibition of unfair discrimination
3.1.1 Harassment as unfair discrimination
3.1.2 Sexual harassment
3.2 Direct and indirect discrimination
3.3 Scope of the prohibition
3.4 Specified, unspecified and arbitrary grounds
3.5 Establishing discrimination
3.5.1 Showing differentiation and a link between differentiation and grounds of discrimination
3.5.2 Burden of proof
3.6 Specific defences
3.6.1 Inherent requirements of a job
3.6.2 Affirmative action measures as a defence to discrimination claims
3.6.2.1 Efficiency and representativeness: striking a balance
3.7 Equal pay for equal work or work of equal value
3.8 Medical and psychometric testing
3.9 Psychological testing and other similar assessments
3.10 Employer’s liability for the conduct of an employee
4 Dispute procedures and remedies
4.1 The EEA
4.2 Commission for Gender Equality
5 Monitoring and enforcement
CHAPTER 7 The right to equality in employment: employment equity and affirmative action (Chapter III of
the EEA)
1 Introduction
1.1 The second purpose of the EEA: substantive equality including affirmative action
1.2 Origin and purpose
2 Application of Chapter III of the EEA
2.1 Defining affirmative action measures
2.2 A test for affirmative action
3 Does affirmative action establish a cause of action based on the application of an equality right?
4 Implementing Chapter III of the EEA
4.1 Designated employers
4.2 Beneficiaries of affirmative action measures
4.2.1 Designated groups
4.2.2 Citizenship
4.2.3 Group membership
4.2.4 Degrees of disadvantage
4.2.5 The notion of ‘suitably qualified’
4.2.6 People employed by a temporary employment service
5 Duties of designated employers
5.1 General
5.2 Consultation with employees
5.3 Disclosure of information
5.4 Analysis
5.5 Employment equity plan
5.6 Report to the Director-General
5.7 Other duties
6 Income differentials
7 Commission for Employment Equity
8 Monitoring and enforcement
8.1 Inspections
8.2 Review by the Director-General
8.3 Application by the Director-General to the Labour Court for an order directing the employer to
comply
8.4 Assessment of compliance
9 Powers of the Labour Court
10 Jurisdiction of the Labour Court
11 State contracts
CHAPTER 8 Unfair labour practices
1 Introduction
1.1 Historical overview of the concept of unfair labour practice
1.2 Codification of unfair labour practices in the current LRA
1.2.1 The definition of ‘unfair labour practice’ in section 186(2)
1.2.2 Scope and content of section 186(2)
1.2.3 Only employees can claim an unfair labour practice
1.2.4 What is a labour practice?
1.2.5 Is the list of unfair labour practices a closed list?
1.2.6 Disputes of right and disputes of interest
1.3 The interplay between the Constitution and the LRA
2 Promotion
3 Demotion
4 Probation
5 Training
6 Benefits
7 Unfair disciplinary action short of dismissal
7.1 Suspension
7.2 Other disciplinary action
8 Refusal to reinstate or re-employ in terms of any agreement
9 Occupational detriment on account of a protected disclosure
9.1 Introduction
9.2 Key concepts
9.2.1 Occupational detriment
9.2.2 Disclosure
9.2.3 Protected disclosure
9.3 Requirements for establishing an unfair labour practice based on occupational detriment
10 Resolution of unfair labour practice disputes
CHAPTER 9 Unfair dismissal – preliminary topics
1 Introduction
2 What is a dismissal?
2.1 The statutory meaning of ‘dismissal’
2.1.1 Termination of employment by the employer, with or without notice
2.1.2 Refusal or failure by an employer to renew a fixed-term contract
2.1.3 Refusal to allow an employee to resume work after maternity leave
2.1.4 Selective re-employment
2.1.5 Constructive dismissal
2.1.6 Transfer of a business
2.2 Other forms of termination of employment that are not ‘dismissals’
2.2.1 Resignation
2.2.2 Termination of a contract of employment by the effluxion of time or the happening of a
specified event
2.2.3 Reaching retirement age
2.2.4 Insolvency
2.2.5 Mutual agreement
2.2.6 Death
2.2.7 Supervening impossibility of performance
2.2.8 Other automatic terminations
3 Date of dismissal
4 Dispute resolution
4.1 Referrals to arbitration
4.2 Referrals to the Labour Court
4.3 Onus in dismissal disputes
5 Remedies for unfair dismissal
5.1 Introduction
5.2 Reinstatement or re-employment
5.3 Compensation
5.4 Procedure in the event of unfair retrenchments
CHAPTER 10 Automatically unfair reasons for dismissal
1 Introduction
2 Dismissals contrary to section 5
3 Participation in a protected strike or protest action
4 Refusal to do work normally done by striking employees
5 Employee’s refusal to accept a demand in respect of any matter of mutual interest
6 Dismissal for exercising any right conferred by the LRA
7 Pregnancy, intended pregnancy or any reason related to pregnancy
8 Unfair discrimination
9 A transfer contemplated by section 197
10 A dismissal in breach of the PDA
CHAPTER 11 Conduct and capacity
1 Potentially fair reasons for dismissal: conduct
1.1 Introduction
1.2 Conduct justifying dismissal
1.2.1 Absenteeism and time-related offences
1.2.2 Abusive language
1.2.3 Alcohol and drug abuse
1.2.4 Assault
1.2.5 Conflict of interest
1.2.6 Damage to property
1.2.7 Desertion
1.2.8 Dishonesty
1.2.9 Insubordination
1.2.10 Intimidation
1.2.11 Negligence
1.2.12 Off-duty conduct
1.2.13 Sexual harassment
1.3 How is the substantive fairness of a dismissal for conduct established?
1.3.1 Did the employee contravene a rule regulating conduct in or of relevance to the
workplace?
1.3.2 Was the rule valid or reasonable?
1.3.3 Was the employee aware, or could the employee reasonably be expected to have been
aware, of the rule or standard?
1.3.4 Did the employer apply the rule consistently?
1.3.5 Was dismissal an appropriate sanction for contravention of the rule?
1.4 Procedural fairness
1.5 Re-opening a disciplinary enquiry
1.6 Disciplinary action against shop stewards
1.7 Dispensing with an enquiry
2 Potentially fair reasons for dismissal: capacity
2.1 Introduction
2.2 Medical incapacity
2.3 Poor work performance
2.3.1 Probationary employees
2.3.2 Dismissal after probation
2.3.3 Procedure
2.4 Other forms of incapacity
2.4.1 Lack of qualification
2.4.2 Incompatibility
2.4.3 Dismissals at the behest of a third party
2.5 Permanent/temporary impossibility of performance
CHAPTER 12 Dismissal for reasons based on the employer’s operational requirements
1 Introduction
2 Substantive fairness
2.1 The meaning of ‘operational requirements’
2.2 The test for substantive fairness
2.3 Dismissal prior to a fixed-term contract’s running its course
2.4 Selection criteria
2.5 Is there a residual obligation to act fairly?
3 Procedural fairness
3.1 Determining the appropriate legal regime
3.2 Notice of contemplation of dismissal
3.3 Identifying the appropriate consulting party
4 The consultation process
4.1 Disclosure of information
4.2 Larger retrenchments: section 189A
4.3 Severance pay
5 Preferential rehiring
CHAPTER 13 The transfer of undertakings
1 Introduction
2 Transfer of a business
3 The meaning of ‘transfer’
4 What is a ‘business’?
5 Transfer as a ‘going concern’
6 Outsourcing and insourcing
7 The effect of the transfer of a business
8 Which terms and conditions transfer?
9 Transfer date in terms of section 197
10 Formalities and post-transfer liabilities
11 Transfer of contracts in circumstances of insolvency
12 Remedies for a breach of section 197
CHAPTER 14 Freedom of association and the right to organise
1 Introduction
2 Protection of the right to freedom of association in terms of the LRA
3 Exceptions to the right to freedom of association in terms of the LRA
4 The right to organise
5 Requirements for unions to qualify for statutory organisational rights
5.1 ‘Sufficiently representative’ unions
5.2 Majority unions
5.3 Other provisions regarding representativeness and entitlement
6 Statutory organisational rights
6.1 Access to the workplace
6.2 Deductions of trade union subscriptions (check-off facilities)
6.3 Election and functions of trade union representatives (shop stewards)
6.4 Leave for trade union activities
6.5 Disclosure of information
7 Disputes concerning the exercise of organisational rights86 and other disputes
CHAPTER 15 Collective bargaining and worker participation
1 Introduction
2 Bargaining parties – trade unions, employers and employers’ organisations
2.1 Introduction
2.2 Registration
2.3 Requirements for registration of trade unions or employers’ organisations
2.4 The constitution of a trade union or employers’ organisation
2.5 Registration of trade unions and employers’ organisations
2.6 Effect of registration of a trade union or employers’ organisation
2.7 Refusal of membership of a trade union or expulsion of an employee as a member of a trade
union
2.8 Ballots about strikes or lock-outs
3 Bargaining councils
3.1 Introduction
3.2 Establishment of a bargaining council
3.2.1 Parties to a bargaining council
3.2.2 Registration procedure
3.2.3 The constitution of a bargaining council
3.3 Powers and functions
3.3.1 The regulatory function
3.3.2 The dispute-settling function
3.3.2.1 Disputes which a council may resolve or conciliate
3.4 Bargaining councils in the public service
3.4.1 Introduction
3.4.2 Bargaining councils in sectors of the public service
3.4.3 Dispute resolution functions of bargaining councils in the public service
4 Statutory councils
4.1 Introduction
4.2 Powers and functions of statutory councils
5 Collective agreements
5.1 Introduction
5.2 The binding effect of collective agreements
5.3 Collective agreements concluded in bargaining councils
5.3.1 The binding effect of collective agreements
5.3.2 Extension of collective agreements concluded in a bargaining council
5.4 Disputes about collective agreements
6 Worker participation: workplace forums
6.1 Introduction
6.2 Establishing a workplace forum
6.3 General functions of a workplace forum
6.4 Meetings of a workplace forum
7 Consultation with a workplace forum
7.1 Process of consultation
7.2 Joint decision-making powers of the workplace forum
7.3 Disclosure of information
7.4 Full-time members of the workplace forum
7.5 Disputes about workplace forums
CHAPTER 16 Strikes and lock-outs
1 Introduction
2 What is a strike?
2.1 Refusal to work
2.1.1 Partial or complete refusal to work, or retardation or obstruction of work
2.1.2 By persons who are or have been employed by the same employers or by different
employers
2.2 Collective action
2.2.1 Concerted refusal
2.3 Purpose of the strike
2.3.1 For the purpose of remedying a grievance or resolving a dispute
2.3.2 In respect of a matter of mutual interest
3 Protected and unprotected strikes: substantive limitations
3.1 Employees are bound by a collective agreement prohibiting strikes and lock-outs
3.2 Employees are bound by an agreement to refer a dispute to arbitration
3.3 The issue in dispute must be referred to arbitration or to the Labour Court
3.4 Employees are bound by arbitration awards, collective agreements and ministerial or statutory
determinations
3.5 Employees engaged in essential, minimum and maintenance services
4 Protected and unprotected strikes: procedural limitations
4.1 Referral for conciliation
4.2 Issuing of a certificate of outcome or expiry of 30-day period
4.3 Notice
4.4 Advisory arbitration
5 Secondary strikes
5.1 Definition
5.2 Limitations on secondary strikes
6 Protest action
7 Protected strikes
7.1 Immunities
7.1.1 Against claims for breach of contract or delict
7.1.2 Against dismissal
7.1.3 Against discrimination
7.1.4 Against claims for compensation
7.2 The right to picket
8 Lock-outs
CHAPTER 17 Dispute resolution
1 Introduction
2 What is a ‘dispute’?
3 Inspectorate of the Department of Employment and Labour
4 The CCMA
4.1 Main functions of the CCMA
4.2 Dispute resolution processes: conciliation
4.3 Dispute resolution processes: arbitration
4.3.1 General
4.3.1.1 The types of disputes
4.3.1.2 The arbitration process
4.3.2 Inquiry by arbitrator
4.4 Dispute resolution processes: con-arb
5 Bargaining councils
6 Legal representation
7 The Labour Court
8 Powers of the Labour Court
8.1 Introduction
8.2 Review of arbitration awards
8.3 Overlapping jurisdiction
8.4 Appeals against judgments of the Labour Court
9 The Labour Appeal Court
10 The Constitutional Court
CHAPTER 18 Employment and social protection
1 Introduction
2 ‘Social protection’ and ‘social security’
3 Social security standards
4 Social insurance schemes
4.1 Employment injuries and diseases
4.1.1 Statutory framework
4.1.2 Compensation for occupational injuries and diseases
4.2 Unemployment
4.2.1 Introduction
4.2.2 Statutory regulation
4.3 Old age and retirement
4.3.1 Introduction
4.3.2 Overview of South African regulation
4.3.3 The role of the employer and third parties
4.4 Medical insurance
4.4.1 Introduction
4.4.2 Overview of South African regulation
4.4.3 HIV and AIDS
5 Skills development and training
5.1 Introduction
5.2 Regulation of skills development
5.3 The SDA, SDLA, ESA and ETIA
5.3.1 Broad outline
5.3.2 Scope of application
5.3.3 Institutional frameworks
5.3.3.1 The SDA
5.3.3.2 The SDLA
5.3.3.3 The ESA
5.3.3.4 The ETIA
5.4 Enforcement
5.5 The National Development Plan
6 Social protection of migrant workers
6.1 Introduction
6.2 South African public social insurance and migrant workers
Bibliography
Table of cases
Table of statutes
Index