Nothing Special   »   [go: up one dir, main page]

Paralegal Handbook: Module 1: An Introduction To Law

Download as pdf or txt
Download as pdf or txt
You are on page 1of 78

PARALEGAL HANDBOOK

Module 1: An Introduction to Law

Nana Manu-Mabiza
Friedrich-Ebert-Stiftung
6 Ross Avenue
Belgravia
Harare
Zimbabwe

© Friedrich-Ebert-Stiftung, 2015
© The author

All rights reserved.


No part of the publication may be reproduced, stored in a retrieval system or transmitted in
any form by any means – electronic, mechanical, photocopying, recording, or otherwise –
without the express written permission of the publisher or author.

The commercial resale of published brochures, books and general printed matters
by the Friedrich-Ebert-Stiftung is prohibited unless the Friedrich-Ebert-Stiftung
gives its explicit and written approval beforehand.

ISBN: 978-0-7974-6249-6
CONTENTS

1: The paralegal profession in Zimbabwe 1


2: The law 7
3: The structure of the courts 18
4: The legal profession in Zimbabwe 25
5: An outline of civil court procedures 33
6: Statutory interpretation 44
7: Contract law 52
Appendices 69
ABOUT THIS HANDBOOK

This handbook has seven chapters, each of which relates to a distinct area
of law:
1: The paralegal profession in Zimbabwe
2: The law
3: The structure of the courts
4: The legal profession in Zimbabwe
5: An outline of civil court procedures
6: Statutory interpretation
7: Contract law
This text is the first of a series of training manuals and introduces trainee
paralegals within the Zimbabwe Congress of Trade Unions to the broad
principles of law. Its overall aim is to assist trainess with navigating the
legal landscape and carrying out their day-to-day duties. It will facilitate an
understanding how the legal system operates and, ultimately, how labour
law is affected by other branches of the law.
It is not intended to be a scholarly or academic text, nor should it not be
relied upon as a substitute for legal advice. No warranty is made as to the
accuracy; currency or completeness of its content at any time and no liability
is accepted for any loss arising as a result of reliance upon the information
at any time.
Trainee paralegals are strongly advised to refer to the key text for this
course: An Introduction to Zimbabwean Law, by Professor Lovemore Madhuku
(Harare: Weaver Press, 2010).

3
Module 1: – An Introduction to Law

1: THE PARALEGAL PROFESSION

Introduction
Accessing legal services in Zimbabwe can be very expensive, especially if a
lawyer needs to be consulted. Not only are the legal fees charged by most
lawyers beyond the reach of the average worker in Zimbabwe, but the law
itself and the accompanying legal procedures are also generally expressed
in technical legal language that is difficult for most people to understand
without specialised legal assistance. This results in a situation where most
ordinary citizens, low-paid workers in particular, are unable to access justice
because it is unaffordable. If a litigant has to go to court, they must also
pay court fees, which can be a further prohibiting factor. Courts themselves
are few and far between, resulting in many litigants having to travel long
distances to access legal services and thus the additional financial burden
of transport costs. The concept of training paralegals emerged within the
Zimbabwe Congress of Trade Unions (ZCTU), with a view to assisting workers
who need legal advice, as a means of redressing this situation.

What is paralegal training?


The use of the half-word ‘para’ is common. Two other words where it
appears and which immediately come to mind are ‘paramedic’ and
‘paramilitary’. Its loose translation is ‘semi’ or ‘assisting’ in relation to roles
considered ancillary or subsidiary to those requiring more training. This sense
fully captures the meaning of the ZCTU/FES paralegal training programme
since it trains trade unionists to become ‘semi’ lawyers. A paralegal is not
a qualified or licensed lawyer but someone who is trained and authorised
to provide a limited number of basic legal services. The training they
undergo imparts those basic legal skills considered appropriate for the most
common aspects of trade union work. It is not a training programme in
labour/industrial relations, although a broad reference to this is unavoidable
when dealing with some aspects of labour law. In essence, it is a miniature

4
The paralegal profession in Zimbabwe

legal training programme that focuses on labour law and the structure and
operation of the legal system. Training to be a lawyer requires a minimum
of five years at a tertiary institution, while training to be a paralegal needs
no more than five weeks in an environment that need not be a tertiary
institution.

What does it mean to be a paralegal?


A paralegal is a person qualified through education and training to perform
substantive legal work that requires knowledge of the law and procedures.
Paralegals may work for, or be retained by, lawyers within the legal profession
or in a legal environment in commerce, industry or the public sector.
Paralegals trained by ZCTU may be either full-time union employees or
members of other professions who are trained legally to assist their fellow
union members on a part-time or voluntary basis.

The essential qualities of a paralegal


To be a successful paralegal requires certain qualities. These include:
• Knowledge of the local language of the community in which they
are operating
• Good working English
• The ability to communicate effectively and simply
• A willingness and ability to volunteer, as unpaid hours are at the
core of paralegal work
• Having an objective and analytical mind
• Being trustworthy
• Having integrity
• Being patient as well as a good listener
• Being gender-sensitive, adhering to basic human rights principles
such as non-discrimination
• Being self-confident yet humble
• Striving for personal and professional excellence – All paralegals
should be dedicated to improving and expanding their role in
the delivery of legal services.

5
Module 1: – An Introduction to Law

As a paralegal you can expect to do work that includes:


• Legal research using law books and the Internet
• Investigating facts
• Undertaking administrative tasks such as filing and organising data
and documents
• Drafting basic legal documents and correspondence
• Analysing data and undertaking data-inputting tasks
• Speaking to witnesses and taking statements
• Carrying out due diligence work, assisting with disclosure and
preparing trial bundles
• Preparing basic reports for clients
• Representing clients at hearings, conciliation and at the Labour Court
The functions of a paralegal mentioned above should always be exercised
in the full knowledge that some forms of legal work are reserved for legal
practitioners. Any unregistered person who performs such work may be
liable to prosecution.

6
2. THE LAW

discussion topics :

• The definition of law


• The divisions of law
• The sources of law
procedures :

• Analysing the different meanings of the law


• Recognising the nature of the law
• Locating the various sources of law
• Understanding and explaining the divisions of the law
Introduction
We live in a society where our every action affects other people in one way
or another. There is therefore a need to regulate our conduct so that its
effects on other members of society are controlled.
Societies have laws in place in order to protect its citizens from the
actions of others. It is clearly impossible for everybody in any society to have
absolute freedom: if one person exercised that freedom, it may trample
upon somebody else’s. For example, if my neighbour plants pineapples in
my garden, I am not free to use my piece of land for myself. It is for this
reason that societies have property laws.
This example justifies the existence of rules and the different types of
rules each society has in place. For our purposes, we categorise the rules into
one of two sets. The first category comprises those rules that have the force
of law, i.e. legal rules. The second category does not have force of law, i.e.,
they are non-legal rules. Legal rules are backed by the state’s enforcement
mechanisms and are thus referred to as ‘law’. Non-legal rules might include
norms and morals. For example, not greeting others may be frowned upon
by society but it is not illegal.

7
Module 1: – An Introduction to Law

Law and the


individual

2.0 Defining the Law


‘Law’ refers to rules and regulations that govern human conduct or other
societal relations. Both are established and enforced by the state and should
be obeyed by all. Failure to do so leads to the state having to apply sanctions
such as arrest or imprisonment.
In other words, the law is used to control human behaviour. It defines:
• What you are entitled to
• What you must do
• What you must not do
• What others may not do to you
• What your rights are against the state and others
• What your responsibilities are as a member of society
Law and morality
The traditional approaches to the role and function of law are chiefly (i) to
do justice, and (ii) to preserve peace and order. Box 2.1 (right) demonstrates
the differences between the law and other behavioural norms. After
studying it, come up with examples for various scenarios.

8
The law

Box 2.1: The differences between ‘law’ and ‘morality’

To whom are the rules What is the sanction Who enforces


applicable? for non-compliance? the sanctions?

Norms a community Prosecution/punishment.


The law regards as binding and Compensation is paid to State organ
must be obeyed the injured party

A set of rules followed


Each religion has its own Each separate
Religion by those who practice
sanction or punishment religion
that particular religion

Norms or standards
Individual The sanction is personal
that every individual The individual
morality and self-imposed
sets for his or herself

Norms of a community Degrees of disapproval /


Community The
or group within that rejection /discrimination
mores community
community by other members

Source: UNISA Introduction to Law Module, 2009.


Principles of
2.1 Principles of Law the law

Just application
The law should conform to the prevailing sense of what is fair and just
according to the community’s system of values and norms. This is known
as ‘just application’.
Equality
The law applies equally to all people in the same condition, provided they
come under the same category. For example, if Paul walks along a road, Dick
cycles and Harry drives a car, they all fall into different categories applicable
to road users, and the rules pertaining to one do not necessarily apply to the
others. Each will be subject to the laws governing the activity he is engaged
in doing.
Uniformity
The law should apply uniformly to all persons, regardless of their professional
qualifications or geographical origin.

9
Module 1: – An Introduction to Law

Box 2.2: The two theories of law

Natural Law Positivist

Law cannot be separated from the Law is law, regardless of its moral content
precepts of morality, justice or fairness. or whether it is just or unjust.

Any man-made law that contradicts pre-


existing moral principles that have validity It distinguishes law as it is from law as it
and authority independent of any human ought to be.
authority is invalid.

The Latin maxim ‘lex iniusta non est lex’


There are such things as unjust laws, bad
(‘an unjust law is no law at all’) aptly
laws and immoral laws.
underscores the main idea of natural law.

Authority
It may appear that only the proper authority is allowed to make law. In
Zimbabwe, the main laws are created by the legislature. However, certain
statutory bodies have legislative powers delegated to them, for example,
municipal by-laws defined by local authorities and statutory instruments
drawn up by the relevant government Minister.
Certainty
Persons should be informed of the existence of the law and must conduct
their affairs in sure anticipation of the consequences of failing to comply.
Legal rules must be clear and unambiguous and declared and made known
before they are applied, In Zimbabwe, this is done through publication in
the Government Gazette. This process is known as ‘gazetting’.
If the legal machinery is unreliable, the law itself loses its purpose. If, for
example, the police force is corrupt, the judiciary is biased, or the prison
service becomes inhumane, no one will seek the protection of the law and
nor bother to set the wheels of the legal machine in motion.

2.2 Theories of Law


There are two theories of law: ‘Natural’ and ‘Positvist’. These are explained in
Box 2.2 (above). Without laws there would be confusion, fear and disorder.
However, this does not mean that all laws are fair. This is the positivist view
and it is the prevailing theory in our legal system.

10
The law

It is a fact that every society agrees that laws are necessary, but they all
should be made in a democratic way to ensure that they are just and fair. In
Zimbabwe, a law must be tested against the Constitution to see if it is fair.

2.3 Laws and Rights


The law has to balance different interests of different individuals, and this is
where ‘rights’ come into play. Besides being a system of norms regulating
human conduct, the law is also a system of rights. A citizen who is under the
law is known as a ‘legal subject’ and is entitled to certain rights. Under labour
law, for example, in an employment relationship, the employee is entitled to
remuneration for services rendered, while the employer has rights to the
services of the employee.

2.4 Divisions of the Law


Law can be classified into several opposing categories. These include:
• Domestic law versus international law
• Public versus private law
• Criminal versus civil law
• Statutory versus non-statutory law
• Principal versus subsidiary law (legislation)
• Substantive versus procedural laws
2.4.1 Domestic and International Law
Laws made in one country to regulate conduct in that country are referred
to as ‘domestic’ law. Since a country is sovereign within its borders, such
laws apply to all those within its boundaries, whether citizens or foreigners.
National laws are applicable only within Zimbabwe, unlike international
law. ‘International’ law refers to laws developed by the general body of
nations and are applicable in two or more countries. Traditionally, such
laws could only be made by and apply to states and not individuals. Most
international law is developed under the umbrella of the United Nations.
2.4.2 Public Law and Private Law
Public law comprises those rules that regulate various public aspects
of life and concern the operations of the state and states relations with

11
Module 1: – An Introduction to Law

its citizens. A typical example is criminal law. If an individual commits a


crime, he or she is acting against society and as such, the crime is a matter
of public law. Private law, on the other hand, deals with regulating the
relationship between private individuals. Examples include laws dealing
with contracts and marriage. As issues of marital law concern husbands
and wives they are be governed by private law.
Here, it is useful to note the uniqueness of labour law as it has aspects that
relate to both public and private law. For example, the relationship between
employee and employer is governed by private law, while instances when
workers seek to register a trade union belong to public law. It is thus difficult
to place labour law wholly in private or public law.

2.4.3 Civil and Criminal Law


Criminal law deals with the definition and punishment of crimes. A crime
is an offense against the state and society. When criminal law is violated,
it is the duty of the state to arrest and prosecute the offender. The victim
is a complainant and witness in the case. If found guilty, the offender is
punished by the state in accordance with the relevant criminal law. Typical
crimes dealt with by criminal law include rape, theft, assault and murder.
A criminal case can be brought against anyone, including a person who
works for the state, such as a member of the police or defence force. If, for
example, you are unlawfully assaulted or shot by a member of the police or
defence force, you can bring a criminal case against them.
When a criminal case is brought before a magistrate, the prosecutor
must prove beyond a reasonable doubt that the accused committed the
offence. ‘Beyond a reasonable doubt’ is the standard that must be met by
the prosecution’s evidence in a criminal prosecution. This means that that
no other reasonable explanation can be drawn from the facts except that
the defendant committed the crime, thereby overcoming the presumption
that a person is innocent until proven guilty.
Civil law regulates disputes between individuals that are of a non-criminal
nature. The affected parties refer the matters to court and the party who
violated the law is normally required to compensate the other. A civil case

12
The law

is usually brought by a person (the plaintiff) who feels that he or she was
wronged by another person (the defendant). If the plaintiff wins the case,
the court usually orders the defendant to pay compensation (money). The
court may also order a defendant to do (or no longer do) something. For
example, the defendant may be asked to stop damaging the plaintiff’s
property if this was the reason that the case came to court. The state may
be involved in a civil case if it is suing or being sued for a wrongful act, such
as government property being damaged or a government official injuring
somebody without good reason.
When a case is brought before the magistrate the plaintiff must prove
‘on a balance of probabilities’ that the defendant is wrong. Put simply, this
means that one side has more evidence in its favour than the other, even if
by the smallest degree.
Sometimes a person’s act may lead to criminal and civil actions. For
example, if an employer a worker it is a crime of assault. The state will
prosecute him or her in a criminal court if the worker lays a charge. If there
is enough proof to show that the employer is guilty, he or she may be
punished by the state. If this same employer also causes pain to the worker,
the worker could sue him or her for damages, forcing him or her to pay
compensation for medical expenses, lost wages and pain and suffering. This
would be a civil claim for damages pursued through the civil court.
The law can also be divided into substantive and procedural law.
Substantive law consists of major areas of law that confer rights to and
obligations on people. One example is the law of marriage, which confer
rights and obligations on a married couple.
Procedural law, on the other hand, refers to laws that enable substantive
law to be enforced in courts and other tribunals. Examples of procedural law
include the law of evidence, civil procedure and criminal procedure.

2.5 Sources of Law in Zimbabwe


The main sources of Zimbabwean law are as follows:
• Legislation/Acts of Parliament
• Common law (court decisions/precedent/case law)
13
Module 1: – An Introduction to Law

• Custom
• African customary law
• Law textbooks/authoritative texts
2.5.1 Legislation/Acts of Parliament
Legislation refers to the rules made by Parliament. These are also known
as Acts of Parliament, hence Parliament is referred to as the Legislative
Authority as it has the power to make laws. Parliament can, however,
delegate its lawmaking function to the Executive, which can make Statutory
Instruments (SI), or to local authorities, which make what are commonly
known as council by-laws. All must be compliant with the relevant parent
legislation, namely an Act of Parliament.
In Zimbabwe, although the Constitution is the supreme law of the land, it
is also an Act of Parliament. All Acts of Parliament should be consistent with
the Constitution. Failure to be consistent with leads to such an Act or a part
thereof being rendered unConstitutional and thus ineffective.

2.5.2 Case law


Legislature passes laws, but courts determine out what they mean in
practice. Laws are interpreted and tested by a succession of trials, over a
period of time, and under a variety of circumstances.
An important part of any legal training is to learn what judgments have
been made in the past in order to understand the details of each law.
Collectively, these judgements are known as case law, and lawyers will
quote examples in court in order to show how they believe the law should
be applied in reference to the person on trial (Box 2.3, right).
Any case law that comes from a court of equal or higher rank to the one
where a case is being heard will normally take precedence over common
law, should they differ. In addition, a decision by a higher court (for example,
a Court of Appeal or the Supreme Court) is binding upon a lower court.
The decisions of the High Court are thus binding on a Magistrate’s Court,
although the Magistrate’s Court does not create precedent.
A lower court must follow what the judges in a higher court have decided

14
The law

Examples of Judicial Precedent


i. Definition of a managerial employee:
Zimbabwe Tourist Investment Company vs Gwinyai SC 105/95
ii. Varying the work to be performed by an employee:
Muchakata vs Netherburn Mine 1996 (1) ZLR 153
Taylor vs Minister of Higher Education and another 1996 (2) ZLR 772 (S)
iii. Legitimate expectation:
Kanonhuwa vs Cottco 1998 (1) ZLR 68 (H)
iv. Promotion:
Muwenga vs PTC 1997 (2) ZLR 483 (S)
v. Protection from discrimination:
Wazara vs Belvedere Teachers College and another 1997 (2)
ZLR 508 (H)
vi. Freedom of assembly and association:
In re Munhumeso and others 1994 (1) ZLR 49 (S)
vii. Freedom of conscience:
In re Chikweche 1995 (1) ZLR 235 (S)

in reference to cases with similar circumstances or facts. The decisions of the


Constitutional Court are binding on all courts on Constitutional matters.
There are also obiter dicta (obiter dictum singular) or ‘remarks in passing’.
Obiter dicta do not form precedent but they can have persuasive value in
some instances.
Cases in Zimbabwe are recorded and published in the Zimbabwe Law
Reports. Law reports capture the facts of a case, and more importantly the
reason upon which the court based its judgement. This is what is known as
the ratio decidendi (‘the reason for the decision’). It is important to note that
you will not find instances within the text of a particular case in law reports
where the authors expressly mention: ‘this was the ratio decidendi of the
case’. You will have to determine this for yourself !

15
Module 1: – An Introduction to Law

2.4.3 Custom
‘Custom’ is generally defined as unwritten rules that have become binding
over the course of time through observance by the community in question.
The rules incorporate both general custom and African customary law.
As regards general custom, a custom is legally binding if it satisfies four
requirements:
1. It is reasonable.
2. It is long-binding, i.e., clearly established.
3. It is uniformly observed.
4. It is certain.
General custom applies fields of law such as as banking, commercial law
and international trade law. For example, the custom of bankers charging
interest on overdrawn accounts is one that has been given the force of law.

2.4.4 Customary Law


In developing countries that have been decolonised since the 1940s and
1950s, the law is generally a mixture of that introduced by the former
colonial power and the customary law in force before the advent of
colonisation. Zimbabwe has what is termed a dual legal system, being
comprised of general law (Common Law and Statute) and African
customary law. Often, customary law still takes priority in certain areas of
life. Typically, customary law applies in those areas of life least affected
by colonisation. These may include land ownership, customary titles and
family relationships.
There are special courts to deal with these matters, and they are
conducted according to tradition and presided over by a customary chief
or group of elders. Such matters may be dealt with by an ordinary court
instead, but customary law may take precedence. It is important to note that
customary law:
• Does not apply in criminal cases applies
• Only applies when the parties agree to its use
• Applies when the court decides that it is just and proper to
do so, even if the parties do not agreed to its use

16
The law

2.4.5 Authoritative texts


Authoritative texts refer to writings by leading authorities in the field of
law. For example, treatises written by Roman Dutch jurists are authoritative
sources of Roman Dutch law and are treated as such in the courts. They
are regarded as sources under the heading of common law because of
their special nature. Although modern textbooks and scholarly articles
or publications are without inherent authority of their own, they may be
regarded as very persuasive sources of law where neither legislation nor
case law is in point, or where they explain a legal point which is not clearly
covered in legislation or case law. Among other things, the persuasive
ability of an author’s opinion depends on his or her standing in the field
of law in question, their professional reputation, the scholarly standing of
the text involved and the degree to which the nature of its presentation is
convincing.

Exercises
1. State and explain the purpose of law in society.
2. Explain the difference between public law and private law.
3. Read the case of United Bottlers vs Murwisi 1995 (1) ZLR 246 and
complete the following:
1. What was the issue put before the court?
2. List all the sources of law upon which the court relied.
3. What was the ratio decidendi?
4. Identify any obiter dictum in the judgement.

Further Reading
Madhuku, An Introduction to Zimbabwean Law, Chapters 1 and 2.
D.A. Reynolds and J.A. Russell (1983) An Introduction to Law (Government
of Zimbabwe: Ministry of Justice).
Constitution of Zimbabwe, 2013 (Zimbabwe Government Printers).

17
Module 1: – An Introduction to Law

3: THE STRUCTURE OF THE COURTS

discussion topics :

• Hierarchy, functions, composition and nature of Courts in Zimbabwe.


• The Judicial Service Commission.
• Appointment of judges and magistrates.
objectives :

• To analyse the different functions, the composition and the hierarchy of


the various courts in Zimbabwe.
• To gain an understanding of the composition and role of the Judicial
Service Commission (JSC).

Introduction
Zimbabwe’s court system is derived from Section 162 of the Constitution of
Zimbabwe, Amendment (no. 20) Act 1 of 2013, which vests judicial authority
in Zimbabwe in the courts,. These are the:
• Constitutional Court
• Supreme Court
• High Court•
• Labour Court
• Administrative Court
• Magistrates’ Courts
• Customary Law Courts
• Other courts established by or under an Act of Parliament
3.0 The Hierarchy, Functions, Composition
and Nature of the Courts
In order to determine the precise functions, composition and the nature of
the judicial officers who adjudicate in each of the courts, it is necessary to
refer to the Constitution and to the specific Acts that govern each one.

18
The structure of the courts

Courts in Zimbabwe are divided into criminal and civil courts. For the
purposes of this handbook, which has been prepared for use primarily by
paralegals within the labour and commercial law sectors, focus will, for the
most part, be on civil courts.

3.0.1 The Constitutional Court


This is the highest court in Constitutional matters and its functions are
described in Section 166 of the Constitution. Its decisions bind all other
courts – see Section 167 (1)(a) of the Constitution and it deals only with
Constitutional matters or related issues. It has the powers to determine
whether Parliament or the President has failed to fulfil a Constitutional
obligation. It also hears and determines disputes relating to the election of a
President and Vice-President. It must also confirm as invalid any order made
by another court which is not in accordance with the Constitution, which
specifies that it must do so before that order has any force.
The Constitutional Court is a superior court and consists of the Chief
Justice, the Deputy Chief Justice and five other judges. If an acting judge
is required, the Chief Justice may appoint an existing judge or former
judge to act for a period. Cases concerning the violation of fundamental
human rights or freedoms or concerning the election of a President or Vice-
President must be heard by all the Constitutional Court judges. All other
cases need only be heard by three judges. Referrals to the Constitutional
Court can be made by other courts.

3.0.2 The Supreme Court


This is the last court of appeal, unless the Constitutional Court has
jurisdiction over the matter. It has no power to hear Constitutional matters
and is headed by the Chief Justice, who is appointed by the President. It
has ‘appellate jurisdiction’, which means it decides on disputes when parties
have appealed to it from lower courts. Its function and composition is
defined in Sections 168 and 169 of the Constitution. An Act of Parliament
may confer additional powers and jurisdiction on the Supreme Court. (See
also the Supreme Court Act [Chapter 7:13]).

19
Module 1: – An Introduction to Law

It is duly constituted when it consists of the Chief Justice and the Deputy
Chief Justice and no fewer than two other judges of the Supreme Court
and any other additional judges or former judges as appointed by the Chief
Justice for a limited period. The Constitution does not specify a maximum
number of judges. It is important to note that Section 26 of the Supreme
Court Act says there shall be no appeal against any judgment or order of the
Supreme Court and that it shall not be bound by any of its own judgments,
rulings or opinions, nor by those of any of its predecessors, should it have to
deal with similar cases.

3.0.3 The High Court


The High Court has original jurisdiction over all civil and criminal matters.
This means that all matters that can be heard in a lower court such as a
Magistrate’s Court can also be heard in the High Court as a court of first
instance, i.e., a court where legal proceedings are initiated. The High Court
may decide any Constitutional matters other than those that can only to be
heard by the Constitutional Court. It supervises lower courts and has appel--
late jurisdiction to receive matters on appeal from Magistrates’ Courts and
other lower courts. It also has powers of review over all other inferior courts’
actions. (A review relates to a challenge on the decision-making process
that was taken to arrive at a decision by a judge or magistrate. Section 170

20
The structure of the courts

of the Constitution stipulates that it must consist of the Chief Justice, the
Deputy Chief Justice and the Judge President of the High Court and such
other judges of the High Court as may be appointed from time to time.)

3.0.4 The Labour Court


This is a specialist court, i.e, one that deals with matters of a specific kind,
in this case labour and employment cases as provided by law. Section 172
of the Constitution sets out how the court is constituted. It consists of a
Judge President and such other judges of the Labour Court as appointed
from time to time. An Act of Parliament provides for the jurisdiction of the
Labour Court – the Labour Act [Chapter 28:01]. The Labour Court has the
same status as the High Court and thus an appeal from the Labour Court
goes to the Supreme Court, but only on a question of law.

3.0.5 The Administrative Court


The Administrative Court is a specialist court that hears administrative issues.
Section 173 of the Constitution sets out how this court is constituted. It
has a Judge President and such other judges as may be appointed from
time to time. It decides on matters allocated to it in terms of various pieces
of legislation, such as issues involving local planning authorities. It is also
constituted as a Water Court to decide on disputes related to water use and
is the only court to which disputes related to public water may be referred.
Appeals from the Administrative Court go to the Supreme Court – see
Section 19 of the Administrative Court Act. Section 173 of the Constitution
states that an Act of Parliament may provide for its jurisdiction. At present, it
is set up in terms of the Administrative Court Act (Chapter 7:01).

3.0.6 Magistrates’ Courts


Section 174 of the Constitution says that an Act of Parliament may provide
for the establishment composition and jurisdiction of Magistrates’ Courts
to adjudicate over both civil and criminal matters. For the purposes of this
course, this handbook mostly deals with its civil jurisdiction. The relevant
piece of legislation that governs their establishment is the Magistrates’
Court Act [Chapter 7:10].

21
Module 1: – An Introduction to Law

Jurisdiction
All magistrates in the civil courts have the same jurisdiction regardless of
seniority, unlike those in criminal courts, who have different sentencing
authorities dependant on their level of seniority. In terms of Section 11 of
the Magistrates’ Court Act, Magistrates’ Courts have jurisdiction to apply civil
law and customary law.
The monetary jurisdiction of the Magistrates’ Courts is determined by the
fact that are only allowed to decide on disputes which fall below a specified
monetary limit, which is adjusted periodically. In addition, their jurisdiction
is also dependant on the geographical residence of the defendant and by
the nature of the case. Magistrates’ Courts cannot decide on cases involving
crimes such as treason, murder or any statutory offence for which the death
sentence is mandatory.

Constitution of the court


A magistrate sits alone to decide on cases in a civil matter, but in terms of
Section 16 of the Magistrates’ Court Act, he/she can have assessors with
relevant skills and experience sit with him/her. Such assessors only have an
advisory capacity and do not help decide on the dispute.

Appeals and Reviews


For the most part, the Magistrates’ Courts are courts of first instance. This
means that they are courts where legal proceedings first commence.
However, they also have limited civil appeal and review jurisdiction from
lower courts such as Local Courts and Community Courts – see Sections 24
and 25 of the Customary Law and Local Courts Act [Chapter 7:05].

3.0.7 Customary Law Courts


These only administer customary law disputes and are set up in terms
of Section 174(b) of the Constitution. The Act that governs them is the
Customary Law and Local Courts Act (Chapter 7:05). Section 11 of the same
Act provides for Primary Courts (over which a headman presides) and
Community Courts (over which a Chief presides). Their jurisdiction is limited

22
The structure of the courts

– see Section 16. They are not permitted to deal with disputes related to
issues such as wills, marriages, guardianship of minors, maintenance and
disputes relating to immovable property. However, they can make orders
for compensation or specific performance in relation to matters within their
jurisdiction.

3.1 The Judicial Service Commission (JSC)


The information relating to the Judicial Service Commission (JSC)is provided
in this section as background information relating to how judges are
appointed. It is not a court.
The JSC is responsible for appointing judges and consists of the Chief
Justice, Deputy Chief Justice, Judge President of the High Court, a judge
nominated by judges of the higher courts, the Attorney General, three
lawyers with at least seven years’ experience nominated by the Law Society,
the Chief Magistrate, the Chairperson of Civil Service Commission, a person
with seven years experience as a human resources practitioner nominated
by the President, a person with seven years experience as public accountant
or auditor nominated by their professional association and one professor
or senior lecturer in law nominated by their association. Salaries and other
benefits for judicial officers are fixed by the JSC after consultations with the
Minister of Justice and obtaining the approval of the Minister of Finance.

3.2 Appointment of judges


Judges are appointed by President. When a vacancy has been advertised
and public interviews held, the JSC provides a list of three names. The
commission can put forward a further list of three names if the President is
not satisfied with those on the first list. The Constitution specifies that the
appointments are to be diverse and should reflect a gender composition.
Judges of the Constitutional Court are appointed for a non-renewable term
of 15 years and can move to the Supreme Court or High Court after that
term, if they are eligible and under the age of 70, which is the mandatory
retirement age for all judges.

23
Module 1: – An Introduction to Law

3.3 Appointment of Magistrates


Since 18 June 2010, when the Judicial Service Act [Chapter 7:18] came into
effect, the JSC has been fully responsible for appointing Magistrates.

Exercises
1. Explain the composition and the function of the Constitutional
Court in Zimbabwe.
2. Research and confirm the current upper/maximum monetary limit
for cases that can be heard by a Magistrates’ Court. ( The answer is not
contained in this handbook. Further research is required ).

3. Explain the role of the Judicial Service Commission.

Further reading
Madhuku, An Introduction to Zimbabwean Law, Chapter 5.
Constitution of Zimbabwe Amendment (No. 20) Act 2013
Supreme Court Act [Chapter 7:13].
High Court Act [Chapter 7:06].
Magistrates Court Act [Chapter 7:10].
Administrative Court Act [ Chapter 7:01].
Customary law and Local Courts Act [Chapter 7:05].
Water Act [Chapter 20:24]. (Read only those specific references to the
Administrative Court acting as a Water Court – Sections 113, 114 and 125.)
Judicial Service Commission website: www.jsc.org.zw.
N.B. Some information in the textbooks written prior to 2013 and on the JSC website regarding
the hierarchy of the courts may be out of date. This is especially important in terms of changes
made by the 2013 Constitution relating to the Constitutional Court. Please double-check the
content of these sources against current legislation and relevant sections of the Constitution).

24
The legal profession in Zimbabwe

4: THE LEGAL PROFESSION IN


ZIMBABWE

discussion topics

• Hierarchy, functions, composition and nature of the courts in Zimbabwe.


• The Judicial Service Commission.
• Appointment of judges and magistrates.
objectives

• To gain an understanding of the history of the legal profession in


Zimbabwe.
• To explain the legal profession in Zimbabwe today.
• To explain the nature of reserved legal work
• To set out the requirements for admission as a legal practitioner.

Background
In most countries – and Zimbabwe is no exception – there are strict laws
and regulations about who can call themselves a lawyer or who can hold
themself out to be a lawyer. This is to ensure that the latter has achieved the
necessary standards of education and legal training and are regulated by a
professional body such as a Law Society or a Bar Association that has powers
to discipline its members, hold a register of members and arrange ongoing
training for them. The ultimate aim is to create safeguards to ensure that
the public is protected against dishonest practitioners and/or the untrained.
Lawyers either work in private law firms as legal practitioners (attorneys and
advocates) or in the public sector as prosecutors, magistrates and judges.
The wider definition of the legal profession includes legal advisers in both
the private and public sectors. In the private sector, most legal advisers are
employed by large companies, and in the public sector in government
departments such as ministries and parastatals.

25
Module 1: – An Introduction to Law

4.0 Key Elements of the Legal Profession


The key elements of the legal profession are the ability of its members to
appear on behalf of a client (including the state) in courts; adhere to high
ethical standards; be regulated as a member by a body such as a Law Society;
and have a duty to their clients. They must also take personal responsibility
as a professional for their actions and for any advice they give to clients.

4.1 The Legal Profession in Zimbabwe


In Zimbabwe, lawyers are termed ‘legal practitioners’ and the legal profession
as a whole is governed by the Legal Practitioners Act (Chapter 27:07) and
the accompanying regulations. It sets out the conduct expected of legal
practitioners as well as the necessary academic and character requirements
to become a registered legal practitioner.

4.2 Reserved Legal Work


There are also legal regulations about specific categories of legal work
that can only be carried out by individuals who are registered as legal
practitioners. These special categories of legal work are often referred to
as ‘reserved legal work’. The Act also sets out penalties against individuals
carrying out reserved legal work when they are not authorised to do so.
Any breach of these regulations is an offence which may be punishable by
a prescribed fine or imprisonment.

26
The legal profession in Zimbabwe

Box 4.1: Examples of reserved legal work


This relates to drawing up documents relating to the
Conveyancing sale of land or property where such documents are to be
filed with the Deeds Registry Office.

Notarially executing, attesting or authenticating


documents. Examples include Trust deeds and other
Notarial work such deeds that must be filed with the Deeds Registry
Office. This can only be done by a legal practitioner who
is registered as a Notary Public.

Drafting and preparation of documents related to


Drafting wills for payment
distribution of property upon death.

Issuing summons/process or instituting/defending


Issuing process in proceedings in court in another person’s name
another’s name (directors or employees of companies, or partners, may
do so on behalf of their companies or partnerships).

Preparing partnership Preparing contracts relating to the creation or


agreements dissolution of a partnership.

Preparing Memorandums or Articles of Association of a


Preparing specified company
company (this does not apply to chartered accountants
documents
or members of the Chartered Institute of Secretaries).

Representing clients and making oral submissions


in court on behalf of clients (with the exception of
Advocacy in court
the Labour Court, where paralegals may make oral
submissions on behalf of the party concerned).

For paralegals, this is particularly important, since many of the legal tasks
that they perform (such as interviewing clients, drafting legal documents
and giving advice) overlap with tasks carried out by lawyers. As paralegals
are not registered legal practitioners, they cannot carry out any form of
reserved legal work. See Sections 8, 9 and 10 of the Legal Practitioners Act
[Chapter 27:07] for further information. Examples of reserved legal work as
gleaned from Section 10 of are set out in Box 4.1 (above).

4.3 Legal Practitioners and Advocates


In Zimbabwe, the term ‘legal practitioner’ refers to advocates and to legal
practitioners.

27
Module 1: – An Introduction to Law

4.3.1 The Position Prior to 1981


Before 1981, the legal profession in Zimbabwe was divided into two separate
branches – attorneys and advocates – and was thus a divided system. (This
arrangement is still practised in other parts of the world, in Great Britain, for
example.)
The main distinction between the two branches within the divided
system was that attorneys dealt directly with clients and had no right to
appear and make oral submissions before superior courts (i.e. the High
Court and the Supreme Court). Advocates, on the other hand, appeared
before superior courts and made oral submissions. They did not receive
instructions to act directly from the public, only from another lawyer, and
worked in groups of offices known as Chambers.
The two professions were fused in 1981 by virtue of provisions in the
Legal Practitioners Act. The main reasoning for so doing was political.
Before independence, most advocates were persons of European heritage
(i.e., white persons), in line with the colonial segregation policies of that era.
In post-independent Zimbabwe, the two professions were fused as part of a
wider drive to give black lawyers (who were mostly practising as attorneys)
the right to appear before superior courts.
4.3.2 The Position Today
The profession in Zimbabwetoday is fused, and both advocates and former
attorneys are jointly referred to as legal practitioners and have rights of
audience before the superior courts ( Box 4.2, right ).
That said, there are advocates who practise voluntarily in chambers in
a similar manner to advocates in a divided system. You may come across
a term that is often used to refer to these advocates as the ‘de facto bar’ or
‘de facto’ advocates, meaning that they do this as a matter of practice, even
though there is no longer any law that officially establishes advocates as a
separate class.

4.4 Admission as a Legal Practitioner


There are regulations that set out the conduct and character traits expected
of a legal practitioner. There are also detailed academic requirements for

28
The legal profession in Zimbabwe

Box 4.2: The differences between Advocates and Attorneys

Advocates Attorneys

Could not receive instructions


from the public to act directly. Attorneys dealt directly
Instructions had to come from with clients.
Before Independence : an Attorney. They had no right to
The ‘divided system’ Had the exclusive right to appear and make oral
appear before the superior submissions before
courts and made oral the superior courts.
submissions.

Both referred to as Legal Practitioners with rights of


Post-Independence
audience in superior courts.

becoming a registered legal practitioner. For the purposes of this handbook,


only key aspects relating to the requirements need be given.
In his book An Introduction to Law, Professor Lovemore Madhuku lays
out six requirements to be admitted as a legal practitioner. The following
concepts were gleaned from Section 5 of the Legal Practitioners Act.

1. Comply with the formalities prescribed by law.


This means an applicant must adhere to all the guidelines provided in the
Act and Regulations which include the following:
1. The timescales for notifying the Law Society about their intention to
be registered as a legal practitioner
2. The court to which they should make the application
3. The paying of any relevant fees
4. The manner and specific steps an applicant must take to submit
his/her application for registration.

2. Possess the educational qualifications prescribed in rules made by the Council


for Legal Education.
A person must have a law degree in order to register as a legal practitioner
in Zimbabwe. This must be obtained from an institution in Zimbabwe or an
approved foreign university (a list of the recognised countries is set out in the
legislation). In addition to this requirement, they must pass (or be exempted

29
Module 1: – An Introduction to Law

from) professional legal exams set by the Council of Legal Education. These
include the Common Law of Zimbabwe, Civil Practice and Procedure, Law
of Evidence, the interpretation of Statutes and Book-Keeping.
The Council of Legal Education was set up under the Legal Practitioners
Act to regulate the quality and provision of legal training in Zimbabwe.

3. Be normally resident in Zimbabwe or a reciprocating country.


They must live in Zimbabwe as their permanent home. Alternatively, they
must live in a reciprocating country, in other words, a country that has
an agreement with Zimbabwe in which the citizens of both are allowed
privileges to practice law in each other’s countries. Often, such countries will
have a similar legal system. If this is not the case, the applicant must obtain
authority exempting them from this residence requirement.

4. Be of or above the age of 21.


The applicant must be an adult with sufficient maturity and life experience.
This ties in with the need for a lawyer to be an independent professional
who takes personal responsibility for their actions and for any advice they
give to clients.

5. Be not an unrehabilitated insolvent.


This means that the applicant must not be an individual who has been
declared by a court to be unable to repay his debts. This requirement ties
in with the need to have legal practitioners who are financially prudent and
will not put the public they serve at risk if they are to be entrusted with
clients’ funds.

6. Be a ‘fit and proper’ person.


These aspects relates to character traits such as honesty, trustworthiness and
reliability. It would, for example, exclude applicants with criminal convictions
with an element of fraud for instance. It is important to note that the courts
have held that this requirement does not allude to the physical appearance
of an applicant. See, for example, In re: Chikweche 1995 (1) ZLR 235 (S)

4.5 The Law Society of Zimbabwe

30
The legal profession in Zimbabwe

This is a statutory body, i.e., it was set up by operation of law. Its main
function is to regulate the legal profession in Zimbabwe. It holds a register
of all lawyer members, investigates complaints against its members and
disciplines them for professional misconduct where necessary. It also
arranges for their ongoing training.
All legal practitioners who practice in Zimbabwe must apply to be on
its register and, upon payment of an appropriate fee, they are issued with a
practising certificate that is renewable annually, subject to maintenance of
good professional conduct and adherence to the Law Society’s requirements
for continuing legal education. This certificate entitles legal practitioners to
undertake reserved legal activities such as appearing before courts.
In certain circumstances a practising certificate can be withdrawn. For
example, Section 78 of the Legal Practitioners Act stipulates that:
(1) If, after due inquiry, the Council of the Society is satisfied that a legal
practitioner has not complied with any term or condition of a practising
certificate held by him, the Council of the Society may withdraw the
practising certificate and, if it does so, shall direct the secretary of the Society
to advise the legal practitioner accordingly.
As a paralegal, it is important to remember that it is an offence for any
individual to undertake reserved legal activities without a practising
certificate. If in doubt about whether any specific type of work is reserved, it
is prudent to confirm the position by referring to the Legal Practitioners Act
before carrying out the assignment.

Exercises and further reading


Overleaf.

31
Module 1: – An Introduction to Law

Exercises
1. What is ‘reserved legal work’ and which piece of legislation sets
out what constitutes reserved legal work? What are the penalties
for carrying out unauthorised reserved legal work?
2. Explain the term ‘de facto bar’.
3. What are the requirements for an applicant seeking registration as
a legal practitioner in Zimbabwe?
4. True or false? In relation to an applicant seeking registration as a
legal practitioner, the expression ‘ fit and proper person  ’relates to
an applicant’s physical appearance. Explain your answer.

Further Reading
Madhuku, An Introduction to Law in Zimbabwe, Chapter 6.
Legal Practitioners Act [Chapter 27:07].

32
5: AN OUTLINE OF COURT
PROCEDURES
discussion topics

• Civil procedures.
• Action and application procedures.
• A brief introduction to criminal procedure as it relates to arrest, bail
and securing the presence of the accused.

objectives

• To gain an understanding of the civil procedures of Magistrates’


Courts and the High Court in Zimbabwe.
• To gain an understanding of the difference between an ‘action’ and
an ‘application’.
• To gain a brief understanding of criminal procedure as it relates to arrest,
bail and securing the presence of the accused.

5.1 Civil Procedures


Civil procedures are governed by Rules of Court. There are separate
procedures for Magistrates’ Courts and the High Court. Magistrates’ Courts
Rules deal with civil procedures in the Magistrates’ Court and High Court
Rules set out rules and procedures for the High Court. This section deals
with procedures common to both courts.

5.1.1 Action and Application


The difference between an ‘action’ and an ‘application’ is that an application
is used in straightforward cases where there is no dispute of fact between
the parties, yet the parties require a court’s ruling in circumstances where
they are in substantial agreement on the facts in dispute. The evidence is
presented to a judge on the papers filed either in court or in his chambers
and he makes an order, often without the need for oral evidence or with
limited oral evidence.

33
Module 1: – An Introduction to Law

An action, (also referred to as civil trial procedure), is where legal


proceedings are issued and commenced by way of a Summons when there
is a dispute of fact between the parties and where the matter will proceed
to trial. Oral evidence will be led by both parties before a judge issues his
judgment.

5.1.2 Steps in a Court Action


Letter of Demand
A Letter of Demand sets out the plaintiff’s case. A plaintiff is the party
making the claim and a defendant is the party against whom the claim is
made. This document is often the first piece of correspondence received by
the defendant notifying them that the plaintiff intends to take legal action
against them. In Zimbabwe, the Letter of Demand is only a legal requirement
for the issue of legal proceedings if the parties have previously contracted
and made this a pre-requisite.
In recent years, the trend in other legal jurisdictions (notably the United
Kingdom and other European jurisdictions) is that a Letter of Claim, Great
Britain’s equivalent) is a pre-requisite for issuing legal proceedings. There are
strict requirements as to its format and the information it should contain
as part of a pre-litigation/pre-action process. These stipulations attempt to
force parties to set out the important details of their claim at the earliest
stage before spending huge sums of money on issuing a claim. This also
allows the defendant to fully understand the plaintiff’s claim and to settle, if
appropriate.
In Zimbabwe, if a Letter of Demand is issued there is no prescribed format
as to its length or content. It often contains enough information to enable the
defendant to understand the nature of the claim, any monetary sum being
claimed (and how much) or the conduct the plaintiff requires the defendant
to follow or to desist from doing, a date by which the required action should
be taken and the consequences for the failure by the defendant to pay up
or act in accordance with the demands of the plaintiff. See Appendix A for
an example of a Letter of Demand.

34
An outline of civil court procedures

Pleadings
Various documents are exchanged between the parties from the start of
the matter until the date of the trial. They set out the basis of the plaintiff’s
case and the defendant’s defence and are known as ‘pleadings’.

Time limits
There are also time limits within which the documents have to be served.
Every practitioner should be familiar with the limitations. Failure to comply
can be fatal to a party’s case, resulting in a judgment in default being
obtained against them. They are exchanged in the order set out below.

1. The Summons
In both the High Court and the Magistrate’s Courts, a Summons is the
first pleading the plaintiff issues to notify the defendant of a claim. In a
Magistrate’s Court, it contains the plaintiff’s Particulars of Claim. In the
High Court, the Summons contains the plaintiff’s Declaration. These two
documents set out the particulars of the plaintiff’s claim in more detail. The
Summons is usually signed by a legal practitioner or by the plaintiff himself,
if he is not represented by a lawyer. The Summons needs to be issued by
the court, i.e., stamped as having being received by the Clerk of Court or
Registrar, who are officials responsible for receipt of documents filed in a
Magistrates’ court and the High Court, respectively, and then they are served

35
Module 1: – An Introduction to Law

(delivered) on the defendant. In a Magistrate’s court they are served on the


defendant by an official known as a Messenger of Court; in the High Court
this is done by a Sheriff. Once this has been done, the Messenger of Court/
Sheriff will obtain a a Return of Service, which confirms when and where the
Summons was served and to whom. Appendix B provides an example of a
Summons.

2. Appearance to Defend
An Appearance to Defend is a document issued by the defendant indicating
their intention to defend the matter. If it is not filed with the court within the
stipulated timescale, the plaintiff may obtain a judgment in default against
the defendant. The term ‘judgment in default’ simply means that the court
can award the plaintiff a judgment in his/her favour because the defendant
did not file the document within the time stipulated by court rules. If the
defendant does not wish to defend his or her position, he/she may admit
the claim at this stage andpay the sum claimed. The term ‘admitting a
claim’ refers to the defendant acknowledging or conceding that he/she is
indebted to the plaintiff in the manner claimed. He/she may also be liable
for (have to pay) the plaintiff’s costs in pursuing the claim up to the date of
its admission.

3. Summary Judgment
If the plaintiff believes that the defendant does not have a valid defence
and has only served an Appearance to Defend to delay matters, he/she may
apply for a summary judgment. This is a request to the court to make a
judgment on the available facts without proceeding to trial. As the burden
of proof in a summary judgment is very strict, the plaintiff will usually only
make an application for Summary Judgment when he/she is very certain
that they have the evidence to convince the court of the fact that the
defendant has no defence at all.

4. Request for Further Particulars


Before filing their Plea (Defence), a defendant can file a pleading requesting
further clarification from the plaintiff to enable him/her to file a detailed

36
An outline of civil court procedures

defence. It will often contain questions requiring specific responses from


the plaintiff, for example, ‘When was the contract between the Plaintiff and the
Defendant entered into?’ All questions must be answered. See Appendix C for
a copy of a sample request for further particulars.

5. The Defendant’s Plea


After this, the defendant will file his/her defence in response to the plaintiff’s
claim. This is known as a ‘Plea’ and contains the defendant’s version of
events. It should respond to every issue raised in the plaintiff’s Summons
and Particulars of Claim or Declaration as the case may be and be very
carefully written. If the defendant does not deny certain/all allegations made
by the plaintiff, the court may assume that they have been accepted. At this
stage, the defendant may file a counterclaim, if appropriate. A counterclaim
is a claim filed in turn by the defendant against the plaintiff. The Plea must
be filed with the court within the stipulated timescale and served on the
plaintiff. See Appendix D for a copy of a sample Plea.

6. Request for Further Particulars


Following receipt of the defendant’s Plea, the plaintiff may also request a
clarification of issues in the Plea by filing their request for further particulars.

7. Plaintiff’s Replication
This is the plaintiff’s reply/response to the issues/allegations raised by the
defendant in his/her Plea The plaintiff may also issue a ‘Plea in reconvention’,
i.e., a defence to the issues raised by the defendant in their counterclaim.

8. Close of Pleadings
This signals the end of the exchange of the pleadings. At this point, the
parties ‘join issue’, i.e. , confirm the issues in dispute and request a trial date
from the court.

9. Discovery
This is a process through which the plaintiff and the defendant simultaneously
disclose (reveal) the documents and exhibits that they each intend to rely
on at trial. The purpose is to ensure that neither party is taken by surprise

37
Module 1: – An Introduction to Law

at the trial. This is an opportunity for both parties to establish the strength
of their cases and choose to settle, if appropriate. Documents that are not
presented to the other side during the process of Discovery may not be
used at the trial.

10. Pre-trial Conference


A pre-trial conference is a meeting before the trial between the parties
and the judge/magistrate, where the latter attempts to define the issues
in dispute and to ‘case manage’ the trial. Here, the judge/magistrate will
attempt to get the two sides to agree on certain issues, such as to confirm
the number of days the trial is likely to take, whether the parties will call
witnesses and/or experts to give evidence and other such important
matters related to the trial. Once the court has issued a trial date, the first
party to receive notification of it must file and serve on the other parties a
notice of ‘set down’ (see Appendix E), i.e., making everyone involved aware
of the trial start date.

11. Trial
The witnesses for each party will give oral evidence and they will be cross-
examined by the lawyer(s) representing the other side. Cross-examination
involves asking questions to ascertain the truthfulness of witnesses’
evidence. The purpose is to draw attention to the deficiencies/irregularities
in the other side’s case. Each party will also attempt to put forward evidence
that supports their case and to show why judgment should be made in
their favour. However, the burden of proof is on the plaintiff to prove his/her
case beyond a balance of probabilities.

12. Judgment
At the end of the trial, the judge/magistrate will give a judgment on the
matter, including any order for the payment of legal costs by the parties.
After this is done, if the party against whom judgment has been made (the
judgment debtor) fails to make payment within the stipulated timescale, the
successful party (the judgment creditor) can attempt to enforce judgment
by executing against (requisitioning) the property of the other party or

38
An outline of civil court procedures

by obtaining a garnishee order, which is an order made against wages


or salaries and directs the employer of the judgment debtor to pay the
judgment creditor directly. Alternatively, the judgment creditor may obtain
an order for civil imprisonment, which will force the debtor to pay upon the
threat of being imprisoned.

13. Appeal and Review Procedure


If the unsuccessful party is disatisfied with the judgment, he/she may decide
to appeal to a superior court for the decision to be overturned or to apply
for review. Here, the main difference is that an appeal is a request that the
superior court revisit the findings/decision of the lower court. This approach
deals with what is known as the ‘merits’ of the judgment. A review, on the
other hand, is a challenge to the procedure that was adopted by the judge.
In a review, the person making the application (the Appellant) challenges
the decision and asserts that there were irregularities in the way the judge
reviewed the evidence or conducted the trial.

5.1.3 Steps in Application Procedure


As mentioned earlier, application procedure is the method a party can use
to bring a claim to court where there is no dispute of fact.

Application and Founding Affidavit


When a party commences an application, he/she is known as the Applicant.
He/she files an application and a founding affidavit, which is a witness
statement setting out his/her version of events and confirms the order that
he/she wishes the court to make. Here, an ‘order’ is an official proclamation
by a judge that defines the legal relationships between the parties in court
proceedings. It may require or authorise the carrying out of certain steps by
one or more parties to a case. The proposed order that the applicant seeks
from the court is attached as a draft as part of the application. This ‘draft
order’ will enable the judge/magistrate to ascertain what relief/assistance
the applicant is seeking from the court. At the end of the proceedings,
after reviewing the draft order, the judge/magistrate will issue his/her final
order.

39
Module 1: – An Introduction to Law

Here, he/she can either:


• Confirm and adopt as the final order in its entirety
• Amend and then issue the final order
• Replace it entirely by the insertion of his/her own proclamation and
then issue the final order.

The Opposition and Opposing Affidavit


In response, the respondent files their opposition and an opposing affidavit
that sets out his/her version of events and disputes or accepts the facts and
allegations in the applicant’s Affidavit. The respondent indicates whether he/
she denies or agrees with each of the assertions in the applicant’s pleadings
and gives supporting reasons.

The Applicant’s Answering Affidavit


This is the applicant’s response to the issues in the opposing affidavit.

Heads of Argument, Oral Hearing and Judgment


The parties then file their legal arguments, citing case law to support their
respective cases. In doing so, they attempt to sway the judge to their
viewpoint and to show how the law should be applied in this case. After
this, a hearing in court may take place, at which the lawyer for each party
may submit their legal arguments orally. Once this has been completed the
judge issues his/her order.

5.3 Criminal Procedure – Arrest, Bail and Securing the presence


of the Accused
What follows is a brief introduction to the basics of criminal procedure and
the process of arrest and bail. It is important to get legal representation and
correct legal advice if someone is arrested.
An arrest is the act of depriving a person of their liberty and usually takes
place in relation to a purported investigation or prevention of crime.
In general, when a person is arrested, the police will:
• Identify themselves to them as the police
• Tell them why they are being arrested
40
An outline of civil court procedures

Box 5.1: The three main methods of securing the presence of the accused

An arrest may be carried out with or without a warrant. An arrested


person must be taken to a police station as soon as possible and may
only be detained at the police station for a maximum of 48 hours
Arrest before being brought to court. The 48-hour period may be longer
where it is over a weekend or if it expires after 4 p.m. on a working
day. If the police intend to detain a person beyond 48 hours, they
must obtain a warrant from a judge or magistrate.

The issue of a summons to appear in court is initiated by a


Summons prosecutor. It is issued by the clerk of court and served by a
messenger of court.

This is where one country transfers a suspected or convicted criminal


to another country. It may be effected through treaties between
Extradition
countries or through ad hoc arrangements. The relevant legislation
in Zimbabwe is the Extradition Act [Chapter 9:08].

• Tell them what crime they think they have committed


• Explain why it is necessary to arrest them
• Explain to them that they are not free to leave
See Section 70 of the Constitution on the rights of accused person for
further information.
The next step in their investigation is to decide whether they have a
strong enough case to go to court, i.e., prosecute an accused person.
Criminal prosecutions in Zimbabwe are carried out by the Prosecutor
General, who is the head of the National Prosecution Authority (NPA) or his/
her representatives, who are officials of NPA. The decision about whether
to prosecute or not rests with the Prosecutor General. This is done by
considering factors such as:
• If there is sufficient evidence
• The nature of the offence
• Whether the accused has any immunity. (Certain diplomats, for
example, are immune from prosecution.)
In Magistrates’ Courts, prosecutions are conducted by prosecutors who
represent the Prosecutor General. The prosecutor is the legal party

41
Module 1: – An Introduction to Law

Box 5.2: Key deciding factors for granting bail following arrest and detention
The likelihood that the accused will abscond – the type/nature of the
offence has a bearing on the likelihood of absconding. Usually, the more
1
serious the offence, the greater the chance that the prosecution will decide
this is likely to happen.

The likelihood of interference with witnesses or evidence. Examples of


interference include violence, bribery, threats or improper pressure to get
2 a witness to get them to change their evidence. It may, for example, be
considered whether the witnesses live in the same home as the accused. In
those circumstances, there is a chance that this will happen.

The likelihood that the accused will commit another offence – the accused’s
3 previous criminal history will be examined, which help determine whether
the accused is likely to commit another crime.

responsible for presenting the case in a criminal trial against the individual
who has been accused of breaking the law. His/her role is to assist the
court with arriving at the correct verdict. Prosecutions in the High Court are
usually conducted by law officers from the Prosecutor General’s office who
are registered legal practitioners.

Securing the presence of the accused


Criminal proceedings are preceded by securing the presence of the accused.
The three main methods of doing this are shown in Box 5.1:

Bail
In certain circumstances following arrest and detention, the accused may
be released on bail. Bail may also be granted after conviction pending
appeal. Depending on the severity of the offence, bail may be granted by
the police, a magistrate or the Prosecutor General. It is important to get
advice from a lawyer (if at all possible) when appearing at a bail hearing.
The main factors that are taken into account when deciding whether bail
can be granted are shown in Box 5.2.
Where bail is sought pending an appeal, the two key factors the
magistrate will consider are the likelihood of the accused absconding and
the prospects of success on appeal.

42
An outline of civil court procedures

Exercises
1. What is the determining factor in deciding whether to use action
procedure or an application when commencing legal proceedings?
2. What is your understanding of the term ‘Defendant’s Plea’?
3. What steps can a party who has obtained judgment/order against
another take if the judgment debtor refuses to pay him?
4. What does a magistrate consider in relation to deciding whether to
grant an accused bail?

Further Reading
Madhuku, An Introduction to Zimbabwean Law, pp. 107-25.
Section 70 of the Constitution of Zimbabwe, Amendment No. 20
(2013).

43
Module 1: – An Introduction to Law

6: STATUTORY INTERPRETATION
discussion topics

• Rules of statutory interpretation


• Maxims of statutory interpretation
• Presumptions of statutory interpretations
• Aids to statutory interpretation

objectives

• Identify and explain the rules of statutory interpretation


• State the circumstances when these rules are applied by the courts
• Understand the presumptions and maxims of statutory interpretation

Introduction
Suppose that every morning you woke up and made yourself a pot of filter
coffee… but… did YOU really make that coffee? You put the coffee grounds
into the dispenser, then you poured the water in and finally you turned on
the machine. The water was then siphoned through the coffee grounds
and brown (coffee) water inevitably ended up in the pot. You had to be the
one who that made the coffee, right? Technically, however, someone could
argue that it was the coffee machine that made the coffee and you simply
helped it through the process.
Typically, if you look up a verb such as ‘do’ in a dictionary, there will be a
long list of sentences explaining its meaning, each based upon the context
that the word is used within the English language. What is in question here
is the meaning of ‘make’? This may seem trivial, but if someone faced a
jail term depending of whether or not they made coffee, it would be an
extremely serious matter.
Parliament passes many statutes each year. The meaning of the law in
these statutes should be clear and explicit but this is not always achieved.
Statutory interpretation concerns the role of a judge when he/she is trying
to apply an Act of Parliament to an actual case. The wording of the Act may

44
Statutory interpretation

seem clear when it is drafted and checked by Parliament, but it may still be
problematic in the future. The objective of interpretation is to arrive at the
legal meaning of a statutory provision, i.e., the meaning intended by the
legislature.

Rules of interpretation
When determining the meaning of words and phrases used within a statute,
courts rely on the rules of statutory interpretation. As already mentioned,
the objective of interpreting a statute is to ascertain and decipher the
legislature’s intent. The first step in interpreting any statute is to review and
read the language it uses, and if the language is clear or unambiguous then
no further analysis is needed. If the meaning of a word or phrase is unclear,
the court will resort to the rules of interpretation. It is important to note that
the rules of statutory interpretation are only a guide for the judiciary .
Judges in Zimbabwe generally apply three basic rules of statutory
interpretation, and similar rules are also used in other common law
jurisdictions. These are the literal rule, the Golden rule and the mischief rule.
Although judges are not bound to apply them, they generally use one of
the three approaches, and the approach chosen often reflects the judge’s
own viewpoint.

45
Module 1: – An Introduction to Law

The Literal Rule


Under the literal rule, which is sometimes referred to as the ‘ordinary
meaning’ rule or the ‘plain meaning’ rule), it is the task of the court to give
the words of a statute their literal or ordinary everyday meaning, regardless
of whether the result seems sensible.
The literal rule is often applied by conservative judges who believe that
their Constitutional role is limited to applying laws enacted by Parliament.
Such judges are wary of being seen as creating law, as they see this as
being strictly limited to the elected legislative branch of government. In
determining the intention of the legislature in passing a particular statute,
this approach restricts a judge to the so-called ‘black letter’ of the law. The
literal rule is the approach taken by most judges, and an example case in
Zimbabwean law is that of Kuvarega v Registrar General, where the court
consulted dictionaries to establish the meaning of the word ‘utter’.
There are a number of disadvantages in using this rule. It is often called
the ‘dictionary rule’, but dictionaries show that there are several meanings to
one word, which can complicate things. It also restricts judicial creativity and
holds back the development of the law by not allowing it to keep up with
changing social conditions.

The Golden Rule


The Golden rule is an alternative rule to the literal rule is used where the literal
rule produces a result where Parliament’s intention would be circumvented
rather than applied. In the British case of Grey v. Pearson, 6 ER 60 (1857),
quoted with approval in Bilawchuk v Blomberg, 2000 ABQB 824, the Golden
rule was defined as follows:
In construing all written instruments, the grammatical and ordinary sense
of the words is to be adhered to, unless that would lead to some absurdity,
or some repugnance or inconsistence with the rest of the instrument, in
which case the grammatical and ordinary sense of the words may be
modified, so as to avoid that absurdity and inconsistency, but no further.
For example, in S v Takawira 1965 RLR 162, the statute made it an offence

46
Statutory interpretation

to be in possession of subversive material. If interpreted literally, the police


officer who took possession of the subversive material, the public prosecutor
who tendered it as evidence and the judicial officer who examined it at the
trial would all be guilty of the offence!
The Golden rule is therefore most often applied in order to resolve
ambiguity in statutory language in favour of the meaning that will best
achieve the intention of the legislature revealed by the statute as a whole.

The Mischief Rule


The final rule of statutory interpretation is the mischief rule, which a judge
uses to try to determine the legislator’s intention, namely the ‘mischief and
defect’ that the statute in question has set out to remedy, and the ruling
that would effectively implement this remedy. The classic statement of
the mischief rule is that given by the Barons of the Court of Exchequer in
Heydon’s Case (1854), which stated:
for the sure and true interpretation of all statutes in general, four things are
to be discerned and considered:
1. What was the common law before the making of the Act?
2. What was the mischief and defect for which the common law
did not provide?
3. What remedy the Parliament hath resolved and appointed to
cure the disease of the Commonwealth?
4. The true reason of the remedy; and then the office of all the
judge is always to make such construction or shall suppress
subtle inventions and evasions for continuance of the mischief,
and to add force and life to the cure and remedy, according to
the true intent of the makers of the Act.
Applying this rule allows the Courts to ascertain the reason behind the
promulgation of the Act by establising the ‘mischief’ (or defect) in the
common law that the Act was attempting to remedy. In other words, it
looks at what the statute set out to accomplish. Here, the courts want to
fulfil the intention of the legislature.

47
Module 1: – An Introduction to Law

The Presumptions of Statutory Interpretation


To aid interpretation, there are several presumptions (assumptions) that
guide the judiciary in interpreting Acts. Judges make presumptions about
the wording of a Statute. They know that:
• The common law has not been changed unless the Act clearly states
otherwise.
• A criminal offence requires mens rea (a guilty mind).
• The law should not act retrospectively. (This means that the law should not
apply to conduct that occurred before the law was promulgated.)
• Statutes do not interfere with legal rights already vested. (This means
that the law should not take away rights that accrued to an individual before the
law was promulgated.)
• Statutes should not undermine Constitutional law.
• The legislature does not mean to be harsh or unjust.
Parliament does not legislate in such a way that Zimbabwe would be in
breach of its international obligations.

Aids to Statutory Interpretation


Finally, there are a number of intrinsic (internal) and extrinsic (external) aids
to statutory interpretation. Put simply, these are instruments that assist
judges in drawing logical conclusions about the meanings of statutes.

Intrinsic (Internal) Aids to Statutory Interpretation


These are things found within a statute that help judges understand its
meaning more clearly.

The long and the short title


The title is the formal heading which appears at the beginning of an Act or
legislative instrument. The ‘long title’ should be read as part of the context,
as it is the plainest of all the guides to the general objectives of a statute.
It provides a summary description of the scope and purpose of the Act. The
‘short title’, on the other hand, is merely intended to provide a convenient
name for referring to it. For example, the short title of the Administration of

48
Statutory interpretation

Estates Act is the Administration of Estates Act [Chapter 6:01, but its long
title is as follows: ‘
AN ACT to consolidate and amend the law relating to the
administration of the estates of deceased persons, minors,
mentally disordered or defective persons and persons absent from
Zimbabwe, and to provide for the control of moneys belonging to
persons whose whereabouts are unknown.’

The preamble
When there is a preamble, it is will generally state the mischief to be
remedied and the scope of the Act. It is therefore clearly permissible to use
it as an aid to establishing the enacting provisions.

• Definition sections
• Schedules
• Headings
Headings, side-notes and punctuation may also be considered as part of the
context, although these elements of grammar may not have been discussed
in Parliament.

Extrinsic (External) Aids to Statutory Interpretation


These are books and publications found outside of the actual statute that
judges may consult to help them understand its meaning more clearly. They
include:
• Interpretation Act
• Dictionaries
• Historical setting
• Previous statutes
• Earlier case law
• Hansard (the official edited report of proceedings of the House of Commons and
the House of Lords (UK)

Hansard may be used where a) legislation is ambiguous or obscure, or leads


to an absurdity, b) the material relied on consists of one or more statements
by a minister or other promoter of the Bill, together with (if necessary) other

49
Module 1: – An Introduction to Law

parliamentary material necessary to understand such statements and their


effect and c) the statements relied on are unclear.

Latin Rules of language (Maxims of Statutory Interpretation)


There are many Latin rules of language that can aid interpretation, but only
three need to be discussed in detail here. These are:
1. Ejusdem generis (of the same kind).
2. Expressio unius est exclusio alterius (known from associates).
3. Noscitur a sociis (the express mention of one thing is the exclusion of another).

Ejusdem generis (of the same kind)


General words following particular words will be interpreted in the light
of the particular ones. For example, in the South African case of Powell v
Kempton Park Racecourse [1899] HL, the court had to decide on a case
where the act made it an offence to use a ‘house, office, room or other place
for betting’. The defendant was operating from a place outdoors. The court
held that ‘other place’ had to refer to other indoor places because the words
in the list were ‘indoor places’ and thus he was not guilty.

Noscitur a sociis (known from associates)


A word will be interpreted in the context of surrounding words. For example,
in the British case of Muir v Keay (1875) QBD, all buildings kept open at night
for ‘public refreshment, resort and entertainment’ had to be licensed. The
defendant argued that his café did not need a licence because he did not
provide entertainment. The court held that ‘entertainment’ did not mean
musical entertainment but the reception and accommodation of people
and thus the defendant was guilty.

Expressio unius est exclusio alterius (the express mention of one thing is
the exclusion of another)
The express mention of things in a list excludes those things not clearly spelt
out or mentioned. For example, in the British case of Tempest v Kilner (1846)
3 CB 249, a statute required that contracts for the sale of ‘goods, wares and
merchandise’ of £10 or more had to be evidenced (listed) in writing. The

50
Statutory interpretation

court had to decide if this applied to a contract for the sale of stocks and
shares. The court held that the statute did not apply because stocks and
shares were not mentioned. See the main reference text, An Introduction to
Zimbabwean Law, for other examples.

Exercises
1. Explain each of the three rules of statutory interpretation.
2. How do Latin rules of language aid statutory interpretation?
3. Do judges make law?
4. Read the case of Masasi PTC 1991(2) ZLR 73 and state the rules
of interpretation that the judge used.

Further Reading
Madhuku, An Introduction to Zimbabwean Law, pp. 144-82.

51
Module 1: – An Introduction to Law

7: CONTRACT LAW

discussion topics

• Definition of a contract.
• The essentials of a contract.
• The capacity to contract.
• Illegality.
• Void and voidable contracts.
• Breach of contract.
• Remedies for breach of contract.
objectives

• To be able to understand the nature of a contract.


• To be able to state the circumstances when a contract may be
unenforceable.
• To be able to understand what ‘breach of contract’ entails.
• To be able to understand remedies for breach of contract.

What is a Contract?
A contract is an agreement between two or more parties with legal capacity
that creates obligations that are enforceable and recognised by law. The
starting point for establishing whether there is an agreement is to confirm if
an offer was made which was validly accepted.

The Essentials of a Contract


Meeting of the minds of parties, i.e., mutual consent or consensus ad idem
(the parties must be in agreement in relation to what they are contracting).

Offer and Acceptance


i) Terms should not be vague or unclear.
ii) The intention(s) of both parties should be communicated.

52
Contract law

The serious intention to contract and to create legal relations.


• Capacity – that is both parties are able to fulfil the terms of the
contract
• Legality
• Performance – it should be possible to fully carry out.
A contract can be either oral (verbal) or written. It does not necessarily have
to be in writing unless there is a specific statutory requirement that states
that it must be on paper. Oral and writtten contracts are equally valid so long
as the party claiming the existence of the contract can prove it was agreed
on certain terms. A written contract is only important if evidence may be
needed, although it is not a requirement. The presence of an agreement is
determined by there being an offer and an acceptance.

Meeting of the minds of parties – mutual consent or consensus ad idem


One of the essentials for a valid contract is that there must be mutual
agreement or a common understanding by the parties on what they are
commiting themselves to do.

Offer and Acceptance


Offer
This is a statement by a person, called the offeror, indicating his/her
willingness to contract. It is made on the understanding that it will be
binding when accepted by the other person, who is known as the offeree.

• An offer can be made to a particular individual, to a group of persons


or to the whole world. It can be made to the owner of the item you
intend to purchase or to anybody willing to sell that particular item.
• The offer must be clear and certain and define all the terms on which
agreement is sought, without any vagueness. If the offer is vague, it
will be impossible to ascertain the intentions of the offeror. What this
means is that a valid contract does not materialise even if the offer is
accepted.
• The offer must be consistent with all the essentials of the contract and
the parties must fully agree with all aspects relating to the contract.

53
Module 1: – An Introduction to Law

In other words, there must be ‘consensus ad idem’, i.e., a union of minds.


• The offer must be communicated to the offeree, i.e., the offeree must
have full knowledge of the offer. For example, in the case of Bloom v
The American Swiss Watch Co. 1915 AD100 a person gave information
to the police about a crime, without knowing that a reward had been
advertised for supplying information. When he later became aware
of the reward money and tried to claim it, the court held he could
not. Their reasoning was that since he was unaware of the offer of the
reward at the time of providing the information he couldn’t have had
the intention of accepting the offer.

The intention to create legal relations


A contract must be made with the intention of being accepted and
a serious intention to create legal relations. The parties must have the
relevant animus contrahendi, which literally means ‘the intention to create
a contract’:
• The party making the offer must not make the offer in jest or as a
social arrangement without intending to create a legally binding
agreement. For example, in the case of Balfour v Balfour [1919] 2 KB
571 (a leading contract law case), the British defendant (husband) was
a civil engineer employed in Ceylon (now Sri Lanka). His British wife
was living with him. When they returned to England on leave, the
plaintiff (the wife) was diagnosed with a medical condition which
would not be helped by the weather in Ceylon and she chose to stay
in England. The defendant offered to pay her £30 as maintenance from
time to time. After a while, the parties grew apart and the defendant
no longer honoured his promise. The wife sued him to keep up with
the monthly payments on the basis of the arrangement they had
made. The courts dismissed her claim on the ground that this was
a social arrangement which did not create an intention to be legally
bound.
• By contrast, in Merritt v Merritt [1970] 2 All ER 760, another British law
case, Mr Merritt and his wife were joint owners of a house. When Mr

54
Contract law

Merritt moved out of the marital home to live with another woman
they reached agreement and signed a document to the effect that
Mr Merritt would give Mrs Merritt £40 every month. They also agreed
that the house would be transferred to Mrs Merritt if she paid off the
mortgage in full. However, after she had done this, Mr Merritt refused
to transfer the deeds. The court held that nature of their dealings,
together with the fact that the Merritts had separated when they
signed their contract, enabled it to assume that their agreement was
more than a domestic arrangement. Hence, it was a valid contract and
the Court held that the house belonged entirely to the wife.
• The offer may be verbal, written or implied. An example of an implied
offer is if a person boards a taxi, the owner of the taxi makes an
implied offer to the person to ride in his vehicle for a specific purpose.
The passenger accepts the offer by taking a seat and tending his fare.
• The offer must not have been withdrawn by the offeror. If the offer
is revoked, cancelled, terminated or retracted, then even if an offeree
professes to accept it after it has been withdrawn, no contract comes
into being.
• An offer can be terminated if it is rejected by the offeree, and in more
than one way. It may terminate on the expiration of a fixed period
within which it was meant to be accepted or, if there is no such fixed
period within which an offer should be accepted, it may lapse after
a reasonable amount of time has passed. (What is ‘reasonable’ is
determined on the facts of each case.) It can also be terminated by the
death of the offeror.

Invitation to treat
• A party merely making an initial statement of the terms upon which he
intends to contract does not amount to making an offer. It is only an
invitation to ‘treat’, i.e., declaring a willingness to enter into negotiations.
• As is not an offer it cannot be accepted as forming a valid contract.
For example, in the South African case of Crawley v Rex 1909 TS 1105,

55
Module 1: – An Introduction to Law

the court held that goods priced and displayed for sale in a shop were
not firm offers but simply invitations to treat. The court held that a
customer only makes a firm offer when presenting goods at the till
and a valid contract ensues when the person at the till accepts the
offer on behalf of the shop. A firm offer should be unconditional and
unqualified.
See also the cases of Carlill v Carbolic Smoke Ball Co [1893] 1 QB 25 and Lee
v American Swiss Watch Company 1914 AD 12.

Acceptance
An acceptance of an offer is an indication, whether express or implied and
made while the offer remains open, of the offeree’s willingness to be bound
unconditionally to the terms stated in the offer.
• The term ‘unconditional’ means the acceptance of an offer must result
in a binding contract with no further negotiations. In accepting an offer,
the offeree must not attempt to insert new conditions.
• Acceptance must be unconditional/unequivocal and sufficiently clear
so that there is no doubt about the offeree’s intentions in accepting it.
Acceptance must also be communicated to the offeror, i.e., it must be
brought to the attention of the offeror.

Counter-Offer
A counter-offer is where the offeree, instead of unconditionally accepting
the offer, makes his/her own offer to the offeror. It is not a valid acceptance.
Instead, the offeree is taken to have made a new offer which can be accepted
or rejected by the offeror. For example, in the case of Hyde v Wrench [1840]
3BEAV 334, one party offered to sell another an estate for £1000. The offeree
subsequently made an offer for £950 pounds, which the seller turned down.
The offeree then contacted the seller to say he was now prepared to buy
the estate at the full price. The court held that there was no valid contract as
the first offer had been rejected. Instead, the offeree had made a new offer
– a counter-offer – for the offeror to accept or reject.
Here, it is important to note that a request for further clarification of the

56
Contract law

terms of the offer is not necessarily a counter-offer and it does not destroy/
terminate the original offer. If there is a dispute in a litigated matter as to
whether it is one or the other, the answer is usually determined by the
courts, based on the facts of the case.

The Contract Should Be Capable Of Performance


An agreement cannot be deemed to be a contract if performing (carrying
out) the obligation is impossible or outside human capability. In other words,
the obligation must be capable of performance.

Illegality
• The contract should not be illegal
• The parties involved should not agree upon anything unlawful.
(The court will not enforce an illegal contract.)

‘Statutory illegality’ occurs when an agreement contravenes a piece of


legislation, either in the form of a statute or statutory regulation or by-law.
This type of contract is null and void.
‘Common law illegality’ occurs when the contract is contrary to good
morals – such as a contract for gambling or prostitution. A court will not
uphold a contract that is contrary to public policy.

Capacity
Capacity to contract
A key element of a valid contract is that the parties should have the capacity
to contract. This means the legal ability to enter into a contract.
Both natural persons (human beings) and fictional legal persons (such as
companies, co-operatives, and societies) can enter into contracts. Having
said that, there are certain classes of person who, in the eyes of the law, have
what is know as diminished capacity to contract or no capacity at all.
In respect of minors (those below the age of 18), insolvents (financially
bankrupt), the insane, intoxicated persons (those under the influence of
alcohol or mind-affective drugs), persons married in community of property
(everything each spouse owns and all their debts are included in a joint

57
Module 1: – An Introduction to Law

estate), and prodigals (financially reckless) may be considered to have either


diminished or no capacity to contract in certain situations.
Historically, as far as fictional legal persons (companies, for example)
are concerned, the general rule under common law is that its capacity
to contract is determined by the contents of its governing documents,
documents which define the objects of the company (i.e., what a company
is empowered to do). Governing documents are a company’s Memorandum
of Association and Articles of Association. Under common law, a company
is unable to contract in relation to a subject matter that falls outside the
conditions set out in its governing documents.
N.B: The position in Zimbabwe has been changed by legislation, namely Section
10(1) of (the Companies Act, Chapter 24:03). Contracts made outside the objects of
a company as set out in its governing documents are now no longer void.

Minors
The general rule is that a minor (child under the age of 16-18) does not have
contractual capacity unless he/she is assisted by a guardian, who is always
an adult. There are exceptions, however, and these are explained below.
Children under the age of 7 have no contractual capacity at all and the only
contract that can bind them is one made by their guardians on their behalf.
For children aged between 8 and 16, the general rule applies, although
there are certain circumstances where the law recognises exceptions to
the child’s right to contract without the assistance of a guardian. Typically,
these are circumstances where the law recognises that the minor is tacitly
emancipated, i.e., having his/her own profession or means of generating
his/her own financial resources fully independent from his guardians’. This
usually applies to teenagers (13-18 years of age). Upon marriage, a minor can
also be said to be tacitly emancipated. In Zimbabwe, marriage is allowed for
females from the age of 16 and so if a girl is married at that age, the law will
consider her tacitly emancipated.
Where an adult enters into a contract with a minor, the adult is bound
by the contract but the child can choose to ‘escape’ the contract in certain
circumstances. The court will uphold the obligations of the adult but the

58
Contract law

child may repudiate (reject) the contract on the basis of lack of legal capacity.
The contract may be void or voidable by the child, provided that he/she
does this before reaching the age of 18 or very soon thereafter. The main
purpose of having restrictions on the capacity of minors is to protect them
from unscrupulous adults who choose take advantage of their naivety.

Married women and community of property


A married woman’s capacity is diminished if she is married in ‘community of
property’. In this type of marriage, the husband and the wife jointly own all
property. The wife cannot enter into a contract in respect of their joint estate
without the consent of the husband. The only exception is when the wife
enters a contract concerning basic necessities, such as the purchase of food.
Most marriages in Zimbabwe are ‘out of community of property’, and in
these types the spouse’s respective property is separately owned and the
wife is at liberty to enter into contracts without the consent of her husband.
There is a presumption that a marriage is out of community of property
unless the parties elect to sign a contract before marriage (an ‘ante-nuptial’
contract) confirming their intention to be married in community of property.

Insane Persons and mental incapacity


Insanity means mental illness, and the general rule is that a person who is
insane has no contractual capacity. As an insane person will not necessarily
understand or appreciate the nature of the matter a contract he/she is
entering into, the contract will be void. Whilst this is the general rule, a court
deciding on a dispute where a party claims that a contract should be void
because of mental incapacity will consider the facts of each individual case
to determine whether or not the person was capable of managing the
particular affairs in question before declaring a contract void or valid. On
page 488 of Pheasant v Wame 1922 AD 481, Chief Justice Innes made the
following observation:
And a court of law called upon to decide a question of contractual
liability depending upon mental capacity must determine whether
the person concerned was or was not at the time capable of
managing the particular affair in question – that is to say whether

59
Module 1: – An Introduction to Law

his mind was such that he could understand and appreciate the
transaction into which he purported to enter.
In the more recent case of Executive Hotel (Private) Limited v Bennet NO
[2007] ZWSC 103, the Supreme Court upheld a decision on appeal that an
agreement of sale that was signed on behalf of a company by a company
director who lacked contractual capacity by reason of mental illness be set
aside.
It is clear, then, that a court will look at all the circumstances surrounding
a case in order to determine whether at the time of signing the contract the
person could fully understand or appreciate what was going on.

Intoxicated Persons
Intoxication refers to the consumption of alcohol or drugs to such an extent
that they lose control of their faculties and behaviour. The general rule is
that an intoxicated person lacks contractual capacity. In deciding whether
a person had contractual capacity at the time of entering into the contract,
the courts will consider whether the person was so intoxicated as to be
incapable of appreciate what was taking place. If the person was only mildly
drunk and appreciated the import of what he was doing, then the court
may decide that he/she had contractual capacity.

Insolvents
An insolvent is a person who is subject to a court order because of his
inability to discharge his debts. As a general rule, insolvents do not have
contractual capacity and can only contract through the trustees who are
appointed to run his/her estate.

Prodigals
A prodigal is a person who has a court order against him and declares
him to be incapable of managing his financial affairs. In other words, he/she
spends money in a recklessly extravagant way. A prodigal has diminished
contractual capacity since he cannot enter into a contract without the
consent of his curator (an official appointed to take charge of a prodigal’s
financial matters).

60
Contract law

Void and Voidable Contracts


Void Contracts
A void contract is unenforceable at law, because it lacks one or more
essentials of a valid contract. For example, a contract to carry out an illegal
act such as drug dealing or a contract incapable of performance would
automatically be void, as it is unenforceable at law and void ab initio (void
from the start).

Voidable Contracts
Unlike a void contract, a ‘voidable contract’ is a valid contract in that it satisfies
all the requirements of a valid contract. However, one party to a voidable
contract is obliged to perform his/her obligations under the contract, whilst
the other party has the right to set aside the contract if he/she so chooses,
in certain circumstances. Examples of such circumstances are described in
more detail below. The contract only becomes void when the party entitled
to choose to set the contract aside does so.
Examples of voidable contracts are those where there is mistake, undue
influence, duress or misrepresentation.

Mistake
A mistake may also make a contract voidable. A mistake in the realm of
contract law is an erroneous (incorrect) belief held by one or both of the

61
Module 1: – An Introduction to Law

parties at the time of contracting that certain facts are true. The error causes
the party to enter into a contract that they might not otherwise have
done.
There are two types of mistake: a mistake of law and a mistake of fact.
A mistake of law is when a party enters into a contract on the basis of a
mistaken belief/understanding relating to the law. Some jurisdictions such
as South Africa now accept that, in some circumstances, a mistake of law
can invalidate a contract. However, Zimbabwe’s courts of law consider that a
mistake of law does not excuse a party from a contract. For more detail, see
Ncube v Ndhovhu 1985 (2)ZLR 281, where a contract was upheld although it
was entered into on the basis that one of the parties was ignorant of the law.
Under Zimbabwean law, then, a mistake of law does not make the contract
voidable. The position is encapsulated in the often used legal maxim
‘ignorance of the law is no excuse’.
A mistake of fact is when there is an incorrect belief about facts that are
essential to the contract or about its terms. This will make the contract void
– or voidable –depending on the exact circumstances. The mistake must
relate to a material (essential) aspect of the contract.

The three sub-categories of mistake: unilateral, mutual and common.


A unilateral mistake is when only one of the parties involved is mistaken
about a material (essential) aspect of the contract. In legal writings this
concept is often refered to as ‘only one party labours under the mistake’. The
general rule is that the party that is mistaken must be bound by the contract,
(i.e. must perform his/her obligations under the contract). This is based on
the doctrine of ‘quasi-mutual assent’. In a nutshell, this means that because
he has led the other party to believe that he/she was binding himself to the
formal agreement, the contract must remain in place. This principle derives
from the historic British case of Smith v Hughes (1871) LR 6 QB 597.
During the trial, the judge said:
If, whatever a man’s real intention may be, he so conducts himself that
a reasonable man would believe that he was assenting to the terms
proposed by the other party, and that other party upon that belief enters

62
Contract law

into the contract with him, the man thus conducting himself would be
equally bound as if he had intended to agree to the other party’s terms.
There are exceptions to the general rule that the mistaken party will remain
bound. Examples of circumstances when a unilateral mistake can make a
contract voidable are where the other party knew about the mistake at
the time of contracting, where the other party induced the mistake by a
misrepresentation and where the mistake is reasonable.

Mutual mistake
This occurs where each party is mistaken about the other party’s intentions.
If the parties’ mistake is reasonable, then the contact between the parties
is voidable. The mistake must be in relation to a material term, i.e., an
essential part of the terms of the contract. For example, say two parties
contract to put their goods on a ship to Birmingham, but one party is
thinking of Birmingham, Alabama, in the United States of America, and
the the other is thinking of Birmingham, in the United Kingdom. This is
a reasonable mistake. However, if a party’s mistake is unreasonable which
means, it is a mistake which no reasonable person in his circumstances
would have made and X gave a certain impression to Y which induced
(persuaded) Y to contract, then X will be held to have agreed in accordance
with the impression given. This is in accordance with the doctrine of quasi-
mutual assent explained above.

Common mistake
Here, both parties to the contract are labouring under the same error. The
courts will normally rule that if the common mistake leads to a situation
where the contract is impossible to fulfil – an ‘initial impossibility’ – the
contract is void. An example of initial impossibility is where the parties’
contract for the sale of property that does not exist although both parties
believe the opposite. In this instance the contract is void from the start. If
there is no initial impossibility, then either party is entitled to set aside the
contract if the mistake is sufficiently serious. Therefore it is voidable if the
mistake relates to a material term of the contract.

63
Module 1: – An Introduction to Law

Duress
Duress occurs when a person is forced to enter into a contract by fear
induced either by the immediate threat of violence, or the threat of future
violence, on his/her person, or family or property. A contract obtained under
duress is voidable by the innocent party.

Undue Influence
This relates to any influence used to force another party into a contract that
weakens the innocent party’s powers of resistance. Such undue influence
results in a contract that would otherwise not have been agreed. It is also
voidable by the innocent party. An example would be a person in a position
of influence, such as an employer, using their power to force an employee to
enter into an agreement by threatening the employee with the loss of his/
her job if he/she refuses.

Misrepresentation
Misrepresentation is a false statement of fact that induces (influences) a
person or party to enter into a contract. It must relate to a material fact,
i.e., an important fact related to the parties’ contract. It is possible to
make a misrepresentation by words or conduct. There are three types of
misrepresentation: fraudulent, negligent and innocent:
1. Fraudulent misrepresentation is a representation with the intention to
deceive in the full knowledge that the statement of fact being made
is false.
2. Negligent misrepresentation is a statement made by a person who has
no basis to believe that the statetement of fact they make is true.
3. Innocent misrepresentation is when a person makes a statement that
he/she genuinely believes to be true but is actually false.
All three types of misrepresentation may make a contract ‘voidable’. The
contract is not automatically voided, instead it allows the innocent party to
have the contract set aside on the basis of the misrepresentation. He/she
may either choose to rescind the contract or seek an award for damages.
Rescission means he/she is entitled to treat the contract as cancelled;

64
Contract law

‘damages’ here means a compensatory sum of money calculated to


represent the type(s) of loss incurred. An example of a loss for which a party
may be compensated by an award of damages is the loss of profits from
sales of goods lost by a shopkeeper that he/she would have obtained had
the other party performed his obligations in accordance with the terms of
the contract. The level of damages awarded may differ based on which
type of misrepresentation has occurred. For example, while damages are
not available for innocent misrepresentation, they may be available for
negligent and/or fraudulent misrepresentation.

Terms of a contract
The terms of a contract are the promises, duties and obligations agreed
upon by the parties and such terms may be ‘express’ or ‘implied’.
Express terms are either said orally or written down whereas implied
terms are incorporated into the contract by virtue of its context. They may
be implied by the law, which means that terms are incorporated into the
agreement from either statute law or common law. They may be implied
from the facts of the case, which means terms can be incorporated into
the agreement based on the circumstances of the matter. Alternatively,
they can be implied from trade usage. Trade usage relates to commonly
observed rules relating to a trade or profession. In this instance, see Golden
Cape Fruits (Pty) Ltd v Footplate 1973 (2) SA 642.

Termination of a Contract
A contract is considered terminated by one of the following:
1. After it is performed (finished)
2. By mutual agreement between the parties.
3. By operation of the law, i.e., if a law is passed that makes it impossible
to perform.
4. If it is absolutely impossible to perform all of its components. In such
circumstances, the court will discharge the promissory to the extent
of the impossibility but not of the part that can be executed.
5. By novation, i.e., when both parties agree to a new or revised contract
that supersedes the earlier version.

65
Module 1: – An Introduction to Law

6. By breach of contract, i.e., the failure to perform in accordance with


(meet) the terms of a contract.
Points 1 to 5 are self-explanatory, but point 6 – breach of contract – requires
further explanation. A breach of contract is when a party fails to perform
all or part of its obligations under a contract without legal justification. This
non-performance of the obligations set out in the contract and entitles the
innocent party to cancel the contract.

Different types of breach


Material/Fundamental Breach
A breach can be ‘material’ or simply minor. A material (fundamental) breach
goes to the root of the contract and is so serious that it undermines the
contract. It also amounts to non-performance. A minor breach is self-
explanatory, referring to a small aspect of the obligations not being
performed. An example is when an item contracted to be delivered is not
delivered on time in respect of a contract where time is absolutely crucial.
Failure to deliver on time in that scenario is a minor breach and does not go
to the root of the contract.

Remedies for Breach of Contract


There are context-specific remedies for breach of contract. Examples are
discussed in the following paragraphs.
Repudiation and Rescission
‘Repudiation’ means the innocent party is entitled to cancel the contract,
thereby formally bring it to an end. This can only be done if the breach is of
a material term of the contract. ‘Rescission’ means the innocent party may
treat the contract as cancelled and it seeks to return the parties to their
respective positions before they entered the contract. This can be done if
the contract is voidable, for example, due to misrepresentation or duress or
some other such factor. In both cases, the contract is effectively cancelled.

Damages
Damages are the most common form of remedy Damages are financial
compensation, i.e., an award of money calculated to compensate a party for

66
Contract law

breach of contract. The aim of damages is to place place the relevant party
in the position he/she had would have obtained if the contract had been
performed. Damages are payable from the date that the performance of
an obligation was due. There are two points to bear in mind in relation to
damages:
i) A party must take steps to mitigate damages accruing, i.e., ensuring
– where possible – that the damage or loss arising does not continue
to increase if it is within the power of a party to minimise the loss. An
example of when this might occur is where a party is claiming damages
for destruction to his/her property in circumstances where a tenant left a
tap running. If he had seen water running and it was within his power to
turn off the tap but failed to do so, the court might hold that he failed to
mitigate his loss and only award him partial damages, to cover reasonable
loss.
ii) A court will not award damages that are ‘remote’. The concept of
remoteness relates to whether the loss was in the contemplation of
the parties. In simple terms, this means that the loss must have been
reasonably foreseeable by the party who caused it. If there is no direct
link between the events that caused the loss and the loss itself, the court
will not award damages. For example, party X breaches a contract that
results in financial loss for party Y. When the news of this breach reaches
Party Y, he/she is sitting with his grandmother, who is frail, takes the news
badly and immediately has a fatal heart attack. As a result, Party Y incurs
funeral expenses in order to bury the grandmother. When party Y seeks
to recover the cost of the funeral from Party X, the court will not award
damages as the death could not have been foreseen by Party X.

Specific performance
This is a demand from the court (a court order) directing the defaulting party
to meet its obligations by a specified date. If this does not happen he/she
can be said to be in ‘contempt of court’. However, the court will only award
specific performance if there are compelling factors, preferring to award
monetary damages as compensation where possible. Specific performance

67
Module 1: – An Introduction to Law

is unlikely to be awarded for contracts of personal service or employment


and more likely to be awarded in relation to contracts for sale of land. For
an example, see Zvoma v Amalgamated Motor Corporation (Pvt) Ltd 1988
(1) ZLR 60 (HC).

Interdict
An interdict is an order from the court directing a party to desist from (stop
doing) certain conduct that jeopardises another party’s rights under the
contract. It can be final or temporary, pending the outcome of litigation.

Exceptio non adilempti


This is a Latin term that refers to the remedy where one party states that
its obligation to perform does not arise because the other party has not
performed its own obligations.

Exercises
1. Explain the distinction between void and voidable contracts.
2. Explain the concept of consensus ad idem.
3. What are the remedies for breach of contract?

Further reading
Christie, R.H. (1985) Business Law, Cape Town: Juta and Co.
Kerr, A.J. (1989, 4th edition) The Principles of The Law of Contract, Durban:
Butterworths.
Manase, A.J. and L. Madhuku (1996) A Handbook on Commercial Law in
Zimbabwe, University of Zimbabwe Publications.
Madhuku, L. (2010) An Introduction to Zimbabwean Law.

68
APPENDICES

69
Module 1: – An Introduction to Law

70
71
Module 1: – An Introduction to Law

72
73
Module 1: – An Introduction to Law

74
75