[2005] EWLands LRX_52_2004 (01 March 2005)
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You are here: BAILII >> Databases >> England and Wales Lands Tribunal >> Sinclair Gardens Investments (Kensington) Ltd v Oak Investments RTM Company Ltd [2005] EWLands LRX_52_2004 (01 March 2005) URL: http://www.bailii.org/ew/cases/EWLands/2005/LRX_52_2004.html Cite as: [2005] EWLands LRX_52_2004 |
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LRX/52/2004
LANDS TRIBUNAL ACT 1949
LEASEHOLD ENFRANCHISEMENT – right to manage – failure to serve notice on qualifying tenant before giving claim notice – whether claim notice invalid – Commonhold and Leasehold Reform Act 2002 sections 78 and 79 – held claim notice not invalid – appeal dismissed
IN THE MATTER OF
BETWEEN SINCLAIR GARDENS INVESTMENTS Appellant (KENSINGTON) LIMITED
and
OAK INVESTMENTS RTM Respondent
COMPANY LIMITED
Re: 52 Station Road
London NW10
Determination under written representations procedure
by the President
The following cases are referred to in this decision:
R v Immigration Appeal Tribunal, ex parte Jeyeanthan [1999] 3 All ER 231
Cadogan v Morris [1999]1 EGLR 59
Keepers and Governors of John Lyon Grammar School v Secchi [1999] 3 EGLR 49
Burman v Mount Cook Land Ltd [2002] Ch 256
Viscount Chelsea v Hirshorn [1998] 2 EGLR 90
Mutual Place Property Management Ltd v Blaquiere [1996] 2 EGLR 78
DECISION
"(1) Before making a claim to acquire the right to manage any premises, RTM company must give notice to each person who at the time when the notice is given –
(a) is the qualifying tenant of a flat contained in the premises, but
(b) neither is nor has agreed to become a member of the RTM company."
"(2) The claim notice may not be given unless each person required to be given a notice of invitation to participate has been given such a notice at least 14 days before".
Under section 80(3) the claim notice must state the name of each qualifying tenant who is a member of the RTM company, and under section 79(8) a copy of the claim notice must be given to each qualifying tenant.
"12. It is clear that the notice of claim is flawed since it does not comply with Sections 78(1), 79(2) and 80(3) of the 2002 Act. However the Tribunal must look at the intention of the parties and the consequences of the error. The legislation provides for a notice inviting participation to be served on all parties who would have an interest to ensure that none of the qualifying tenants is disadvantaged either by being omitted from the RTM company or forced into a situation where they are obliged to participate without any input into the decision. In this case there are only three flats in the subject property, two of which are under the same ownership. Ms O'Connell has stated that Mr Mallon was aware of the application at all times and this is evidenced by the fact that he made an application to become a member of the Applicant on 13th April 2004, acknowledging that it was an oversight. The Tribunal is satisfied that Mr Mallon was fully aware of the proceedings and that his omission was inadvertent. The Applicant has claimed that this omission was covered by Regulation 4(c) of the Right to Manage (Prescribed Particulars and Forms) (England) Regulations 2003 which provides that the notice of claim will not be invalidated by any inaccuracies in the particulars. However, the Tribunal considers that the omission of one of the joint tenants is rather more than an inaccuracy and that this would not be covered by Regulation 49(c).
13. The Tribunal has come to the conclusion that the Respondent has not been prejudiced in any way by the failure to serve a notice inviting participation. The Respondent did not state specifically the nature of their objection in the counter notice and did not respond to a number of letters from the Applicant's solicitors inviting them to proceed without the necessity of an application to the Tribunal. The application is in respect of a small property with effectively only two qualifying tenants and the Tribunal is satisfied that Mr Mallon, being aware of the application, has not been prejudiced in any way by the Applicant's failure to serve notice of invitation to participate. He made an application to become a member of the Applicant as soon as practicable and has acknowledged in writing that the omission to give him notice was a mistake. The Tribunal has concluded that it would not be in the interests of the parties to refuse the application and accordingly has determined that on the relevant date the Applicant was entitled to acquire the right to manage the subject property."
"What should be the approach to procedural irregularities?
The issue is of general importance and has implications for the failure to observe procedural requirements outside the field of immigration. The conventional approach when there has been non-compliance with a procedural requirement laid down by a statute or regulation is to consider whether the requirement which was not complied with should be categorised as directory or mandatory. If it is categorised as directory it is usually assumed it can be safely ignored. If it is categorised as mandatory then it is usually assumed the defect cannot be remedied and has the effect of rendering subsequent events dependent on the requirement a nullity or void or as being made without jurisdiction and of no effect. The position is more complex than this and this approach distracts attention from the important question of what the legislator should be judged to have intended should be the consequence of the non-compliance. This has to be assessed on a consideration of the language of the legislation against the factual circumstances of the non-compliance. In the majority of cases it provides limited, if any, assistance to inquire whether the requirement is mandatory or directory. The requirement is never intended to be optional if a word such as 'shall' or 'must' is used…
Because of what can be the very undesirable consequences of a procedural requirement which is made so fundamental that any departure from the requirement makes everything that happens thereafter irreversibly a nullity it is to be hoped that provisions intended to have this effect will be few and far between. In the majority of cases, whether the requirement is categorised as directory or mandatory, the tribunal before whom the defect is properly raised has the task of determining what are to be the consequences of failing to comply with the requirement in the context of all the facts and circumstances of the case in which the issue arises. In such a situation that tribunal's task will be to seek to do what is just in all the circumstances (see Brayhead (Ascot) Ltd v Berkshire CC [1964] 1 All ER 149, [1964] 2 QB 303 applied by the House of Lords in London and Clydeside Estates Ltd v Aberdeen DC [1979] 3 All ER 876, [1980] 1 WLR 182)."
"Bearing in mind Lord Hailsham LC's helpful guidance I suggest that the right approach is to regard the question of whether a requirement is directory or mandatory as only at most a first step. In the majority of cases there are other questions which have to be asked which are more likely to be of greater assistance than the application of the mandatory/directory test. The questions which are likely to arise are as follows: Is the statutory requirement fulfilled if there has been substantial compliance with the requirement and, if so, has there been substantial compliance in the case in issue even though there has not been strict compliance? (The substantial compliance question.) Is the non-compliance capable of being waived, and if so, has it, or can it and should it be waived in this particular case? (The discretionary question.) I treat the grant of an extension of time for compliance as a waiver. If it is not capable of being waived or is not waived then what is the consequence of the non-compliance? (The consequences question.)
Which questions arise will depend upon the facts of the case and the nature of the particular requirement. The advantage of focusing on these questions is that they should avoid the unjust and unintended consequences which can flow from an approach solely dependent on dividing requirements into mandatory ones, which oust jurisdiction, or directory, which do not. If the result of non-compliance goes to jurisdiction it will be said jurisdiction cannot be conferred where it does not otherwise exist by consent or waiver."
Dated 1 March 2005
George Bartlett QC, President