PPSA and PPS Register, general outline; critical issues and applications to the sale of business.

This is a presentation delivered by Dr William Higgs (Barrister-at-Law, Elizabeth Street Chambers) and Alex Chernishev (Senior Associate, Mills Oakley) entitled:

PPSA and PPS Register, general outline; critical issues and applications to the sale of business.

The paper was delivered at the Lawyers Learning For Charity Conference. Eastern Suburbs Law Society, Law Society of New South Wales.

The event was organised for the Brett Lee Foundation, supporting underprivileged children in India, on 29 August 2015.

PPSA and PPS register, general outline critical issues Higgs Chernishev FINAL

Trustee duties – general law and superannuation law

No different approach has been taken: see Re Application of HIH Superannuation Ltd [2003] NSWSC 65; Breckler at 109-110 ([41]); Kowalski v MMAL Staff Superannuation Fund Pty Ltd (No 2) [2008] FCA 691 at [21][25]; Telstra Super Pty Ltd v Finch [2009] VSCA 318 at [65]; and J C Campbell, ‘Exercise by Superannuation Trustees of Discretionary Powers(2009) 83 ALJ 159.

 

From Manglicmot v Commonwealth Bank Officers Superannuation Corporation [2010] NSWSC 363

Trustee – exercise of discretion

A helpful summary of the principles concerning the grounds on which the exercise of a trustee’s power can be challenged is found in a passage from the decision of Northrop J in Clerical Administrative and Related Employees Superannuation Pty Ltd v Bishop (1997) 76 IR 139, which was cited on appeal by Heerey J (Wilkinson v Clerical Administrative and Related Employees Superannuation Pty Ltd [1998] FCA 51; (1998) 79 FCR 469 at 480) and referred to by the High Court in Attorney-General for the Commonwealth v Breckler (1999) 197 CLR 87 at 99-100 ([7]) per Gleeson CJ, Gaudron, McHugh, Gummow, Hayne and Callinan JJ:

“Where a trustee exercises a discretion, it may be impugned on a number of different bases such as that it was exercised in bad faith, arbitrarily, capriciously, wantonly, irresponsibly, mischievously or irrelevantly to any sensible expectation of the settlor, or without giving a real or genuine consideration to the exercise of the discretion. The exercise of a discretion by trustees cannot of course be impugned upon the basis that their discretion was unfair or unreasonable or unwise. Where a discretion is expressed to be absolute it may be that bad faith needs to be shown. The soundness of the exercise of a discretion can be examined where reasons have been given, but the test is not fairness or reasonableness”.

See also the judgment of Kirby J, who regarded the summary as an accurate one, at 115 ([58]).

Example of such analysis

26 Accepting that where no reasons are given, the test is whether there has been a failure of the trustee to act “with an absence of indirect motive, with honesty of intention, and with a fair consideration of the issues”, a phrase used in Jacobs at [1610] and one based upon Truro LC’s words in In re Beloved Wilkes’s Charity [1851] EngR 375; (1851) 3 Mac & G 440 at 448[1851] EngR 375; , 42 ER 330 at 333, cited with approval by Sheller JA in Hartigan Nominees Pty Ltd v Rydge (1992) 29 NSWLR 405 at 441-442, the question is whether, when reasons are given by the trustee, a different test is to be used. Jacobs states at [1610] that if reasons are given “the court may consider the validity of such reasons and, if it feels that the reasons do not justify the decisions, may correct the decisions accordingly”. Wilkes’s and Hartigan are cited in support of this proposition.
27 In Karger v Paul [1984] VicRp 13; [1984] VR 161, McGarvie J said at 165-166:

“It is an established general principle that unless trustees choose to give reasons for the exercise of a discretion, their exercise of the discretion can not be examined or reviewed by a court so long as they act in good faith and without an ulterior purpose: Re Beloved Wilkes’ Charity [1851] 3 Mac and G 440; [1851] EngR 375; 42 ER 330; Duke of Portland v Topham [1864] EngR 339; (1864) 11 HLC 31; 11 ER 1242. For reasons given above, I would add the further requirement, so obvious that it is often not mentioned, that they act upon real and genuine consideration. In the context, it was in that sense that Lord Truro LC used the expression “with a fair consideration” in Re Beloved Wilkes’ Charity, at (42 ER) p. 333. In the case of an absolute and unrestricted discretion such as the discretion in the present case, the general principle is given unqualified operation: Gisborne v Gisborne (1877) 2 App Cas 300, at p. 305, per Lord Cairns LC; Tabor v Brooks (1878) 10 Ch D 273; Craig v National Trustees Executors and Agency Company of Australia Ltd. [1920] VicLawRp 101; [1920] VLR 569. The operation of the principle is discussed in Jacobs’ Law of Trusts in Australia, 4th ed., pp. 300-2.”

(emphasis added)
28 In addition to the obiter dictum in Karger, I have had regard, in this connection, to The King v The Archbishop of Canterbury [1812] EngR 102; (1812) 15 East 117, 104 ER 789; Wilkes’s; Re Knollys’ Trusts [1912] 2 Ch 357; Dundee General Hospitals Board of Management v Walker [1952] 1 All ER 896; Rydge v Hartigan Nominees Pty Ltd (unreported, Supreme Court of New South Wales, Young J, 12 September 1990), and on appealsupra; Meat Industry Employees Superannuation Fund v Petrucelli (unreported, Supreme Court of Victoria, Nathan J, 29 February 1992, BC9200730); Asea Brown Boveri Superannuation Fund No 1 Pty Ltd v Asea Brown Boveri Pty Ltd [1999] 1 VR 144; the passage from Wilkinson cited in Breckler and set out at [21] above; and a note of Mr David Maclean, ‘Beneficiary’s Right to See Confidential Trust Documents’ (1993) 67 ALJ 703, to which reference is also made in Jacobs. In Wilkes’s, Truro LC said at 448:

“it is to the discretion of the trustees that the execution of the trust is confided, that discretion being exercised with an entire absence of indirect motive, with honesty of intention, and with a fair consideration of the subject. The duty of supervision on the part of this Court will thus be confined to the question of the honesty, integrity, and fairness with which the deliberation has been conducted, and will not be extended to the accuracy of the conclusion arrived at, except in particular cases. If, however, as stated by Lord Ellenborough in The King v The Archbishop of Canterbury [1812] EngR 102;(15 East, 117), trustees think fit to state a reason, and the reason is one which does not justify their conclusion, then the Court may say that they have acted by mistake and in error, and that it will correct their decision; but if, without entering into details, they simply state, as in many cases it would be most prudent and judicious for them to do, that they have met and considered and come to aconclusion, the Court has then no means of saying that they have failed in their duty, or to consider the accuracy of their conclusion.”

(emphasis added)

29 I note that the learned authors of Jacobs, after setting out the general test, said at [1610]:

“The duty of the court generally is to see that the discretion of the trustees has been exercised in this manner and not to deal with the accuracy of the conclusion at which the trustees may have arrived.”

with Wilkes’s and Hartigan in the Court of Appeal cited in support.

30 In Dundee, it was argued that when reasons are given, the Court can more readily examine and correct the trustee’s decision. Lord Normand said at 900:

“It was said for the appellants that the courts have greater liberty to examine and correct a decision committed by a testator to his trustees, if they choose to give reasons, than if they do not. In my opinion, that is erroneous. The principles on which the courts must proceed are the same whether the reasons for the trustees’ decision are disclosed or not, but, of course, it becomes easier to examine a decision if the reasons for it have been disclosed. Lord Truro’s judgment in Re Wilkes’s (Beloved) Charity ought not to be construed as going beyond that.”

Lord Cohen expressed some support for the view that if the reasons given by the trustee, even on a matter for the trustee’s absolute discretion, demonstrate an approach that no reasonable person could have taken to the matter at hand, this is sufficient to demonstrate that the discretion has miscarried, but Lord Tucker did not, saying that in his view, nothing short of dishonesty on the part of the trustees in arriving at their decision would suffice (at 907). Lord Morton, whilst willing to adopt the appellant’s test for the purposes of the case, did not accept that it was an appropriate test. Lord Reid, whilst prepared to proceed on that basis, indicated that he wished to reserve his opinion on the point.
31 Even in Wilkes’s, where trustees had to determine who should be selected to be trained for the Church ministry, Truro LC, after having set out the passage referred to by Lord Normand, did consider whether there was anything in the trustees’ affidavits which laid the foundation “for any judicial conclusion that the trustees intentionally and from bad motives failed in their duty” (at 449), and his Lordship later referred to the fact that it had not been established that the trustees had adopted an exclusionary rule for which there was no warrant, which rather suggests that the Lord Chancellor was not intending to lay down a principle that the Court could, absent some established breach of the requirements, consider whether the trustees’ decision itself was erroneous or wrong. Ellenborough CJ’s approach in The Archbishop of Canterbury does not provide support for any wide power of review of the decision of the person exercising the discretion. In that case, a bishop, pursuant to a statutory provision, had to decide whether a candidate was suitable for appointment as a lecturer at a parish church, and the bishop had been ordered to provide an affidavit giving his reasons. His Lordship commented at page 141 of East’s:

“It only requires him first to approve, that is, before he licences; and in so doing, it virtually requires him to exercise his conscience duly informed upon the subject; to do which he must duly, impartially, and effectually inquire, examine, deliberate and decide. If the Court have reason to think that any thing is defectively done in this respect, it will interpose its authoritative admonition. The mandamus to license, if the party shall be found to be a fit person, is a solemn and peremptory call upon the bishop to adopt the requisite means for duly informing his conscience, in order to the correct and effectual exercise of this most important duty.”

and at page 146:
“what scales have we to weigh the conscience of the bishop?”; see also page 153 of East’s, where his Lordship said:

“Now if we were trying the validity and correctness of the bishop’s conclusions, and going into all the facts of the case (which I disclaim our authority for doing) there was before the bishop the evidence of a person who gives his information at an unsuspicious period, when there was no question depending and no interest to be served or prejudiced by it.”

32 In Esso Australia Ltd v Australian Petroleum Agents’ & Distributors’ Association [1999] 3 VR 642 at 652-653, Hayne J said that the Court “will not sit on general appeal from the decisions of the trustee”.
33 In Petrucelli, Nathan J, in setting out his views of the limits of review by the Court when reasons are advanced and after noting that the exercise of discretion means no more than arriving fairly at a conclusion from a number of options or alternatives, said at page 8 of BC9200730 that the Court’s function was to consider:

“(1) Whether the reasons relate to or are relevant to the discretion to be exercised. (2) Whether the reasons were arrived at in good faith and without an ulterior purpose (see Karger and Beloved Wilkes Charity (1851) 3 Mac and Eg 440; [1851] EngR 375; 42 ER 330). (3) Whether the reasons reasonably support the conclusion. (4) It is open to the court to look at evidence of the enquiries made by the trustees, the information they had and the manner of the exercise of their discretion, but only [so] far as to assess the viability of the exercise, not to impugn or replace it. (5) It is not open to the Court to examine the reasons for the purposes of exercising its own discretion. It is not open to the Court to examine the factual situation for the purposes of substituting its own discretion for that of the trustee because the Court might consider the trustee unwise or imprudent (see also Dundee Hospital v Walker (1952) 1 All ER 896). (6) It follows as a compelling matter of logic that the reviewable discretion is that which was exercised by the trustees at the time.”

34 Having regard to the authorities, and particularly what was said in Dundee, Rydge at first instance and Petrucelli, I proceed on the basis that where reasons are given, the Court can have regard to those reasons in forming a view as to whether the trustee has:

(1) acted for an indirect motive;

(2) acted without honesty of intention;

(3) acted without a fair or real and genuine consideration of whether and how the discretion should be exercised; and

(4) acted for a purpose beyond that for which the power and discretion were bestowed on it.
35 I am, with respect, attracted to the view expressed by Lord Normand that the principles on which the Court must proceed are the same whether reasons are given or not. When reasons are provided, the determination of whether breach has occurred may well be made easier, but this does not alter the test. I think this conclusion is consistent with the last sentence of the passage from Wilkinson cited in Breckler and set out at [21] above. From a practical point of view, I think it would be undesirable that trustees be discouraged from giving reasons for a decision, when asked, for fear that the provision of reasons would lead to a more expansive power of review than if they gave no reasons.

38 In Telstra Super Pty Ltd v Flegeltaub [2000] VSCA 180; (2000) 2 VR 276 at 284, Callaway JA expressed the view that if the decision were one which no reasonable trustee could make on the material before it, this would establish a breach. This approach was adopted by Bryson J in Sayseng v Kellogg Superannuation Pty Ltd [2003] NSWSC 945 at [62]; and see Hay v Total Risk Management Pty Ltd [2004] NSWSC 94, where these cases were reviewed and Burchett AJ said at [56]:

“the trustee’s decision, applying the test that has so far been accepted by the courts, will only be overturned if it is such as no reasonable trustee could have arrived at upon the material considered. However, a reasonable trustee would hold to a high standard in the consideration of such a matter, which involves important rights of a contractual nature.”

From Manglicmot v Commonwealth Bank Officers Superannuation Corporation [2010] NSWSC 363

Trustee’s duties

Trustees duties:

(1) it owes its members a duty to act in the members’ best interests: see Cowan v Scargill [1984] 2 All ER 750 at 760 per Sir Robert Megarry VC:

“The starting point is the duty of trustees to exercise their powers in the best interests of the present and future beneficiaries of the trust, holding the scales impartially between the different classes of beneficiaries. This duty of the trustees towards their beneficiaries is paramount. They must, of course, obey the law; but subject to that, they must put the interests of their beneficiaries first. When the purpose of the trust is to provide financial benefits for the beneficiaries, as is usually the case, the best interest of the beneficiaries are normally their best financial interests.”

(2) it owes a duty to act impartially, excluding from consideration matters which are irrelevant and giving proper consideration to matters which are relevant: see Edge v Pensioners Ombudsman [1999] EWCA Civ 2013; [1999] 4 All ER 546 at 567.

(3) it owes members of the Fund a duty to exercise reasonable care, and it has been said that this duty will be discharged if it “takes in managing trust affairs all those precautions which an ordinary prudent man of business would take in managing similar affairs of his own”: Speight v Gaunt (1883) 9 App Cas 1 at 19 per Lord Blackburn, adopted in Austin v Austin  [1906] HCA 5 ;  (1906) 3 CLR 516  at 525, see also Elder’s Trustee and Executor Company Limited v Higgins [1963] HCA 48; (1962) 113 CLR 426 at 448; “a trustee is not a surety, nor is he an insurer”: see In re Chapman [1896] 2 Ch 763 at 775 per Lindley LJ.

(4) it must act honestly and in good faith: see J D Heydon and M J Leeming, Jacobs’ Law of Trusts in Australia (7th ed, 2006), LexisNexis Butterworths, Sydney (“Jacobs”) at [1608] and the cases there cited.

(5) it must take an informed view of whether or not to exercise its discretion and not act irresponsibly, capriciously or wantonly: see Jacobs supra;

(6) it must exercise its power with due consideration for the purpose for which the power was conferred and not some ulterior purpose: see Jacobs supra.

 

From Manglicmot v Commonwealth Bank Officers Superannuation Corporation [2010] NSWSC 363

Trustees rights on removal (indemnification and exoneration)

Caterpillar Financial Australia Limited v Ovens Nominees Pty Ltd [2011] FCA 677

 If a corporate trustee is removed as trustee by the operation of a disqualification clause in the trust deed, the position is as follows:

(i)          notwithstanding the appointment of a new trustee, as the former trustee, it retains its right of indemnity and/or exoneration (described above). These rights may be enforced by its liquidator against the trust assets, although it is not clear how, as the former trustee, its liquidator would proceed to enforce them (at [18] and [20]);

(ii)         there is conflicting authority (Re Suco Gold Pty Ltd (in liquidation) (1983) 33 SASR 99 per King CJ and Lemery Holdings Pty Ltd v Reliance Financial Services Pty Ltd[2008] NSWSC 1344 per Brereton J) as to whether, as the former trustee, it has the right to retain trust assets as security for any accrued right of indemnity as against any new or replacement trustee (at [19] and [21]–[25]);

(iii)        the position will be different where there has not been, and will not be, a new or replacement trustee appointed.  In that event, as the former trustee, it continues as bare trustee of the trust assets and retains its right of indemnity and/or exoneration and its lien over the trust assets ([26]); and

(iv)         however, as a bare trustee, its duties, powers and rights are limited to protecting the trust assets and that does not include any power of sale of the trust assets (at [26] and [28]);

Trustees rights on liquidation (indemnification and exoneration)

Caterpillar Financial Australia Limited v Ovens Nominees Pty Ltd [2011] FCA 677

A corporate trustee enters liquidation, its position is as follows:

(i)          its right of indemnity, or exoneration, is retained (at [16]);

(ii)         it continues to have the right to meet creditors’ claims related to any liabilities incurred by it in its capacity as trustee, out of the trust assets (at [15]–[16]); and

(iii)        in addition, its liquidator has the right to claim costs and expenses incurred in winding up the corporate trustee insofar as that relates to its role as trustee and its liquidator has a right of indemnity against the trust assets in respect thereof and a right of exoneration against the trust assets in respect of any prospective liability (at [17]).

Trustees rights generally (indemnification and exoneration)

Caterpillar Financial Australia Limited v Ovens Nominees Pty Ltd [2011] FCA 677

A corporate trustee is acting properly in its capacity as trustee, it has the following rights (at [14]):

(i)          when a corporate trustee incurs a liability on behalf of the trust, it has a right of indemnity out of the trust assets and retains an equitable lien or equitable charge over the trust assets to secure that right of indemnity;

(ii)         it also has a right of exoneration out of the trust assets in respect of any prospective liability; and

(iii)        it has a right to deal with the trust assets, in accordance with the terms of the trust, to satisfy any liabilities in respect of which the right of indemnity or right of exoneration attaches, including the power to sell trust assets.

Review sites, testimonials and chat rooms as evidence to prove your case in court. Sorry, no way!

In Briginshaw v Briginshaw [1938] HCA 34; (1938) 60 CLR 336 at 361-362, Dixon J stated:

“[W]hen the law requires the proof of any fact, the tribunal must feel an actual persuasion of its occurrence or existence before it can be found. It cannot be found as a result of a mere mechanical comparison of probabilities independent of any belief in its reality…it is enough that the affirmative of an allegation is made out to the reasonable satisfaction of the tribunal. But reasonable satisfaction is not a state of mind that is attained or established independently of the nature and consequence of the fact or facts to be proved. The seriousness of an allegation made, the inherent unlikelihood of an occurrence of a given description, or the gravity of the consequences flowing from a particular finding are considerations which must affect the answer to the question whether the issue has been proved to the reasonable satisfaction of the tribunal.”

As the follow extract shows, it is near on impossible to use information on internet user groups, chat rooms, review sites and even testamonials as evidence to support your case………

The following case concerned a claim for a new vehicle in circumstances where the engine of the newly purchased vehicle leaked significant amounts of oil. There was no expert evidence to support the proposition that the engine was in some way not merchantable.

Askounis v Nissan Australia P/L (Motor Vehicle) [2007] NSWCTTT 389 (13 July 2007)

  1. The Tribunal is bound by section 28 of the Consumer, Trader and Tenancy Tribunal Act 2001 which sets out the way in which proceedings are to be conducted. It provides as follows:

(2) The Tribunal is not bound by the rules of evidence and may inquire into and inform itself on any matter in such manner as it thinks fit, subject to the rules of procedural fairness.

 

(3) The Tribunal is to act with as little formality as the circumstances of the case permit and according to equity, good conscience and the substantial merits of the case without regard to technicalities or legal form.

 

  1. Ordinarily in Tribunal proceedings parties rely on their own evidence, the reports of experts, documents about their particular case or transaction. In this case, however, in relation to the Applicant’s contention that the 2006 model’s engine has a design or manufacturing flaw, the Applicant has submitted no expert’s report, only pages downloaded from websites where consumers have been sharing their experiences with Nissan cars.
  2. The first issue is whether this should be admitted as evidence in the proceedings.
  3. I do not see any difficulty in this particular case in accepting that, in the absence of evidence to the contrary, the author, recipient, date and contents of the document are all as stated on the face of each of the documents or the admissibility of these documents. These documents were served on the Respondent and it has not sought to challenge the documents themselves in any way. The Respondent does however challenge the inferences that the Applicant says the Tribunal should draw from these documents.
  4. I note that in previous cases the Tribunal has admitted material downloaded from the internet.
  5. In Newhouse v Nokia Australia P/L [2002] NSWCTTT 499 an applicant sought an order from the Tribunal for the replacement of a faulty phone. The applicant tendered only documents downloaded from the internet to prove that the problem was a manufacturing or design flaw. The Respondent in the case submitted it did not accept information from third party websites as “proper forums for information pertaining to its products.” The Tribunal admitted the documents however dismissed the application on the basis that there was “ no evidence, other than the internet articles, that the problem with the phone was due to any default by the manufacturer. I do not accept that the internet articles are specific enough to allow me to make the finding that the problem with the phone is due to a breach by the manufacturer.”
  6. In the matter of Ambula P/L t/as Aluminium Engineering v Simpson & Ors [2003] NSWCTTT 125, again the documents downloaded from the internet were admitted into evidence however the Tribunal was not persuaded by the contents of the documents:

“The unsworn evidence of people who wrote to Mr Wright or who participated in e-mail chat rooms as to what had happened to their vehicles when fitted with Zeus gears is not persuasive. I have no evidence as to the expertise of these people. While the Tribunal is not bound by the rules of evidence clearly certain kinds of evidence carry more weight than others.”

 

  1. It seems to me that in cases such as these involving consumer goods, consumer comments can be admitted into evidence, perhaps not individually, but cumulatively. The weight to be given to the material will, of course, be a matter to be decided on a case-by-case basis.
  2. The Applicant has reproduced this internet material for the Tribunal for two purposes – to support his case that the car is not of merchantable quality and secondly to support his argument that as this model of car is so unreliable/problematic the only remedy appropriate is a full refund.
  3. The only Australian case which the Tribunal was specifically referred to during the hearing was downloaded from the internet. It was included in the documents on which the Applicant relied in the hearing and was said to be from a Jim in Melbourne. The relevant part of the document, dated 17 February 2007, reads as follows:

“My name is also Jim and unfortunately I have the same oil burn problem with my new 2006 350Z Track. Am currently taking Nissan through the tribunal for a refund on the car. Up until we went to the tribunal, Nissan have been playing hardball. They have finally admitted to there being a problem and as in your case are willing to replace my engine.”

 

  1. On 19 February 2007 Jim from Melbourne wrote:

“After much hassling the engine was replaced in about 10 weeks as they argued over who should do it because it was a warrantee (sic) fix and no money in it…….Once I got it back everything was great for about 5 months, then disaster. Nissan mechanics have little experience in replacing engines in Z’s and in doing it they forgot to properly tighten up two bolts that hold in a small metal guide bracket that sits behind the timing chain. It detached itself, it got jammed between the timing chain and the gear that drives the water pump. The radiator blew itself to kingdom come and all the hoses from it………..Get rid of it, you have a lemon, one of the few Z’s that are such, but a lemon all the same.”

 

  1. Although I was not specifically referred to the following cases during the Tribunal hearing, I note that there were two other cases from Australia in the papers relied on by the Applicant. One person wrote on 12 October 2006 in relation to an 06 Z Roadster Track:

“I have recently purchased an 06 Z roadster Track. The car has about 9500km on it. At about 7500km it began consuming oil, it currently consumes about 500ml per 1000km” The person next wrote on 13 October 2006 “Nissan have placed the car on an oil watch, which means taking the car back every 1000km and measuring the oil loss, they will do this 3 times and the final one lines up with the 10k service. Looks like I may be getting a new engine.”

 

  1. There was one further internet comment dated 24 February 2007 which without identifying the model of the car, said:

Nissan Australia are telling us that it’s not a problem, oil loss and pinging is “within acceptable tolerances.” Can you believe these guys??? They say it’s a one off, not a pandemic problem. Blaming me initially for not running in the car properly and then saying I don’t drive it hard enough? What the? After changing the motor, they ran it in, guess what? Same again!”

 

  1. The Applicant is asking the Tribunal to find, in effect, that the design or manufacture of the 2006 model is defective in some way. In relation to the Australian experience, I have the evidence of, at most, five consumers using this model engine who encountered the problem. (I am including the Applicant’s engine, and the two engines said to have failed one of the consumers in the documents filed.) However, I have no evidence of how many of this model car have been sold in Australia. I have no evidence from any experts as to whether the design/manufacture of the engine is defective. On the other hand, I have the evidence of Mr Prior, although obviously not independent, that he has never encountered this problem with this model before, despite his responsibility for twelve dealerships in NSW.
  2. In this case, although the Applicant told me that the Australian models and the US models were identical, I have no evidence that this is so. Again I have no evidence of what proportion of the vehicles have these problems compared to how many vehicles are sold.
  3. The Applicant was, I believe, inviting me to draw an inference that the model of car was defective because Nissan had changed the design to the extent of 80%. The Applicant said that this information was from Nissan’s own information. No such information was made available to the Tribunal. Mr Prior did not confirm nor deny this. In any case, even if I were to accept there was such a change to the design of the engine, I cannot, simply from this, infer that the engine design of the 2006 model was defective.
  4. The Tribunal in making a finding must only do so if it is satisfied on the balance of probabilities. The Tribunal must, when considering whether a matter has been established on the balance of probabilities have regard to, among other things, the seriousness of the finding it is being asked to make. In the case of Briginshaw v Briginshaw [1938] HCA 34; (1938) 60 CLR 336 at 361-362, Dixon J stated:

“[W]hen the law requires the proof of any fact, the tribunal must feel an actual persuasion of its occurrence or existence before it can be found. It cannot be found as a result of a mere mechanical comparison of probabilities independent of any belief in its reality…it is enough that the affirmative of an allegation is made out to the reasonable satisfaction of the tribunal. But reasonable satisfaction is not a state of mind that is attained or established independently of the nature and consequence of the fact or facts to be proved. The seriousness of an allegation made, the inherent unlikelihood of an occurrence of a given description, or the gravity of the consequences flowing from a particular finding are considerations which must affect the answer to the question whether the issue has been proved to the reasonable satisfaction of the tribunal.”

Approach this Court should take on appeal – Warren v Coombes

From

Kitgetzis v Roche [2014] VSC 657 (Rush J)

Case involved motorbike collision with plaintiff notwithstanding plaintiff crossing street against red man signal motorbike rider could be negligent. At first instance the finding was that the applicant (motorcyclist) was negligent and that the respondent (pedestrian) was contributory negligent to the extent of 60 per cent..

Appeal – applicant denies negligence and in the alternative alleges contributory negligence on the part of the respondent.

Illustration of the role of an appeal’s court in considering whether the first instance decision with regard to breach of duty of care by motorcyclist may be overturned.

[24] The approach this Court should take on appeal was explained in Warren v Coombes.  Gibbs ACJ, Jacobs and Murphy JJ said:

The duty of the appellate court is to decide the case — the facts as well as the law — for itself. In so doing it must recognize the advantages enjoyed by the judge who conducted the trial. But if the judges of appeal consider that in the circumstances the trial judge was in no better position to decide the particular question than they are themselves, or if, after giving full weight to his decision, they consider that it was wrong, they must discharge their duty and give effect to their own judgment. Further there is, in our opinion, no reason in logic or policy to regard the question whether the facts found do or do not give rise to the inference that a party was negligent as one which should be treated as peculiarly within the province of the trial judge. On the contrary we should have thought that the trial judge can enjoy no significant advantage in deciding such a question. The only arguments that can be advanced in favour of the view that an appellate court should defer to the decision of the trial judge on such a question are that opinions on these matters very frequently differ, and that it is in the public interest that there should be finality in litigation. The fact that judges differ often and markedly as to what would in particular circumstances be expected of a reasonable man seems to us in itself to be a reason why no narrow view should be taken of the appellate function. The resolution of these questions by courts of appeal should lead ultimately not to uncertainty but to consistency and predictability, besides being more likely to result in the attainment of justice in individual cases. The interest of the community in the speedy termination of litigation might, no doubt, be an argument in favour of the complete abolition of appeals, although that would be far too high a price to pay merely for finality. However, if the law confers a right of appeal, the appeal should be a reality, not an illusion; if the judges of an appellate court hold the decision of the trial judge to be wrong, they should correct it.( (1979) 142 CLR 531, 552-3.)

……..

[44]On an appeal by way of rehearing such as the present, the appellate court will only interfere if it is satisfied the order the subject of appeal is the result of some legal, factual or discretionary error.( Allesch v Maunz (2000) 203 CLR 172, 180 [23] (Gaudron, McHugh, Gummow and Hayne JJ); Lacey v A-G (Qld) (2011) 242 CLR 573, 597 [57] (French CJ, Gummow, Hayne, Crennan, Kiefel and Bell JJ).)

[45] Obviously enough, it will be necessary for an appeal court conducting an appeal by way of rehearing to re-evaluate the question of contributory negligence for itself if it reaches different conclusions with respect to the primary facts from that of a trial judge. This, however, is not such a case. For the reasons I have explained, I accept the trial judge’s conclusions as to the primary facts. In turn, this is a case in which the trial judge’s finding as to contribution is not to be lightly reviewed. Due deference must be given to the fact that he heard the oral evidence of the relevant witnesses and was immersed in the evidence by the trial process in a way in which this Court is not.(See the observations of Whelan JA in TAC v Cuthbertson [2013] VSCA 29 [34].) This Court must be persuaded he erred in making a multifactorial evaluation of the facts as a whole. I am not persuaded that the judge’s finding as to apportionment was not reasonably open.

Appeals court unltimately agreed with trial judge that appellant (motorcyclist) was also negligent.


Dont be an average Transactional Lawyer

Transactional lawyers are often seen as the negotiators of the legal world. Requiring enough aplomb to sway the mediator, and enough aggression to push for the best possible deal for their client, transactional lawyers often need to walk a tightrope of rhetoric and resolve. However, by adhering to the tips below, you can ensure the most favourable settlement always lands on your side of the table in a legal transaction.

Manage expectations

Barrister Dr William Higgs stresses the importance of understanding your client’s perceived outcome – and being realistic about it.

“The most important aspect of a transactional lawyer’s role is knowing what your client wants and challenging that expectation,” Dr Higgs said.

“The world has become much more connected over the past decade, so transactional lawyers now work on cross-border deals. Clients expect transactions to be completed much faster. As a transactional lawyer, you need to have confidence in your knowledge and ability to close that loop.”

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Reverse engineer

Dr Higgs suggests that transactional lawyers apply their far-spanning knowledge of the law to their transactions.

“Become familiar with different types of commercial transactions and break them down into their component legal parts,” he said.

“Then think about the commercial and structuring aspects of the transaction. Attention to detail is a must.”

See link below to what the College of Law say about Transactional Lawyers

College of Law