The Employment Judge found that the solicitors (1) failed to advise the Claimant timeously that there was no prospect of settlement and (2) failed to implement the Claimant's instructions to withdraw the claim until just before the hearing. Based on this, the Judge ordered the solicitors to pay the employer's wasted costs from the date the Claimant would have withdrawn if properly advised. The Judge refused to allow the solicitors to produce their file for the first time at the hearing to show the Claimant had been advised. The appeal was dismissed, with the Judge finding the Employment Judge was entitled to refuse the late file production and did not misdirect himself on the applicable principles.
This article summarizes a court case involving a mysterious footpath where the claimant fell and was injured. The key facts of the case are unclear, such as who built the footpath, who owns the land, and the footpath's legal status. The defendant denied liability, claiming the footpath was a public right of way not requiring maintenance. Through their own investigation, the claimant's lawyers obtained documents showing the footpath was maintained by the county council and was a highway, though details remained incomplete. The judge described the case as resembling an Agatha Christie mystery story due to the unclear facts surrounding the footpath.
This document provides a history of the availability and use of declaratory relief in Australian revenue law disputes over the past 20 years. It discusses several key cases where taxpayers and the Commissioner of Taxation have sought declaratory relief. While declaratory relief was controversial after the 2007 Indooroopilly case, the document outlines how both the Federal Court and ATO now acknowledge declaratory relief may be appropriate in certain cases, such as to resolve discrete questions before an assessment is issued. The document aims to identify principles for determining when declaratory relief is suitable and potential issues to consider, such as how assessments can limit its availability.
Business Money talks to City barrister Professor Mark Watson-Gandy about sett...Sofiane Bounoua
With offices closed until recently due to Lockdown, many are now coming back to the unwelcome surprise that their piles of unopened post containing a default judgement entered against them.
This document summarizes a court case, Caparo Industries v Dickman, heard by the House of Lords in 1990. It discusses the judgment regarding whether an auditor owes a duty of care to investors and shareholders. Specifically, it examines if the appellant auditors owed a duty of care to the respondent Caparo Industries, who purchased shares in a company after reviewing audited financial statements. The judgment discusses the tension between the traditional approach of identifying duty in specific situations versus seeking a single general principle to determine duty of care.
The document summarizes a recent court case regarding a DIY house builder's claim for VAT refund that was rejected. In the case (HMRC v Asim Patel), the Upper Tribunal allowed HMRC's appeal against the First-Tier Tribunal's decision to allow the VAT refund claim. The Upper Tribunal determined that the First-Tier Tribunal was wrong to allow the appeal as the taxpayer had not furnished valid planning permission within the statutory time limit, as HMRC's new objection argued. As a result, the First-Tier Tribunal's postponement of the initial hearing was unnecessary. Additionally, the Upper Tribunal refused HMRC's application for court costs against the taxpayer, given HMRC's change in grounds for objection.
The document provides guidance for NBFCs on conducting arbitral proceedings as an alternative to dispute resolution. It outlines the basic process, including pre-arbitration steps like case identification, selecting an arbitrator and counsel. During arbitration, key steps include filing statements of claim and reply, submitting evidence and witnesses, and framing issues. Post arbitration involves receiving and enforcing the award, including through attachment of property or garnishee orders. Supplements include fee schedules and forms to support the arbitration process.
David purchased a wedding package from Syarikat Cinta Sejati that included clothes and photographs. However, he was dissatisfied with the quality of the photographs and clothes provided. The most appropriate method for David to seek compensation other than litigation is through the Tribunal for Consumer Claims. The procedures for bringing a claim to the tribunal include filing a claim form, serving notice to the respondent, attending a negotiation session, a tribunal hearing if needed, and the tribunal issuing a final binding decision with possible compensation for David.
This article summarizes a court case involving a mysterious footpath where the claimant fell and was injured. The key facts of the case are unclear, such as who built the footpath, who owns the land, and the footpath's legal status. The defendant denied liability, claiming the footpath was a public right of way not requiring maintenance. Through their own investigation, the claimant's lawyers obtained documents showing the footpath was maintained by the county council and was a highway, though details remained incomplete. The judge described the case as resembling an Agatha Christie mystery story due to the unclear facts surrounding the footpath.
This document provides a history of the availability and use of declaratory relief in Australian revenue law disputes over the past 20 years. It discusses several key cases where taxpayers and the Commissioner of Taxation have sought declaratory relief. While declaratory relief was controversial after the 2007 Indooroopilly case, the document outlines how both the Federal Court and ATO now acknowledge declaratory relief may be appropriate in certain cases, such as to resolve discrete questions before an assessment is issued. The document aims to identify principles for determining when declaratory relief is suitable and potential issues to consider, such as how assessments can limit its availability.
Business Money talks to City barrister Professor Mark Watson-Gandy about sett...Sofiane Bounoua
With offices closed until recently due to Lockdown, many are now coming back to the unwelcome surprise that their piles of unopened post containing a default judgement entered against them.
This document summarizes a court case, Caparo Industries v Dickman, heard by the House of Lords in 1990. It discusses the judgment regarding whether an auditor owes a duty of care to investors and shareholders. Specifically, it examines if the appellant auditors owed a duty of care to the respondent Caparo Industries, who purchased shares in a company after reviewing audited financial statements. The judgment discusses the tension between the traditional approach of identifying duty in specific situations versus seeking a single general principle to determine duty of care.
The document summarizes a recent court case regarding a DIY house builder's claim for VAT refund that was rejected. In the case (HMRC v Asim Patel), the Upper Tribunal allowed HMRC's appeal against the First-Tier Tribunal's decision to allow the VAT refund claim. The Upper Tribunal determined that the First-Tier Tribunal was wrong to allow the appeal as the taxpayer had not furnished valid planning permission within the statutory time limit, as HMRC's new objection argued. As a result, the First-Tier Tribunal's postponement of the initial hearing was unnecessary. Additionally, the Upper Tribunal refused HMRC's application for court costs against the taxpayer, given HMRC's change in grounds for objection.
The document provides guidance for NBFCs on conducting arbitral proceedings as an alternative to dispute resolution. It outlines the basic process, including pre-arbitration steps like case identification, selecting an arbitrator and counsel. During arbitration, key steps include filing statements of claim and reply, submitting evidence and witnesses, and framing issues. Post arbitration involves receiving and enforcing the award, including through attachment of property or garnishee orders. Supplements include fee schedules and forms to support the arbitration process.
David purchased a wedding package from Syarikat Cinta Sejati that included clothes and photographs. However, he was dissatisfied with the quality of the photographs and clothes provided. The most appropriate method for David to seek compensation other than litigation is through the Tribunal for Consumer Claims. The procedures for bringing a claim to the tribunal include filing a claim form, serving notice to the respondent, attending a negotiation session, a tribunal hearing if needed, and the tribunal issuing a final binding decision with possible compensation for David.
The Sheriffs Office Guide To High Court EnforcementChris McGee
This document provides an overview of different methods for debt collection and enforcement of court judgments. It discusses the options of using county court bailiffs or high court enforcement officers (HCEOs) to execute judgments. HCEOs have more powers than bailiffs, such as the ability to force entry and conduct surprise visits. They work on a commission basis and are incentivized to recover debts, while bailiffs are salaried. The document provides details on HCEO fees and the process for transferring a county court judgment to the high court to allow HCEO enforcement.
Quick Costs Qwocs, disapplication, fundamental dishonesty, set off and multip...QuickCostsCostsCompa
This document provides an overview of key issues relating to Qualified One-Way Costs Shifting (QOCS) in personal injury claims. It discusses exceptions to QOCS protection including pre-action disclosure applications, fundamental dishonesty, multiple defendants, and discontinuance. It also addresses set off of costs orders and exemptions where a claim has no reasonable grounds or is an abuse of process. The presentation provides practical tips for claimants' lawyers such as providing clients with warnings about costs risks and ensuring procedural compliance to avoid costs liability under QOCS exceptions.
The document discusses key aspects of arbitration law in India, including the Arbitration and Conciliation Act of 1996 and subsequent amendments. It outlines objectives of the amendments such as minimizing court supervision of arbitrations and allowing arbitral tribunals to use mediation and conciliation. Benefits of arbitration for parties include flexibility in procedure and choice of location and laws. The document also describes when courts can intervene in arbitrations and sets out requirements for arbitration agreements and awards.
This presentation discusses various amendments made in 2015 in the Arbitration and Conciliation Act of 1996.
It is of great use for Law students, Lawyers, Teachers and persons who are appearing for interview as Law Officer especially in Public Sector.
The Specific Relief of Act 1877
The Law of Limitation Act, 1908
ARNAB KUMAR DAS
Port City International University,
Chittagong, Bangladesh.
SID: LLB 00305037
A&C Act - CHAPTER III - Kapl Dev Bahl rev 2cmmindia2017
This document summarizes various sections from Chapter III of an act related to the composition of arbitral tribunals.
Section 10 discusses that parties are free to determine the number of arbitrators, which shall not be an even number, and failing such determination the arbitral tribunal shall consist of a sole arbitrator.
Section 11 covers the appointment of arbitrators, including that parties are free to agree on procedures for appointment, and failing such agreement sets out rules for appointment including the courts becoming involved if the parties cannot agree. It also discusses qualifications and disclosures required of potential arbitrators.
Section 12 discusses grounds for challenging an arbitrator, including disclosure requirements and what constitutes justifiable doubts about independence or impartial
The document discusses the general principles and types of injunctions in equity law. It begins by defining an injunction as a court order that restrains or requires a person to perform a specified act. There are several types of injunctions discussed, including: [1] perpetual/final injunctions that restrain future actions; [2] mandatory injunctions that direct positive acts; and [3] prohibitory injunctions that prohibit certain acts. The document also examines the tests for granting interim/interlocutory injunctions, such as the American Cyanamid test of balancing convenience and assessing whether a serious issue needs trial. Defences to injunctions like delay, acquiescence, and hardship on the defendant are also summarized.
The document discusses various provisions of the Arbitration and Conciliation Act relating to arbitration procedures and awards. It provides details on:
- How arbitral tribunals should decide disputes both in domestic and international commercial arbitrations.
- Timelines for arbitral awards and provisions for fast-track procedures if agreed by parties.
- Contents required in an arbitral award and the tribunal's power to determine costs.
- Grounds and process for setting aside an arbitral award.
Arbitration is a quasi-judicial method of settling civil disputes through a decision by one or more arbitrators rather than a court. Under Indian law, arbitration refers to the settlement of civil disputes related to money, property, or contract breaches by a quasi-judicial process with a decision by appointed arbitrators. For arbitration to occur there must be a written agreement between the parties to submit present or future disputes to arbitration, which may or may not name the arbitrator(s). Disputes can be referred to arbitration through the court when no suit is pending or when a suit is already pending.
This document provides an introduction to lawsuits and litigation costs in Cambodia. It discusses what a lawsuit is, outlines 10 steps to take before filing one, and describes the process for filing a lawsuit. It also details the various fees involved, including registration taxes, court fees, and party costs. Registration taxes differ based on the type of case and court. Both parties are generally responsible for their own costs, and the losing party may have to pay additional litigation costs. Understanding the financial obligations is an important part of determining whether to pursue legal action.
Jail
3. A central excise officer can arrest, under section 13 of the Central Excise Act, any person who he has reason to believe to be liable to punishment under the Act. Similarly, a customs officer can arrest, under section 104 of the Customs Act, any person who he has reason to believe is liable to punishment under specified sections of the Act. It is noteworthy here that the arrest is made on the basis of the officer’s perception, and the determination of whether the person really is liable to punishment will be made by a court of
law, much later. The department will urge the court that the person is liable to punishment, the person will contend that he is not liable to punishment, and the court will decide. However, the citizen is deprived of his liberty and subjected to ignominy much prior to determination of guilt or innocence. He thus stands “pre-punished”
This document summarizes the law around cancellation of instruments in India. It discusses the key sections of the Specific Relief Act (Sections 39, 40, 41) regarding when instruments can be cancelled and who can file suits. It outlines the essential elements to file a suit, including that the instrument must be written, void/voidable, and if left outstanding may cause serious injury. It provides examples of the scope of cancellation for different types of instruments like gift deeds, mortgage deeds, and sale deeds.
Action to Recover Solicitor's Fees - Locus Standi and Privity Hurdle: The cas...Acas Media
Under Nigerian law, one who practices a profession and renders his professional services to another at his request is entitled to receive remuneration or professional fees from the beneficiary of such services unless he voluntarily waives the payment . In the case of a legal practitioner, one of the options open to recover fees or costs due to him in his professional capacity is a right of action in court to recover such fees .
Deterrent strategies in fraud litigation, September 2017, LondonBrowne Jacobson LLP
This seminar covered evidence, investigations and deterrent remedies. We focused on:
- an update on development of the use of s 57 CCJA 2015 and the effectiveness of pursuing fundamental dishonesty;
- unlocking evidence of fraud - forensic investigations around documents, mobile devices and computer data;
- costs sanctions against third parties;
- how to conduct an investigation in preparation for potential criminal action;
- evidential and legal considerations in bringing contempt proceedings.
A form of alternative dispute resolution, a technique to settle disputes outside the court. but here you will find that there are some exceptional cases in which the applicant can apply in court to seek justice.
here powers and duties of arbitrator is well explained also it is important to mention powers of court over arbitration and it's decisions.
(here the 'award' is referred to decision).
This document provides an overview of criminal law and procedure in 3 chapters. It defines crimes and their elements, constitutional protections for criminal defendants, and the criminal procedure process. It also discusses key Supreme Court cases that have shaped criminal law, such as Skilling, Arthur Andersen, and Berghuis v. Thompkins. The document concludes by covering white collar crimes, computer crimes, and ethical issues around corporate wrongdoing.
This document discusses arbitration and environmental protection laws in India. It provides an overview of the Arbitration and Conciliation Act of 1996, including objectives to minimize court oversight of arbitrations and enforce arbitration awards like court decrees. It outlines benefits for parties in arbitration, such as choosing arbitrators and procedures. The document also discusses appropriate and inappropriate matters for arbitration, and proposed amendments to the Act. Additionally, it covers environmental control legislation and the responsibilities and processes involved in obtaining environmental clearances for projects in India.
A lawsuit is a formal legal process where disputes are heard and decided by an impartial third party, usually a judge. There are typically two parties involved - a plaintiff bringing the lawsuit and a defendant it is brought against. Lawsuits can be civil, involving issues like contracts, money, and property rights, or criminal, concerning enforcement of laws. If unsatisfied with the court's ruling, either party may appeal citing an error made during the trial. It is generally advisable to consult an attorney regarding lawsuits, as they understand the laws and court process.
Deterrent strategies in fraud litigation, September 2017, BirminghamBrowne Jacobson LLP
This seminar covered evidence, investigations and deterrent remedies. We focused on:
- an update on development of the use of s 57 CCJA 2015 and the effectiveness of pursuing fundamental dishonesty;
- unlocking evidence of fraud - forensic investigations around documents, mobile devices and computer data;
- costs sanctions against third parties;
- how to conduct an investigation in preparation for potential criminal action;
- evidential and legal considerations in bringing contempt proceedings.
Consequences of non-appearance and setting aside of ex-parte proceedings/dec...DrSyedZulqarnainHaid
The document summarizes the consequences of non-appearance in legal proceedings. It discusses how appearance by both plaintiffs and defendants is essential. Failure to appear can result in severe consequences like dismissal of the case, ex-parte judgments against the non-appearing party, or penalties and costs being imposed. The document outlines the specific procedures and outcomes when only one party appears, neither party appears, or the defendant appears after previously not attending. These include the options of a fresh lawsuit or restoring a dismissed suit.
1. The document is a brief filed by the author (Matt Taylor) representing a respondent in a contempt of court case for nonpayment of child support. The main issue was the amount of interest the client owed.
2. The brief objects to the petitioner's motion for an extension of time to serve the respondent with their claim for attorney fees. It argues that ORCP 12 B and 15 D do not allow the court to extend deadlines or excuse failures to comply with service requirements.
3. The brief cites several cases that have established that the process in ORCP 68 C for claiming attorney fees is a substantial right, and that failures to comply with service deadlines cannot be excused or overlooked. It argues
The Sheriffs Office Guide To High Court EnforcementChris McGee
This document provides an overview of different methods for debt collection and enforcement of court judgments. It discusses the options of using county court bailiffs or high court enforcement officers (HCEOs) to execute judgments. HCEOs have more powers than bailiffs, such as the ability to force entry and conduct surprise visits. They work on a commission basis and are incentivized to recover debts, while bailiffs are salaried. The document provides details on HCEO fees and the process for transferring a county court judgment to the high court to allow HCEO enforcement.
Quick Costs Qwocs, disapplication, fundamental dishonesty, set off and multip...QuickCostsCostsCompa
This document provides an overview of key issues relating to Qualified One-Way Costs Shifting (QOCS) in personal injury claims. It discusses exceptions to QOCS protection including pre-action disclosure applications, fundamental dishonesty, multiple defendants, and discontinuance. It also addresses set off of costs orders and exemptions where a claim has no reasonable grounds or is an abuse of process. The presentation provides practical tips for claimants' lawyers such as providing clients with warnings about costs risks and ensuring procedural compliance to avoid costs liability under QOCS exceptions.
The document discusses key aspects of arbitration law in India, including the Arbitration and Conciliation Act of 1996 and subsequent amendments. It outlines objectives of the amendments such as minimizing court supervision of arbitrations and allowing arbitral tribunals to use mediation and conciliation. Benefits of arbitration for parties include flexibility in procedure and choice of location and laws. The document also describes when courts can intervene in arbitrations and sets out requirements for arbitration agreements and awards.
This presentation discusses various amendments made in 2015 in the Arbitration and Conciliation Act of 1996.
It is of great use for Law students, Lawyers, Teachers and persons who are appearing for interview as Law Officer especially in Public Sector.
The Specific Relief of Act 1877
The Law of Limitation Act, 1908
ARNAB KUMAR DAS
Port City International University,
Chittagong, Bangladesh.
SID: LLB 00305037
A&C Act - CHAPTER III - Kapl Dev Bahl rev 2cmmindia2017
This document summarizes various sections from Chapter III of an act related to the composition of arbitral tribunals.
Section 10 discusses that parties are free to determine the number of arbitrators, which shall not be an even number, and failing such determination the arbitral tribunal shall consist of a sole arbitrator.
Section 11 covers the appointment of arbitrators, including that parties are free to agree on procedures for appointment, and failing such agreement sets out rules for appointment including the courts becoming involved if the parties cannot agree. It also discusses qualifications and disclosures required of potential arbitrators.
Section 12 discusses grounds for challenging an arbitrator, including disclosure requirements and what constitutes justifiable doubts about independence or impartial
The document discusses the general principles and types of injunctions in equity law. It begins by defining an injunction as a court order that restrains or requires a person to perform a specified act. There are several types of injunctions discussed, including: [1] perpetual/final injunctions that restrain future actions; [2] mandatory injunctions that direct positive acts; and [3] prohibitory injunctions that prohibit certain acts. The document also examines the tests for granting interim/interlocutory injunctions, such as the American Cyanamid test of balancing convenience and assessing whether a serious issue needs trial. Defences to injunctions like delay, acquiescence, and hardship on the defendant are also summarized.
The document discusses various provisions of the Arbitration and Conciliation Act relating to arbitration procedures and awards. It provides details on:
- How arbitral tribunals should decide disputes both in domestic and international commercial arbitrations.
- Timelines for arbitral awards and provisions for fast-track procedures if agreed by parties.
- Contents required in an arbitral award and the tribunal's power to determine costs.
- Grounds and process for setting aside an arbitral award.
Arbitration is a quasi-judicial method of settling civil disputes through a decision by one or more arbitrators rather than a court. Under Indian law, arbitration refers to the settlement of civil disputes related to money, property, or contract breaches by a quasi-judicial process with a decision by appointed arbitrators. For arbitration to occur there must be a written agreement between the parties to submit present or future disputes to arbitration, which may or may not name the arbitrator(s). Disputes can be referred to arbitration through the court when no suit is pending or when a suit is already pending.
This document provides an introduction to lawsuits and litigation costs in Cambodia. It discusses what a lawsuit is, outlines 10 steps to take before filing one, and describes the process for filing a lawsuit. It also details the various fees involved, including registration taxes, court fees, and party costs. Registration taxes differ based on the type of case and court. Both parties are generally responsible for their own costs, and the losing party may have to pay additional litigation costs. Understanding the financial obligations is an important part of determining whether to pursue legal action.
Jail
3. A central excise officer can arrest, under section 13 of the Central Excise Act, any person who he has reason to believe to be liable to punishment under the Act. Similarly, a customs officer can arrest, under section 104 of the Customs Act, any person who he has reason to believe is liable to punishment under specified sections of the Act. It is noteworthy here that the arrest is made on the basis of the officer’s perception, and the determination of whether the person really is liable to punishment will be made by a court of
law, much later. The department will urge the court that the person is liable to punishment, the person will contend that he is not liable to punishment, and the court will decide. However, the citizen is deprived of his liberty and subjected to ignominy much prior to determination of guilt or innocence. He thus stands “pre-punished”
This document summarizes the law around cancellation of instruments in India. It discusses the key sections of the Specific Relief Act (Sections 39, 40, 41) regarding when instruments can be cancelled and who can file suits. It outlines the essential elements to file a suit, including that the instrument must be written, void/voidable, and if left outstanding may cause serious injury. It provides examples of the scope of cancellation for different types of instruments like gift deeds, mortgage deeds, and sale deeds.
Action to Recover Solicitor's Fees - Locus Standi and Privity Hurdle: The cas...Acas Media
Under Nigerian law, one who practices a profession and renders his professional services to another at his request is entitled to receive remuneration or professional fees from the beneficiary of such services unless he voluntarily waives the payment . In the case of a legal practitioner, one of the options open to recover fees or costs due to him in his professional capacity is a right of action in court to recover such fees .
Deterrent strategies in fraud litigation, September 2017, LondonBrowne Jacobson LLP
This seminar covered evidence, investigations and deterrent remedies. We focused on:
- an update on development of the use of s 57 CCJA 2015 and the effectiveness of pursuing fundamental dishonesty;
- unlocking evidence of fraud - forensic investigations around documents, mobile devices and computer data;
- costs sanctions against third parties;
- how to conduct an investigation in preparation for potential criminal action;
- evidential and legal considerations in bringing contempt proceedings.
A form of alternative dispute resolution, a technique to settle disputes outside the court. but here you will find that there are some exceptional cases in which the applicant can apply in court to seek justice.
here powers and duties of arbitrator is well explained also it is important to mention powers of court over arbitration and it's decisions.
(here the 'award' is referred to decision).
This document provides an overview of criminal law and procedure in 3 chapters. It defines crimes and their elements, constitutional protections for criminal defendants, and the criminal procedure process. It also discusses key Supreme Court cases that have shaped criminal law, such as Skilling, Arthur Andersen, and Berghuis v. Thompkins. The document concludes by covering white collar crimes, computer crimes, and ethical issues around corporate wrongdoing.
This document discusses arbitration and environmental protection laws in India. It provides an overview of the Arbitration and Conciliation Act of 1996, including objectives to minimize court oversight of arbitrations and enforce arbitration awards like court decrees. It outlines benefits for parties in arbitration, such as choosing arbitrators and procedures. The document also discusses appropriate and inappropriate matters for arbitration, and proposed amendments to the Act. Additionally, it covers environmental control legislation and the responsibilities and processes involved in obtaining environmental clearances for projects in India.
A lawsuit is a formal legal process where disputes are heard and decided by an impartial third party, usually a judge. There are typically two parties involved - a plaintiff bringing the lawsuit and a defendant it is brought against. Lawsuits can be civil, involving issues like contracts, money, and property rights, or criminal, concerning enforcement of laws. If unsatisfied with the court's ruling, either party may appeal citing an error made during the trial. It is generally advisable to consult an attorney regarding lawsuits, as they understand the laws and court process.
Deterrent strategies in fraud litigation, September 2017, BirminghamBrowne Jacobson LLP
This seminar covered evidence, investigations and deterrent remedies. We focused on:
- an update on development of the use of s 57 CCJA 2015 and the effectiveness of pursuing fundamental dishonesty;
- unlocking evidence of fraud - forensic investigations around documents, mobile devices and computer data;
- costs sanctions against third parties;
- how to conduct an investigation in preparation for potential criminal action;
- evidential and legal considerations in bringing contempt proceedings.
Consequences of non-appearance and setting aside of ex-parte proceedings/dec...DrSyedZulqarnainHaid
The document summarizes the consequences of non-appearance in legal proceedings. It discusses how appearance by both plaintiffs and defendants is essential. Failure to appear can result in severe consequences like dismissal of the case, ex-parte judgments against the non-appearing party, or penalties and costs being imposed. The document outlines the specific procedures and outcomes when only one party appears, neither party appears, or the defendant appears after previously not attending. These include the options of a fresh lawsuit or restoring a dismissed suit.
1. The document is a brief filed by the author (Matt Taylor) representing a respondent in a contempt of court case for nonpayment of child support. The main issue was the amount of interest the client owed.
2. The brief objects to the petitioner's motion for an extension of time to serve the respondent with their claim for attorney fees. It argues that ORCP 12 B and 15 D do not allow the court to extend deadlines or excuse failures to comply with service requirements.
3. The brief cites several cases that have established that the process in ORCP 68 C for claiming attorney fees is a substantial right, and that failures to comply with service deadlines cannot be excused or overlooked. It argues
Kovacs v Queen Mary and Westfield CollegeJoe Sykes
This document summarizes a court ruling on whether employment tribunals should consider a party's means when deciding on costs orders. It discusses previous employment appeal tribunal rulings that suggested means should be considered. However, the most recent ruling in Beynon v Scadden found tribunals are not required to examine a party's means before making a costs order. The court here agrees with Beynon and finds that a party's restricted means are no bar to a costs order being made against them.
The Employment Appeal Tribunal upheld the employer's cross-appeal that the employee was not automatically unfairly dismissed for failure to comply with statutory dismissal procedures. While the Tribunal found some additional documentation was provided to the employee at meetings, this did not mean the basic requirements of the procedures were unmet. The employee was given sufficient notice of the fundamental complaints against her of failing to disclose theft and concealing it. As there was no automatic unfair dismissal, the issue of compensation reductions was irrelevant. However, the Tribunal took the wrong approach in its calculation of the basic award, though not the compensatory award. Ultimately, the employee's appeal was dismissed.
Parties involved in construction disputes must be careful instructing third parties for written and oral advocacy before tribunals. In order that the decision isn’t set aside for fraud the consultant or consultancy should be a reputable one regulated by an industry professional body such as the RICS or CICES or is a unlicensed barrister that is regulated by the BSB and Inns of Court. By using a reputable party to represent them they will get the best value and hopefully an enforceable decision that will not be overturned due to unethical conduct.
Order 59 Rule 1 defines cost as remuneration paid by a party to their own solicitor or the sum paid by one litigant to another.
Exceptions to the general rule of "costs follow the event" in Order 59 Rule 3(2) include misconduct/neglect, illegal contracts, successful on a point not raised below, and relevant authorities not cited below.
The court has discretion over cost orders. Reasons must be provided for departing from the standard order.
Costs can be awarded against a lawyer personally for dereliction of duties under Order 59 Rule 6.
The High Court has discretion to
The document discusses costs in legal proceedings in Malaysia. It provides definitions of key terms related to costs such as "costs", "costs reserved", and "costs in any event". It also discusses principles from case law that guide a court's discretion in ordering costs. The discretion is very wide but must be exercised judicially based on established principles. An appellate court will generally not interfere in a lower court's decision on costs unless there was an error of law or the discretion was exercised based on irrelevant grounds. Overall, the document provides an overview of how costs are treated in Malaysian courts and the considerations that determine whether costs are ordered.
This document is a court document summarizing a case between Vinod Pathak and American Express Bank Ltd. Pathak filed a lawsuit seeking declarations, injunctions, and damages after claiming he was forced to resign from his job at the bank. The court notes that as a private employment, public policy principles do not apply. It also notes Pathak's employment contract allowed termination with one month's notice or pay. Therefore, even if wrongful termination was found, Pathak's maximum entitlement would be one month's salary as damages. The court finds Pathak's suit is not maintainable and denies the claims for reinstatement and ongoing salary/benefits.
March 2018 newsletter for the adjudicator nominating body UK Adjudicators. Articles on UK and foreign adjudication cases, FIDIC 2017 and events taking place globally.
Should I Short Sale My Home - Appendix CTom Damron
This document is a guide for homeowners on whether they should short sale their home during a difficult real estate market. It includes an introduction and table of contents that outline the following 10 chapters: 1) A housing crisis is looming, 2) How bad the market has gotten, 3) Short sales as a best option, 4) Mortgage foreclosure explained, 5) Foreclosure scam warnings, 6) Homeowner options in foreclosure, 7) Answers top short sale questions, 8) Impact of falling interest rates, 9) Post-short sale home buying with FHA loans, and 10) End of home equity loans. It also includes 3 appendices on loss mitigation companies, short sale vs payoff, and
The Supreme Court summarized the key principles for granting ex-parte (one side represented) interim injunctions:
1) Irreparable harm to the plaintiff if not granted and greater injustice would occur from refusal compared to grant.
2) The plaintiff notified the defendant at the earliest time.
3) The plaintiff did not acquiesce or delay in applying.
4) The plaintiff acted in good faith and showed a prima facie case, balance of convenience, and irreparable loss.
5) Any ex-parte injunction would be temporary to limit harm until the full hearing.
Preliminary matters to be considered before commencing a civil suitIntan Muhammad
Contents :
Cause of Action
Locus Standi
Limitation Period
Jurisdiction of Court & Mode of beginning (in s separate note, namely bidang kuasa sivil mahkamah2 di malaysia)
P/S : I am sharing my personal notes of law-related subjects. Some parts of them are explained in a very informal-relaxed way and mix of languages (BM and English). Secondly, as law revolves every day, there will be outdated parts in my notes. Two ways of handling it.. (1) double check with the latest law and keep it to yourself (2) same with No. 1 coupled with your generosity to share with us, the LinkedIn users (hiks ^_^). Till then, have a nice day!
MALAYSIAN LEGAL SYSTEM on civil & criminal exam notesFAROUQ
This document discusses preliminary matters in civil procedure regarding parties in an action. It covers requirements for parties such as being sui juris and compos mentis. It also discusses types of parties like individuals, firms, companies, deceased estates, and representatives. The document then discusses cause of action, locus standi, limitation periods, and commencing an action through a writ. It outlines the process for issuing, serving, renewing and substituting service of a writ, as well as timelines for appearance. The key information provided is on the requirements for valid parties in a civil action and the procedures for commencing a case through issuance and service of a writ.
It is reasonably arguable that contact between the lay members of the Employment Tribunal and three of the five individual Respondents, themselves lay members, created an appearance of bias. Subject to that, grounds of appeal based on perversity, reasons, time-bar, falsity, good faith and agency were all dismissed. The case was sent for a full hearing on the issue of apparent bias created by the involvement of three Respondents as lay members on the Employment Tribunal. If apparent bias was found, the whole judgment would be set aside and a new hearing ordered in a different region.
This document summarizes key aspects of litigation and the legal system in the UK. It describes barristers as specialist advocates who represent clients in higher courts, arbitrations, and alternative dispute resolution. It outlines the UK legal system, including the different courts that handle civil and criminal cases and the appellate courts. It also discusses pre-action protocols, jurisdictional issues, enforcing judgments, expert witnesses, costs reforms, and the popularity of the common law system.
Slides from the niceties of notices and their importance for construction claimsRobert MacDonald
This document summarizes a legal article about notices under the UK's Housing Grants, Construction and Regeneration Act 2009 and the NEC3 construction contract.
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2. APPEARANCES
For the Appellant MR MURRAY GRANT
(of counsel)
Instructed by:
GMS Law
Roxley House
68 Yarmouth Road
Norwich
NR7 0QZ
For the Respondent No appearance
UKEAT/0386/10/LA
3. SUMMARY
PRACTICE AND PROCEDURE – Costs
Wasted costs - Claim brought under contingency fee arrangements under which solicitors
would not represent client at hearing but would require to be put in funds to instruct counsel –
Claimant unable and unwilling, as should have been apparent if he had been properly advised,
to engage counsel if claim did not settle before hearing – Employers refuse to contemplate
settlement – Judge finds, after hearing evidence from both Claimant and solicitor, both of
whom are cross-examined, that solicitors (a) failed to advise Claimant timeously that there was
no prospect of settlement and (b) when, later, Claimant himself gave instructions to withdraw
failed to implement those instructions until they were repeated a few days before the hearing –
On that basis ordered to pay employers’ wasted costs as from the date at which the Claimant
would, if timeously advised, have withdrawn – Judge refused to allow solicitors to produce
their file for the first time at the hearing for the purpose of demonstrating that Claimant had in
fact been properly advised
Held, dismissing appeal:
(1) Judge entitled to refuse to allow solicitors to produce their file for the first time at the
hearing
(2) Judge not wrong to allow employers to make submissions and to cross-examine –
Observations of Elias J. in Ratcliffe Duce and Gammer v Binns doubted
(3) Judge did not misdirect himself as to the applicable principles, notwithstanding not
having been referred to the relevant authorities
Observations on areas of difficulty in dealing with applications for wasted costs
UKEAT/0386/10/LA
4. THE HONOURABLE MR JUSTICE UNDERHILL (PRESIDENT)
INTRODUCTION
1. This is an appeal against a wasted costs order in the sum of £7,313 made by Employment
Judge Ash in the Norwich Employment Tribunal on 12 January 2010. The order was made
against the firm of solicitors acting for the Claimant in the underlying proceedings, Godfrey
Morgan Solicitors Ltd (“GM”). The Respondent by its solicitors, Leathes Prior (“LP”), has
written to this Tribunal indicating that while it resists the appeal it does not wish to incur the
costs of attending the hearing, and it has confined its written representations to submitting a
copy of its skeleton argument below. The Claimant has also, understandably, not attended. I
have thus heard oral submissions only from counsel for GM, Mr. Murray Grant: I am grateful to
him for a careful skeleton argument. There was regrettably, for reasons into which I need not
go, some delay in the appeal being listed: I am sorry to have added to that delay by having had
to reserve my judgment for longer than I had originally expected.
2. It is convenient to set out at the start the relevant terms of rule 48 of the Employment
Tribunal Rules of Procedure, which gives tribunals the power to make wasted costs orders:
“(1) A tribunal or Employment Judge may make a wasted costs order
against a party's representative.
(2) In a wasted costs order the tribunal or Employment Judge may:—
(a) disallow, or order the representative of a party to meet the whole or
part of any wasted costs of any party, … ; and
(b) …
(3) “Wasted costs” means any costs incurred by a party:—
(a) as a result of any improper, unreasonable or negligent act or
omission on the part of any representative; or
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5. (b) which, in the light of any such act or omission occurring after they
were incurred, the tribunal considers it unreasonable to expect that
party to pay.
(4) In this rule “representative” means a party's legal or other
representative or any employee of such representative, but it does not
include a representative who is not acting in pursuit of profit with regard
to those proceedings. A person is considered to be acting in pursuit of
profit if he is acting on a conditional fee arrangement.
(5) …
(6) Before making a wasted costs order, the tribunal or Employment
Judge shall give the representative a reasonable opportunity to make oral
or written representations as to reasons why such an order should not be
made. The tribunal or Employment Judge may also have regard to the
representative's ability to pay when considering whether it shall make a
wasted costs order or how much that order should be.
(7)-(9) … .”
BACKGROUND AND PROCEDURAL HISTORY
3. The Respondent is a small engineering company owned by a husband and wife, Mr and Mrs
Carey. The Claimant was employed in 1999 and was at all material times working as a
machine operative on £1,150 per month gross. He was dismissed on 25 May 2008, ostensibly
for misconduct. It was his case that the incident in question, which was trivial and had occurred
several weeks before the decision to dismiss him, was not the true reason for his dismissal and
that he had in fact been dismissed because he had taken paternity leave. It appears from the
material that I have seen that the Claimant obtained alternative employment very soon after his
dismissal, so that his claim for financial loss was likely to be no more than £3,000; and
although that precise material was not before the Judge it is reasonable to infer that he was
aware that this was a very low-value claim.
4. Shortly after the dismissal the Claimant engaged GM to represent him in connection with
the claim against the Respondents under the terms of a document headed “Contingency Fee
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6. Agreement”. The solicitor handling the case was a Mr. Richard Clegg. For present purposes I
need refer to only to the preamble to the Agreement, which reads (so far as material):
“If your claim succeeds you pay us as our fee an amount equivalent to 25%
of your compensation plus any disbursement if the case is settled before
applying to the Employment Tribunal, 35% of your compensation plus
disbursements if the case is settled after submitting the claim but before a
Hearing or 50% of your compensation plus disbursements agreed at or
awarded at the Employment Tribunal Hearing.
If your claim succeeds and you are reinstated in or reemployed by your
employer then you shall pay our costs on a time engaged basis at a rate of
£150.00 per hour plus VAT. In addition you shall pay disbursements.
...
If you lose the case you do not pay us anything except the Initial Assessment
Fee and disbursements.
NB Disbursements are payments we make on your behalf to others involved
in your case. These include a Barristers Fee should the matter proceed to a
Tribunal Hearing. We will notify you of disbursements incurred as we go
along.
If you end the Agreement before we agree with you that the work on your
claim is completed, you are liable to pay our costs at the rate of £150.00 per
hour plus VAT. The amount charged will depend on the level of fee earner
engaged on any aspect of your matter.
For what happens if we end the Agreement before the case is won or lost,
please refer to Paragraph 5.”
(Although it is not directly material to the issues on this appeal I must observe that the lack of
punctuation in the first paragraph, which I have reproduced exactly as it appears, is thoroughly
confusing. It may be clear to a lawyer that each of the second and third “if”s should start a new
sentence; but to a layman of limited education it would, to say the least, hard to follow. It is
unimpressive that a firm of solicitors should be responsible for so shoddy a piece of drafting. I
have to say that this is in keeping with the correspondence from GM which I have seen: the
standard of English generally and punctuation in particular is very poor.)
5. On 19 August 2008 GM presented an ET1 on the Claimant’s behalf. The claims
pleaded were unfair dismissal, sex discrimination and unpaid holiday pay. On 22 December
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7. 2008 a pre-hearing review was directed in order to consider whether the sex discrimination
claim was in time. On 13 January GM wrote on the Claimant’s behalf withdrawing that part of
the claim. The claim proceeded only in relation to the unfair dismissal claim. (I am not clear
what happened to the holiday pay claim, but nothing turns on that for present purposes.)
6. On 14 January 2009 an order was made at a CMD requiring: mutual disclosure by 28
January; inspection within 14 days of request by the other party; agreement of a bundle no later
than four weeks before the hearing, with the bundle itself to be lodged by the Respondent no
less than three weeks before the hearing; and witness statements to be exchanged two weeks
before the hearing. In May 2009 the claim was listed for a two-day hearing on 17 and 18
August. The Judge found that at that point Mr Clegg told the Claimant that he would need to
fund the instruction of counsel for the hearing; that that took him by surprise because he had
understood, rightly or wrongly, that he would not have to pay anything up front and that he was
in fact unable to do so; and that he told GM that in those circumstances he could not proceed.
7. Notwithstanding that decision on the part of the Claimant GM did not forthwith inform
LP that the claim was withdrawn. The deadlines for agreement of a bundle and the lodging of
witness statements went by unmet, but it was only on 13 August that they wrote withdrawing
the remainder of his claim. That led to an application by LP the following day for an order for
costs against the Claimant, alternatively for wasted costs against GM.
8. The hearing of the costs applications was initially listed for 13 October. The Claimant
and the Respondent, but not GM, attended on that date and the Claimant brought with him a
witness statement. Employment Judge Laidler held that proper notice had not been given to
GM, and the hearing had accordingly to be adjourned. Directions were given for the
Respondent to serve a skeleton argument in support of its applications by 27 October, and for
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8. GM to serve in response “written representations as to why a wasted costs order should not be
made against them ... [under] ... rule 48”. There was an order for mutual disclosure of “the
documents ... relevant to the claims and to the grounds of resistance”. The order for disclosure
was carelessly drafted, or recorded, because the documents required were plainly those relevant
to the costs applications; but there can have been no real doubt as to what was intended.
THE HEARING AND THE REASONS
9. The hearing took place, as I have said, on 12 January 2010. The Claimant and Mr Clegg
were both present. Mr Chapman of LP represented the Respondent.
10. The documents before the Tribunal, besides the pleadings and correspondence relating to
the abandoned claim, consisted of: (a) a letter from the Claimant to the Tribunal dated 12
September giving reasons why he should not have to pay any costs; (b) the Claimant’s witness
statement; (c) a witness statement from Mr Clegg, which was evidently intended to constitute
the written representations directed by the Judge Laidler (and which exhibited the Agreement
but no other documents); and (d) a skeleton argument from LP, which exhibited the inter partes
correspondence.
11. I need not rehearse the full contents of the statements. But I should summarise what the
Claimant said in his witness statement about the circumstances of the late withdrawal. He said
that when in May 2009 he was asked to pay counsel’s fees he told Mr Clegg that “there was no
way I could afford it”. He said that Mr Clegg then attempted to negotiate with LP a settlement
at £3,000 but that they made clear (he does not give a precise date) that the Respondent was not
interested in settlement, and that he told Mr Clegg on 25 June that he “wanted to discontinue
the case”. He said that he repeated those instructions in a further conversation on 3 July, in a
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9. message left with Mr Clegg’s secretary at a later date in July, and yet again in a telephone
conversation on 25 July. He said that Mr Clegg was away from work for most of July and
August and that the late communication of his instructions to withdraw was squarely GM’s
fault. Mr Clegg in his statement took issue with that account. His statement is discursive,
though also short on detail; and much of it is concerned with ill-founded criticism of LP for
being unwilling to negotiate. But he does say in terms that he was not given instructions to
withdraw at any time until 12 August: rather, the Claimant’s instructions were to seek to
negotiate. He refers to a telephone conversation on 15 June and a letter dated 24 July but he
does not exhibit the letter or an attendance note of the conversation. The Claimant’s witness
statement plainly waives privilege in all communications between himself and Mr Clegg; and
Mr Clegg’s statement proceeds on that basis.
12. Mr Clegg has made for the purposes of this appeal a witness statement exhibiting his note
of the hearing before the Judge. This was submitted to LP for agreement about a fortnight
before the appeal hearing but they have declined to comment on it. In those circumstances I am
prepared to treat is as a broadly accurate summary, though it is clearly a tidied-up version of Mr
Clegg’s original notes, and I am not convinced of its complete accuracy. Reading the note with
the Judge’s Reasons, it appears that the hearing fell into three stages:
(1) The Judge heard submissions from Mr Chapman in support of both applications, i.e. both
against the Claimant under rule 40 and against GM under rule 48. There was then
evidence from Mr Clegg and from the Claimant. The Claimant was cross-examined by
Mr Clegg and Mr Clegg was cross-examined by Mr Chapman. The Judge then heard
further submissions. It would appear from Mr Clegg’s note that he himself made no oral
submissions, either before or after the oral evidence. That is rather surprising, though of
course his case was clearly set out in his statement; but there is no suggestion that he was
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10. prevented from making any submissions if he wanted. At the conclusion of this stage the
Judge announced that he proposed to make a wasted costs order but that he was prepared
to hear submissions as to amount.
(2) The Judge then heard argument as to the amount of the order. His conclusion was that
“the writing was on the wall” by May 2009 at latest and that GM should pay LP’s costs
as from that date. There was then a further short adjournment in order to enable the
parties to reach an agreement about figures.
(3) After the adjournment the parties told the Judge that they had reached agreement subject
to some minor points which he then resolved. The eventual amount ordered to be paid
was, as I have said, £7,313.
No order was made against the Claimant.
13. The Judge was asked to supply written Reasons, which were sent to the parties on 8
February. It seems clear from the drafting that the written Reasons are simply a typed-up
version (with minimal editing) of the oral reasons given at the conclusion of the first and second
stages of the hearing: that is not in itself a matter of criticism but it needs to be borne in mind in
analysing the reasoning. I have to say that the reasoning is far from entirely clear and at some
points the Judge’s meaning has to be teased out. However, it can be summarised as follows:
(1) Paras. 1-5 summarise the procedural history and explain the nature of the costs incurred
by the Respondent.
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11. (2) Para. 6 records that the Judge had been referred to the decision of the Court of Appeal in
McPherson v BNP Paribas [2004] ICR 1398 and sets out a passage from the judgment
of Mummery LJ. However, that authority, which appears to have been cited by Mr
Chapman, is relevant only to the claim for costs against the Claimant under rule 40 and
not to the wasted costs claim, in relation to which no authority is cited.
(3) At para. 7 the Judge says:
“We heard evidence from Mr Clegg, Godfrey Morgan’s appointed solicitor
in this matter and also from Mr Willimott. We much prefer the evidence of
Mr Willimott and are satisfied that he had attempted to tell his solicitors
that he was not interested in pursuing the Claim and that they carried on
and only finally withdrew representation from him, and then at the last
minute, because he declined to pay for a barrister to represent him at the
hearing because he, Mr Willimott, was under the understandable belief that
he would not have to pay for a barrister before the hearing in accordance
with his contingency fee agreement with his solicitors.”
(“We” is a slip: the Judge was sitting alone.) That passage contains the Judge’s crucial
finding of primary fact. It is very summary and not perfectly expressed. But the effect
is adequately clear (particularly when read with the further passages which I set out
below), namely that, of the two wholly divergent accounts summarised at para. 11
above, he preferred the Claimant’s to Mr Clegg’s.
(4) Paras. 8-17 are under the heading “Law and Conclusions”. Paras. 8 and 9 appear to be
intended as a general introduction to the Judge’s reasoning. They read as follows:
“8. This is a troubling case because the longer it went on the more apparent
it became that whatever the minutiae of phone calls and letters the overall
position is as set out by Mr Chapman in his submissions both before the case
and amplified in his closing submissions. Godfrey Morgan built up the
Claimant’s hopes. They tried to get a settlement. The Respondents were not
prepared to make any offers. What Godfrey Morgan were doing was
attempting in their final resort to get a nuisance payment.
9. It is also apparent that apart from some attempts at negotiation in the
sense of reducing the demands made over a period of time, the solicitors did
precious little to assist their client, explain what was going on, or make clear
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12. the nature of the various costs incurred in good time. Even worse than that
when in May of last year it became apparent that the claimant would have
to pay the Barrister’s costs up front, and he was unable to pay them, in the
naïve, but we are satisfied honest view that he would have to pay anything
until after the hearing, consistent with the general tenor of the compromise
agreement. However, I am satisfied that as soon as the Claimant’s solicitors
knew he was not prepared to pay, apart from making a further demand for
a lower sum, they did little or nothing to assist their client and pulled the
rug, in no uncertain terms, well before the hearing. They did not actually
tell the Respondent’s solicitors the case was withdrawn until far too late and
all the costs had been incurred. Much work had been done by the
Respondent’s solicitors, perfectly properly, and the lay witnesses had
returned from their holiday to attend the hearing.”
(Something has gone wrong with the second sentence of para. 9, but I think the gist must
be that even when it became clear, in May, that the Claimant could not afford to be
represented at the hearing GM did not help to handle the consequences – and, in
particular, did not communicate a prompt withdrawal. “Compromise agreement” must, I
think, be a slip for “Conditional Fee Agreement”.)
(5) At para. 10 the Judge says that “a number of points arise before I look at Rule 48”. The
points in question appear therefore to be intended more as ground-clearing than as being
central to his reasoning. The first point is that the Respondent was not to be criticised for
being unwilling to negotiate. The second is that, as the Judge put it at para. 11:
“It is also the duty of a professional solicitor to assist his client, to give
good advice and to ensure that the Orders of a Tribunal are complied
with timeously. They were not in this case. That is entirely the fault of
the solicitor and no criticism attaches to their lay client.”
(I have had to correct the punctuation a little.) Although on a literal reading it seems
that the only criticism of GM is that it did not comply with the Tribunal’s orders, it is in
fact reasonably clear from what is said elsewhere that in addition the Judge believed that
GM did not properly “assist” the Claimant or “give [him] good advice”.
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13. (6) At para. 12 the Judge briefly summarises the effect of rule 48 (3). At paras. 13 and 14 he
says:
“13. I am satisfied that the attitude and the approach of Godfrey Morgan
in this case was improper; they were out to get a settlement from the
Respondents if they could. If they could not they had no intention of
pursuing the case and doing the necessary work beforehand in accordance
with the Orders of this Tribunal. As far as they were concerned it was the
Claimant’s fault because he could not find the money up front for a
barrister. That is improper; it is unprofessional. It is certainly
unreasonable. The conduct of Godfrey Morgan Solicitors caused the costs
to be incurred unnecessarily by the Respondent.
14. I accept Mr Chapman’s submission that had proper advice been given
originally, had the true cost position been pointed out to their client
properly, simply and straightforwardly it is more than likely that he would
not have proceeded with [the] claim.”
(7) At paras. 18-26 – which reproduce the judgment given after the second stage of the
hearing - the Judge deals with the question of quantum. This is relevant only to the
extent that it casts light on the basis on which the Judge decided to make an award. In
that context I should note that at para. 22 he says:
“I am satisfied that in one sense right from the start [GM] were out for a
settlement and were not going to do very much work to achieve one,
especially if their client was not going to pay for a Barrister. So I have
sympathy with Mr Chapman’s points that they should pay from day
one ... .”
But at para. 23 he goes on to accept that the Claimant’s case, at least as regards unfair
dismissal, was arguable - although he regarded it as “very weak” - so that a competent
firm of solicitors “might initially have taken on the case”. His decisive criticism of GM
appears, rather, to be that GM
“... simply did not have proper procedures in place to regulate this
litigation and to advise their client sensibly in the event that the
Respondent quite clearly was not going to make any offer of settlement.”
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14. It was on that basis that he decided to award costs only from the date at which he
believed that “the writing was on the wall”, which he said seemed to him to be “as early
as February, certainly by May”.
14. It is necessary to identify with precision the improper and unreasonable behaviour on the
part of GM which the Judge found. I have to say that this is not straightforward because he
makes several criticisms of GM without making it clear how they fit together. The starting-
point must be para. 13 of the Reasons because at first sight that appears to be where the Judge
states his conclusion and (albeit in summary form) his reasons for it. The first sentence might
suggest that he believed that it was improper for GM to accept instructions on the basis that
they hoped and expected the case to settle; and parts of para. 8 point in the same direction.
Such a criticism would plainly be unfounded: even if the Judge was right in regarding the case
as weak (as to which I need express no view) there is nothing improper in a firm of solicitors
accepting instructions in a weak case. However, the remainder of the paragraph makes it clear
that his criticism is based on something more than that. He starts by saying that when they
accepted the case GM had no intention of doing the work necessary to bring the claim to a
hearing, even where required by the Tribunal’s directions, if it did not settle first. That is a
very strong finding. What it would mean is that GM had decided – from the start - that if there
was no settlement they would not even go to the trouble of agreeing a bundle of documents or
helping to prepare a witness statement for the hearing and would (presumably) simply walk
away. That would be astonishingly cynical and also a plain breach of their obligations under
the Agreement. Despite the Judge’s literal words I find it hard to believe that that is what he
meant; and if he did it is strongly arguable that the findings and reasoning are inadequate to
support so serious a conclusion. In my view it is necessary to read this sentence together with
the point which the Judge goes on to make about the instruction of counsel. His actual
expressed criticism is that GM regarded it as the Claimant’s fault that he could not find the
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15. money to fund the instruction of counsel. On the face of it that is a surprising criticism, since
the Agreement makes clear that in all possible scenarios the Claimant was responsible for
disbursements and it is stated explicitly that disbursements “include a Barristers Fee should the
matter proceed to a Tribunal Hearing” (see the antepenultimate paragraph set out at para. 4 (2)
above). However, at para. 7 the Judge finds that the Claimant “was under the understandable
belief that he would not have to pay for a barrister before the hearing in accordance with [the
Agreement]”; and at para. 14 there is a finding that “the true cost position had not been pointed
out ... properly, simply and straightforwardly”. Para. 23 is to the same effect. Taking these
passages together, I think that the Judge’s real criticism was that, whatever the Agreement said,
GM did not properly convey to the Claimant, a man of limited education, that if there was no
settlement before the hearing he would have to fund the instruction of counsel himself. They
simply took the case on in the hope of a settlement and did not explain to the Claimant what the
position would be if no settlement offer were forthcoming – and, specifically, that he would
have to fund the instruction of a barrister for the hearing. It must be recalled that he made that
finding after hearing the oral evidence of both the Claimant and Mr Clegg.
15. However, although that seems to be the thinking behind paras. 13 and 14, it does not
seem to me to be the basis for the order eventually made. After hearing further argument, the
Judge in the second stage of the hearing awarded costs only as from May 2009. The
significance of that date is that it was said at para. 24 to represent the point when “the writing
was on the wall”. This phrase is rather obscure. Mr Grant in his submissions treated it as
meaning the date at which, in the Judge’s view, it became clear that the claim had no prospect
of success. But I do not think that is right: I think he meant it to be the date at which it became
clear that the case would not settle. If one reads paras. 23-24 with paras. 7 and 9 of the
Reasons it seems to me that the Judge’s reasoning can be summarised as follows:
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16. (a) Although this was not a case which it was improper to advance, it was one in which it did
not make sense to incur counsel’s fees for a hearing – partly because of its inherent
weakness but principally because the amount at stake was so small. And in any event the
Claimant could not afford counsel.
(b) If counsel were not instructed for any hearing, the case would have to be dropped. It was
always clear, or would have been if the Claimant had been confronted squarely with the
question, that he was not prepared to pay for counsel nor to represent himself.
(c) That being so, when and if it became clear that the Respondent was not interested in
settlement it was essential that the Claimant be advised promptly and explicitly that it
was pointless to proceed.
(d) That point was reached in May 2009 at latest. But GM did not give the necessary advice.
Further, even when, in June, the Claimant of his own motion made it clear that he did not
want to proceed GM failed to act on those instructions.
(e) The consequence of those omissions by GM was that a case proceeded which the
Claimant himself did not wish any longer to pursue. The continuation of the case in those
circumstances is plainly, though the Judge did not use this actual phrase, an abuse of
process.
16. I accept that that reasoning may be hard to reconcile with the reasoning analysed in para.
14 above, i.e. essentially that GM had acted improperly and/or unreasonably from the start.
The logic of that reasoning would appear to be that the Respondent should have had the totality
of its costs: indeed the Judge comes close to acknowledging that at para. 22 of the Reasons.
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17. What seems to have happened is that, whether he fully recognised it or not, the Judge’s
thinking was somewhat modified at the second stage of the hearing. But any such
inconsistency is in GM’s favour. The real question is whether the reasoning as I have
summarised it at (a)-(e) above, which is the actual dispositive reasoning, can be impugned.
THE APPEAL
17. Mr Grant in his skeleton argument helpfully summarised the grounds pleaded in the
Notice of Appeal under three heads, which I take in turn.
(1) EVIDENCE NOT ADMITTED
18. Para. 6.3 of the Notice of Appeal pleads that “when the Appellant attempted to cross
examine the Claimant on the documents in his file the Employment Tribunal ruled that he
could not do so”. Mr Clegg’s note of the hearing gives a little (though not much) more detail,
recording that when he announced his intention of taking the Claimant through various letters
and attendance notes on the file “Chairman Ash stated that he would not allow any reference to
the file as the file of papers had not been lodged at the Tribunal”. The point is not addressed,
still less controverted, in the Respondent’s Answer, which – unhelpfully on this point – simply
relies on the Tribunal’s reasons.
19. I was shown the file which Mr Clegg sought to introduce in the Tribunal. I need not
attempt a full summary of its contents. It is sufficient to say that, although the correspondence
and attendance notes leave some unanswered questions and are not altogether conclusive, they
certainly cast some doubt on the Judge’s criticisms of GM’s advice to the Claimant; and as
regards the sequence of events between May and August 2009 they are more easily
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18. reconcilable with Mr Clegg’s version than the Claimant’s. There is thus, to put it no higher, a
substantial chance that the Judge would have reached a different conclusion if they had been
admitted in evidence.
20. The crucial question is thus whether the Judge was entitled to refuse to allow the file to
be put in evidence. It is a pity that he does not refer to the ruling in his Reasons: judges should
always be aware that a significant procedural ruling in the course of a hearing may give rise to
a ground of appeal and that this Tribunal will wish to know what the reasons for it were. It is
perhaps also a pity that the opportunity was not taken on the sift to ask the Judge for his
reasons. However, it is reasonably clear from Mr Clegg’s note that the reason was that GM had
not supplied copies of the documents to the parties in question in advance.
21. In my judgment the Judge’s decision not to allow the documents to be admitted so late in
the day was within his discretion. An order for disclosure of documents had been made, albeit
in rather unsatisfactory terms, three months previously: see para. 8 above. GM knew precisely
what the issues were: the relevance of the documents was obvious, and some had indeed been
referred to, explicitly or implicitly, in Mr Clegg’s witness statement. So there was no excuse
(subject to the point I consider at para. 22) for their late production. If they had been allowed
to be admitted so late, there was a real risk of prejudice to the other parties. Although the
documents were not voluminous, the task of the parties in trying to reconcile them – there and
then - with the Claimant’s letter and witness statement and with Mr Clegg’s witness statement
would not have been straightforward; it has to be borne in mind that the Claimant was
unrepresented. Mr Grant submitted to me that if it would really have been unfair to expect the
parties to digest the documents on the spot the Judge should have directed an adjournment. It is
not in fact clear that Mr Clegg suggested this at the time; but, whether he did or not, the hearing
had already been adjourned once, and given the amounts at stake and the value of tribunal time
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19. it was reasonable to take the view that the costs occasioned by a further adjournment would be
disproportionate.
22. The difficulty about the late production of the documents is tacitly acknowledged in the
Notice of Appeal, where Mr Clegg makes a point of pleading that privilege had only been
waived “days prior to the hearing” and that as a result GM was unable to lodge the file in
advance of the hearing (paras. 6.3 (1) and (2)). Unhelpfully, however, he does not address the
question in his witness statement lodged for the purpose of this appeal – nor indeed is it clear
whether he made the same point to the Judge. Mr Grant told me on instructions that it was only
on 1 May that Mr Clegg had had a telephone conversation with the Claimant in which he
confirmed that he was happy for the file to be produced at the hearing. Even if I were prepared
to proceed on this unsatisfactory evidential basis, that is not a good excuse. It was clear ever
since the Claimant had served his witness statement in October that privilege had been waived,
and it was unnecessary for GM to seek further confirmation. But even if they took the view
that some further confirmation was required, it is not clear why they waited till 1 May – and
even then they still had ten days in which to supply a copy of the file to the other parties and to
the Tribunal.
23. I accordingly reject this ground of appeal. I do so with some regret since the
correspondence and attendance notes, though far from being models of their kind, do appear to
show GM in a less bad light than they appeared to the Judge. But it was entirely their own fault
that these materials were not put before the Judge in good time.
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20. (2) ALLOWING RESPONDENT TO CROSS-EXAMINE AND MAKE SUBMISSIONS
24. In Ridehalgh v. Horsefield [1994] Ch 205 the Court of Appeal gave guidance about the
proper approach to applications for wasted costs orders in the High Court; and that guidance
was subsequently approved by the House of Lords in Medcalf v Mardell [2003] 1 AC 120. It
has since been said on more than one occasion that the guidance given in Ridehalgh should be
followed mutatis mutandis in considering applications under rule 48: see Mitchells v
Funkwerk Information Technologies York Ltd (UKEAT/541/07) and Ratcliffe Duce and
Gammer v Binns (UKEAT/100/08).
25. In Ratcliffe Duce and Gammer the Employment Judge had treated an application for
wasted costs as if it were governed by rule 40. At para. 14 Elias P. said this:
“Nobody had their eye on the ball. As a consequence she also adopted the
wrong procedure. She allowed the Respondent's solicitors to submit
comments upon the Appellant's representations to her. That is not an
appropriate procedure to adopt when a wasted costs order is made. The
Tribunal should give the representative a reasonable opportunity to make
oral or written submissions as to why the order should not be made (rule
48 (7)). But whilst the other party may apply for an order - although the
issue can exceptionally be raised by the Tribunal at its own initiative - it
does not thereafter comment on the submissions, and it will never be
appropriate for the receiving party to cross examine the representative
against whom the order is being considered.”
It is GM’s case that in entertaining the Respondent’s submissions on the wasted costs issue (as
Mr Clegg’s note shows that he did), and a fortiori in allowing Mr Clegg to be cross-examined
by Mr Chapman, the Judge was plainly acting contrary to what Elias P says in that passage.
26. I am bound to say that I cannot see why as a matter of principle there should be any such
general rule as Elias P appears to propound in Ratcliffe Duce and Gammer. As regards the
making of submissions, it is standard practice in the context of other kinds of issue for one
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21. party to be able to comment on the other party’s submissions; and I do not see what is different
about a wasted costs application. This aspect of the judgment in Ratcliffe has already been
questioned in this Tribunal. In Wilsons Solicitors v Johnson (UKEAT/0515/10), referring to
this passage we said:
“In fact, we venture to doubt whether ... that is an absolute rule. Elias P’s
observation was made in the context of a case where the solicitor against
whom the order was sought had not been present at the final hearing of
the case and was therefore invited to make written representations as to
why an order should not be made. It is easy to see why the other party
should not in those circumstances be allowed the last word. In a case like
the present, where the issue is decided at a hearing, some flexibility is
appropriate.”
As for cross-examination of the representative against whom costs are sought, no doubt in most
circumstances this will be inappropriate and/or unnecessary and/or disproportionate. But in a
case like the present, where the representative is no longer acting for the party, where privilege
has already been waived, where an oral hearing has been fixed and where the party and the
representative have given different accounts of facts which may be central to the issue before
the tribunal, cross-examination would seem a fair and proportionate way of helping it to get to
the right result.
27. Mr Grant was not able to suggest a principled basis for any such absolute rule. He did,
however, refer me to a passage in the judgment of the Court in Ridehalgh, at pp. 239-240,
which reads as follows:
“Procedure
The procedure to be followed in determining applications for wasted costs
must be laid down by courts so as to meet the requirements of the
individual case before them. The overriding requirements are that any
procedure must be fair and that it must be as simple and summary as
fairness permits. Fairness requires that any respondent lawyer should be
very clearly told what he is said to have done wrong and what is claimed.
But the requirement of simplicity and summariness means that elaborate
pleadings should in general be avoided. No formal process of discovery
will be appropriate. We cannot imagine circumstances in which the
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22. applicant should be permitted to interrogate the respondent lawyer, or
vice versa. Hearings should be measured in hours, and not in days or
weeks. Judges must not reject a weapon which Parliament has intended
to be used for the protection of those injured by the unjustifiable conduct
of the other side's lawyers, but they must be astute to control what
threatens to become a new and costly form of satellite litigation.”
The specific points made in that passage do not assist. The Court of Appeal says nothing about
the party seeking the order having no right to make submissions. Nor does it say anything
about cross-examination: in context, the reference to “interrogating” the representative is
clearly to administering paper interrogatories. The real point being made is that the procedure
should be as summary as is consistent with fairness; and in that context the Court deprecates
the deployment of elaborate procedures. It might on that basis have been open to one or more
of the parties to submit to the Judge that he should not hear oral evidence at all – from either
the Claimant or Mr Clegg – and simply have made a broad-brush assessment on the basis of
their statements. I am not in fact sure that it would have been right for the Judge to accede to
such a submission in the circumstances of this case; but the real point is that it was not made,
and that all parties proceeded on the basis that an oral hearing, with live evidence, was
required. In those circumstances I can see nothing wrong in the evidence being tested in cross-
examination.
28. I therefore reject this ground of appeal. If that means that I am differing from the view
expressed by Elias P. in Ratcliffe Duce and Gammer I do so with diffidence; but I note that
his observations were on any view obiter and were made in the context of a very different
procedural situation.
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23. (3) LACK OF REFERENCE TO THE CASE-LAW
29. Mr Grant pointed out that, as noted at para. 13 (2) above, the Judge did not refer to any
of the authorities on wasted costs, and indeed he told me on instructions that neither
representative referred him to any such authority. That does not reflect well on either Mr Clegg
or Mr Chapman, who should have made it their business to draw the Judge’s attention to the
key authorities. But it only matters if the omission led to him misdirecting himself. As to that,
Mr Grant identified a number of points made in the authorities identified above (and also
Persaud v Persaud [2003] EWCA Civ 394). But most of them are not germane to the Judge’s
actual reasoning as I have sought to analyse it at para. 15 above. To recap, that reasoning was
that when it became clear that settlement was not available GM did not promptly advise the
Claimant about his position, and even when he made it clear that he could not continue they
failed to implement those instructions. I can accordingly deal with Mr. Grant’s points briefly.
30. First, he contended that for a solicitor to pursue even a weak case with a view to
achieving a settlement is not in itself improper or unreasonable. I agree, but the eventual order
was not made on the basis that that was what GM had done.
31. Secondly, he contended that GM’s failure to comply with the procedural directions did
not cause any appreciable costs. That may be so, but again that failure was not the basis of the
Judge’s reasoning. The failure to ensure that the claim was withdrawn sooner plainly did put
the Respondent to very substantial expense.
32. Thirdly, Mr. Grant submitted that the failings relied on by the Judge were at most a
breach of GM’s duty to the Claimant rather than a breach of its duty to the tribunal. In this
regard, he relied in particular on Persaud (above), where the Court of Appeal noted and
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24. endorsed an observation in Ridehalgh that “the applicant's right to a wasted costs order against
a legal representative depends on showing that the latter is in breach of his duty to the court”
(see at para. 22). But the conduct found by the Judge, as analysed at para. 15 above, did
amount to a breach of duty to the tribunal. It is plainly an abuse of process for a claim to be
proceeded with which the claimant no longer wishes to pursue; and on the Judge’s findings it
was GM’s fault that that occurred in the present case. I accept that it might in this context be
possible to distinguish between a mere failure promptly to advise the Claimant once “the
writing was on the wall” and a disregard of a positive statement by him that he could not
proceed: only at the latter point, it might be said, did GM owe a duty “to promote the cause of
justice”, as it is put in Ridehalgh at p. 227D (summarising the effect of Myers v Elman [1940]
AC 282). But although it seems on the basis of the Claimant’s witness statement (which may
not however reflect his oral evidence) that he may not have made his position absolutely
explicit until late June, the distinction is unlikely to be very significant as regards quantum and
Mr Grant took no point on it.
34. Mr Grant submitted that there was evidence that, whatever advice had been given, the
Claimant would have continued until the last minute in any event. But that is a question of fact.
The Judge, having heard the Claimant’s oral evidence, did not take that view.
CONCLUSION
35. This appeal has not been as straightforward as it should have been because of the
difficulty in distinguishing the Judge’s wider criticisms of GM, not all of which may be
sustainable (at least if read literally), from the actual basis on which he made his order. But
appeals ought not to succeed because the way in which a Judge has expressed himself is
unsatisfactory, particularly in a decision which was delivered orally, if the dispositive reasoning
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25. can be identified and is sound. In the end I have concluded, albeit not without hesitation, that it
is possible to discern proper reasons underlying the decision in the present case. The essential
point is that the Judge preferred the Claimant’s evidence to Mr Clegg’s about the advice and
instructions which passed between them once it had become clear that the case was not going to
settle – and in particular, though not only, his evidence about when he made it clear that he
wished to withdraw. It is not raised as a ground of appeal that that was a conclusion that was
not open to him on the evidence which he heard, or that the reasons given for his preference
were inadequate. The only relevant challenge is on the basis that the Judge would have reached
a different conclusion if he had had the evidence of the full file: however, as to that, I have held
that he was entitled to refuse to admit that evidence. I accordingly dismiss the appeal.
FURTHER OBSERVATIONS
36. In my experience wasted costs orders too often generate arguable grounds of appeal. The
circumstances in which such orders fall to be made, or to be considered, are very varied, and I
do not propose to try to give comprehensive guidance; but I would venture to say something
about some problem areas apparent from recent cases.
(1) Reference to authority. Save in the most straightforward case it will always be wise for
the tribunal in its consideration of a wasted costs order to be reminded, and where there is
no professional representation to remind itself, not only of the terms of rule 48 but also of
the guidance given by the Court of Appeal at pp. 226-239 of the judgment in Ridehalgh;
and to refer to the relevant aspects in its Reasons. I emphasise relevant aspects. Judges
should certainly not feel obliged to try to summarise every part of the discussion in
Ridehalgh, not all of which is in any event applicable in the tribunal context. But, for
instance, in a case which turns on whether certain conduct was “improper, unreasonable
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26. or negligent” it will always be healthy for the Tribunal to be reminded of the discussion
at pp. 232-233, or in a case which depends on an allegation that the claim was hopeless to
bear in mind the passage at pp. 233-234. (Sometimes of course reference to other
authorities, such as Medcalf v Mardell, may be helpful; but I am concerned here only
with the basics.) Tribunals must of course avoid confusion between the principles
applying to applications for “ordinary” costs under rule 40 and for wasted costs under
rule 48: Ratcliffe Duce and Gammer is an example of an egregious failure in this
regard.
(2) Three-stage test. One particular aspect of the guidance in Ridehalgh which it is always
good to follow explicitly is the approach endorsed at p. 231 F-G, namely:
“(1) Has the legal representative of whom complaint is made acted
improperly, unreasonably or negligently?
(2) If so, did such conduct cause the applicant to incur unnecessary
costs?
(3) If so, is it in all the circumstances just to order the legal
representative to compensate the applicant for the whole or any
part of the relevant costs?”
(3) Procedure. As the Court of Appeal emphasised in Ridehalgh (p. 238 B-D and G), the
right procedure for determining claims for wasted costs will depend on the circumstances
of the particular case. Proportionality is an important consideration. The only essential is
that the representative has a reasonable opportunity to make representations as to whether
an order should be made. This does not necessarily mean a formal two-stage procedure -
see Wilsons (above), at para. 29. It may well, however, in a particular case mean that an
application for wasted costs cannot be dealt with in the same hearing as that in which the
application is made. Tribunals will often understandably wish to deal with such
applications there and then, in the interests of economy. I sympathise with that approach:
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27. unnecessary hearings on satellite issues are to be avoided wherever possible, and in a
straightforward case there will be a lot to be said for striking while the iron is hot. But
sometimes that will simply not be fair, and the representative will be entitled to more
time to make representations (though not necessarily at a further hearing). A recent case
in which this point arose, though it was not decisive, is Jackson v Cambridgeshire
County Council (UKEAT/0402/09) - see at para. 28, which also makes the point that
where an application cannot be fairly resolved without disproportionate investigation it
can be dismissed on that basis alone. (The same point about the appropriate procedure
depending on the nature of the issues is made by the Court of Appeal in Gill v
Humanware Europe plc [2010] EWCA Civ 799, which concerned a wasted costs order
made in this Tribunal: see esp. per Smith LJ at para. 31. It is interesting to note that the
Court was divided as to whether fairness required an oral hearing in the circumstances of
the particular case.) As the Court of Appeal said in Ridehalgh (at p. 238G), although the
procedure must be as simple and summary as possible, that can only be so far as fairness
permits. Applications for wasted costs orders will often involve not only quite large sums
but also what may be very serious criticisms of the representative’s competence or
conduct which may have serious repercussions for him or her, and which cannot be
properly addressed ex improviso. Judges should resist the temptation to treat wasted
costs issues as in every case matters of ancillary significance that can be dealt with on the
hoof.
(4) Privilege. In any case where privilege has not been waived the tribunal must give full
weight to the warnings in Ridehalgh at pp. 236-7 and ought always to make clear that it
has done so. However, it will not always be necessary for a tribunal to consider
privileged material in order to decide whether a representative is at fault (cf. Wilsons
(above)).
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28. (5) Reasons. The amount of detail required in the written Reasons in relation to a wasted
costs order (which are mandatory if sought in time – see rule 48 (9)) will of course vary
enormously. But, as I have already observed, the issues will sometimes be important and
will not always be straightforward, and in such cases thorough treatment will be required.
Wasted costs orders are also disproportionately likely to generate appeals, so that this
Tribunal will need to have a clear account of the tribunal’s reasoning.
37. In emphasising, as I have, the care with which applications need to be approached, I do
not wish at all to discourage tribunals from making wasted costs orders in an appropriate case.
Despite the various cautions and caveats about its use, the weapon of the wasted costs order is a
valuable one, which the rule-maker intended should be used in proper cases. The need to
observe the essential requirements of a fair procedure and good reasons need not involve undue
formality or elaboration and should not operate as a deterrent.
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