Full Judgment Text
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CASE NO.:
Appeal (civil) 7539 of 1999
PETITIONER:
Canara Bank and Ors.
RESPONDENT:
Shri Debasis Das and Ors.
DATE OF JUDGMENT: 12/03/2003
BENCH:
SHIVARAJ V. PATIL & ARIJIT PASAYAT
JUDGMENT:
J U D G M E N T
ARIJIT PASAYAT,J.
Scope and ambit of Regulation 6(18) and 6(21) of the
Canara Bank Officer Employees’ (Conduct) Regulations 1976
(hereinafter referred to as ’the Regulations’) fall for
determination in this appeal.
Filtering out unnecessary details, the factual
background relevant for adjudication for the present
dispute is as follows:-
Four charge-sheets dated 12.12.1987, 5.11.1987,
23.3.1989 and 25.5.1989 were issued to respondent no.1-
Debasis Das (hereinafter referred to as ’the employee’) by
the functionaries of the Canara bank, a Government of India
undertaking. Disciplinary proceedings were commenced.
Charge-sheet dated 5.11.1987 related to the non-vacation of
residential quarter by the employee after expiry of the
lease period. On completion of inquiry in respect of the
said charge, disciplinary authority directed dismissal of
the employee from the services of the Bank by order dated
28.8.1989. The disciplinary authority thereafter passed an
order on 13.9.1989 which is the bone of contention of the
parties. Details of the said order shall be dealt with
infra and after the recital of the factual position is
completed. Order of dismissal was challenged by the
employee before the Calcutta High Court. By order dated
14.12.1990 in writ petition CO No. 10514(W)/1989, the order
of dismissal was set aside. Employee was reinstated on
28.1.1991. After reinstatement three office orders were
issued to proceed with the inquiries relating to the other
three charge-sheets. According to the employer-Bank the
proceedings were earlier suspended. Enquiry Officers and
Presiding Officers were appointed in those proceedings. By
letter dated 6.4.1991 employee requested to drop the
proceedings in the said charge-sheets and to exonerate him
from the charges contained. On 23.4.1991 he was advised by
the authority to attend the inquiry proceedings. On
30.9.1991 list of the documents along with the copies were
sent to the employee. On 24.11.1992 employee for the first
time took the stand that he had been exonerated of the
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charges contained in the three charge-sheets and all
proceedings in connection therewith had been dropped. Along
with his letter, a photocopy purporting to be a copy of
letter dated 13.9.1989 written by one Shri K.V. Nayak,
officer of the Bank was sent. According to the appellant
the enclosure to employee’s letter dated 24.11.92 was a
fabricated document and contents of the actual letter dated
13.9.1989 sent by the Bank had been interpolated. Treating
the letter to be a fabricated document further charge-sheet
dated 21.5.1994 was issued where it was stated that during
the progress of the pending three enquiries employee had
produced certain forged/fabricated documents before the
disciplinary authority and thus constituted misconduct. The
charge-sheet along with statement of imputation were served
on the employee. On 7.6.1994 employee wrote to the Acting
Dy. General Manager that the proceedings dated 13.9.1989
received by him from the Bank was singed by the Dy. General
Manager and not by the Acting General Manager or Shri K.V.
Nayak as alleged or at all. Enquiry into the charge-sheet
was conducted, the documents relied upon by the management
were produced and the office copy of the letter issued under
the signature of Mr. K.V. Nayak, Acting General Manager was
produced. Certain witnesses were examined. During the
inquiry employee was asked to produce the original letter
claimed to have been received by him, but his stand was that
he did not desire to part custody of the defence documents
since the same are very much required at a later stage. On
1.4.1995 the minutes were accordingly recorded. The
employee on that date made a statement that he wanted to
make further submissions in his written briefs which he
would be submitting in terms of Rule 6(18) and he was
closing his evidence/defence. The Presenting Officer was
directed by the Inquiry Officer to submit his written briefs
within 10 days i.e. before 12.4.1995. He was also
instructed to send a copy of his written briefs to the
charged officer simultaneously. Employee was further
directed to submit his written briefs within 10 days of the
receipt of the written briefs from the Presenting Officer.
The Presenting Officer submitted his written briefs on
19.4.1995. Since no written briefs were sent by the
employee, the inquiry officer sent his report to the
disciplinary authority on 2.5.1995. On 19.5.1995
disciplinary authority sent copy of the enquiry report to
the employee and asked for his submission in relation to the
findings recorded by the Inquiry Authority. Employee took
the stand that he could not submit written briefs as he had
not received copy of the Presenting Officer’s written
briefs. He requested for a copy. The Disciplinary
Authority on 2.7.1995 wrote to the employee that Presenting
Officer’s briefs was sent to him on 2.5.1995 and as such he
could make his submission based on the findings of the
enquiry officer and also on the oral/documentary evidence
which were recorded during the course of inquiry. He
further informed that such submissions would be taken into
account for final decision in the matter. Employee by his
letter dated 12.7.1995 stated that without copy of the
Presenting Officer’s written briefs no effective submissions
could be made on the findings of the Enquiry Report. The
Disciplinary Authority sent copy of the briefs to the
employee and asked him to make his submissions on the
findings of the enquiry report. Employee asked for time
till 10.8.1995. Finally on 4.8.1995 the employee stated
that the written briefs were being sent for consideration of
the Enquiry Officer. On 7.8.1995 the Disciplinary Authority
asked the employee to file submissions to the findings of
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the Inquiry Authority. On 12.8.1995 the employee took the
stand that the written briefs should be considered by the
Inquiry Authority whereafter the findings of the Inquiry
Officer should be made and he should be permitted 30 days’
time to give his submissions on the findings of the said
report. He did not make or send submissions on the findings
of the Inquiry Officer. By order dated 29.9.1995
Disciplinary Authority held the employee guilty and imposed
punishment of dismissal from service agreeing with the
findings of the Inquiry Officer. On 11.10.1995 Howrah
Branch of the appellant-Bank received order for effecting
service on the employee. But he left the Bank along with
certain keys. Complaint was lodged before the police on
13.10.1995 regarding the removal of the keys. On 6.11.1995
employee filed writ petition before the Calcutta High Court.
Learned Single Judge of the High Court passed interim order
restraining the Bank from giving effect to the final order.
Thereafter on 8.11.1995 the employee attended the Bank. An
appeal was preferred against the interim order by the Bank
and the Appellate Court vacated the interim order. Employee
filed a Special Leave Petition before this Court which was
dismissed. The order of dismissal was given effect on
5.2.1996 operative from 29.1.1996. Employee filed an appeal
before the prescribed departmental appellate authority. On
8.1.1997 the employee was informed that the Appellate
Authority would give personal hearing to him on 27.1.1997.
During personal hearing, employee submitted a written
statement and submitted some documents, one of them
purported to be copy of letter dated 13.9.1989, which was at
variance with one which was produced by the employee earlier
and was also at variance with the original letter produced
by the management during the inquiry. According to the
appellant, this letter was another forged and fabricated
document and this time the letter was claimed to have been
signed by the Dy. General Manager and not by the Acting
General Manager. In any event, it is not necessary to deal
with the aspect in detail. The Appellate Authority passed
an order upholding the order of dismissal. Employee filed a
writ petition No. 9707 (W) of 1997, with application for
return of the documents produced by him before the Appellate
Authority. Learned Single Judge disposed of the interim
application directing the appellant-Bank to return the
original documents produced by the employee before the
Appellate Authority. When these documents were returned to
the employee he refused to accept them stating that he had
not filed them before the Appellate Authority. The Learned
Single Judge allowed the writ petition holding that Inquiry
Officer had given an opportunity to the Presenting Officer
to file his written briefs and similar opportunity ought to
have been given to the employee and thus there has been
violation of principles of natural justice. Further
direction was given to send the disputed documents to the
Government Handwriting and Questioned Documents’ Expert. It
was observed that, if so desired, the parties may pray for
adducing fresh evidence before the Enquiry Officer which
shall be considered. The said order was challenged before
the Division Bench. The appeal was dismissed by the
Division Bench, inter alia, with the conclusion that
provisions of Regulation 6(18) are mandatory in nature and
the employee did not get an opportunity to file his written
briefs before the Inquiry Officer. Prejudice is patent as
the author of the disputed documents was not produced to
prove or disprove his signature and contents of the letters
in question. Written briefs had to be considered by the
Inquiry Officer in terms of Regulation 6(18), and order of
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dismissal shows that written briefs of the employee had not
been considered. An unfair trial cannot be cured by a fair
appeal. There was no question of directing the proceedings
to commence de novo from the inquiry report stage. Though
Learned Single Judge had not given specific directions
regarding payment of back wages upon quashing of
disciplinary proceedings, the consequences had to follow.
In support of the appeal, Mr. P.P. Rao, learned
counsel for the appellant submitted that the true import of
Regulation 6(18) has not been considered by the High Court.
As no prejudice was caused to the employee by the action
taken by the Disciplinary Authority, and there was full
compliance with the principles of audi alteram partem. Even
if it is conceded for the sake of argument that there was
any deficiency in the order passed by the Disciplinary
Authority, same was abundantly made good by the Appellate
Authority which granted personal hearing to the employee.
Post decisional hearing is permissible and in fact personal
hearing was granted though there was no such requirement. No
prejudice has been shown.
In response learned counsel for the employee submitted
that the Inquiry Officer had permitted filing of the written
briefs by the employee after written briefs was submitted by
the Presenting Officer. As the employee had not received
the copy of written briefs, therefore, there was delay and
the Inquiry Officer was duty bound to consider the written
briefs of the employee. Merely because the Appellate
Authority granted opportunity of personal hearing that did
not cure the incurable defect in the proceedings.
Furthermore, the directions of the Learned Single Judge for
sending the disputed documents to the expert stand and the
Bank is not prejudiced in any manner. He in essence
supported the High Court’s judgment.
Since Regulation 6(18) is the provision round which the
controversy centers, it would be appropriate to quote the
same. So far relevant it reads as follows:
"Regulation 6(18): The Inquiring Authority
may, after the completion of production of
evidence hear the Presenting Officer, if
any, appointed and the Officer employee, or
permit them to file written briefs of the
respective cases within 15 days of the date
of completion of the production of evidence
if they so desire."
It would be also relevant to extract Regulation 6(21)
which reads as follows:
"Regulation 6(21): (i) On the conclusion of
the inquiry the inquiring authority shall
prepare a report which shall contain the
following:
a) a gist of the article of charge
and the statement of the imputations
of misconduct or misbehaviour;
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b) a gist of the defence of the
officer employee in respect of each
article of charge;
c) an assessment of the evidence in
respect of each article of charge;
d) the findings on each article of
charge and the reasons therefor.
Explanation: If, in the opinion of the
Inquiring authority, the proceedings of the
inquiry establish any article of charge
different from the original article of
charge, it may record its findings on such
article of charge:
Provided that the findings on such
article of charge shall not be recorded
unless the officer employee has either
admitted the facts on which such article of
charge is based or has had a reasonable
opportunity of defending himself against
such article of charge.
(ii) The inquiring authority, where it is
not itself the Disciplinary Authority, shall
forward to the Disciplinary Authority, the
records of inquiry which shall include.
a) the report of the inquiry prepared
by it under clause (i);
b) the written statement of defence,
if any, submitted by the officer
employee referred to in sub-regulation
(15);
c) the oral and documentary evidence
produced in the course of the inquiry;
d) written briefs referred to in sub-
regulation (18) if any; and
e) the orders, if any, made by the
Disciplinary Authority and the
inquiring authority in regard to the
inquiry."
It is to be noted that the Disciplinary Authority can
himself be the Inquiring Authority. In that sense the
Inquiry Officer is an agent of the Disciplinary Authority.
The regulations make this position crystal clear in
Regulation (7). It reads as follows:
"Regulation 7: Action on the Inquiry
Report:
(1) The Disciplinary Authority, if it
is not itself the inquiring authority may
for reasons to be recorded by it in writing,
remit the case to the inquiring authority
for fresh or further inquiry and report and
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the inquiring authority shall thereupon
proceed to hold the further inquiry
according to the provisions of regulation 6
as far as may be.
(2) The Disciplinary Authority shall,
if it disagrees with the findings of the
inquiring authority on any article of
charge, record its reasons for such
disagreement and record its own findings on
such charge, if the evidence on record is
sufficient for the purpose.
(3) If the Disciplinary Authority,
having regard to its findings on all or any
of the articles of charge is of the opinion
that any of the penalties specified in
regulation 4 should be imposed on the
officer employee it shall notwithstanding
anything contained in regulation 8, make an
order imposing such penalty.
(4) If the Disciplinary Authority
having regard to its findings on all or any
of the articles of charge is of the opinion
that no penalty is called for, it may pass
an order exonerating the officer employee
concerned."
It is to be noted that both the expressions "may" and
"shall" appear in Regulation (7). The former expression is
used when the Disciplinary Authority, if it is not the
Inquiring Authority can remit the case to the Inquiring
Authority for fresh or further inquiry and report and the
latter expression is used vis--vis the Inquiring Authority
who is required to proceed to conduct further inquiry
according to provision of Regulation (6) as far as may be
applicable.
Regulation 6(21)(ii) deals with the documents which are
to be forwarded to the Disciplinary Authority in case it is
not the Inquiring Authority. The documents to be forwarded
include the written briefs referred to in sub-regulation
(18).
A bare reading of sub-regulation (18) of Regulation 6
makes the position clear that there is no requirement of the
employee being granted an opportunity to file written briefs
after the Presenting Officer files written briefs. On the
contrary, as the provisions postulate, after completion of
production of evidence two options are open to the Inquiry
Officer. It may hear the Presenting Officer appointed and
the concerned employee or in the alternative permit them to
file written briefs within 15 days of the date of completion
of the production of evidence if they so desire. The written
briefs are relatable to the cases of the party concerned;
otherwise the expression ’respective case’ would be
meaningless. In other words, the written briefs must contain
what his case is. There is no requirement of filing written
briefs one after the other. It is not required that one
party has to wait till filing of written briefs by the
other. The expression "respectively", means belonging or
relating separately to each of several people. It is a word
of severance.
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It is to be further noted that in the appeal before the
Appellate Authority findings of the Inquiry Officer were
challenged and, therefore, the question of any prejudice
does not arise. Since employee had the opportunity to meet
the stand of the Bank, it was to his advantage, and
opportunity for personal hearing was also granted, though
Regulation 6(18) does not even speak to grant such an
opportunity. Keeping in view what was observed in B.
Karunakara’s case (supra) there was no question of violation
of principles of natural justice.
On that score the conclusion arrived at by the Learned
Single Judge and the Division Bench that there was violation
of principles of natural justice cannot be maintained.
Residual and crucial question that remains to be
adjudicated is whether principles of natural justice have
been violated; and if so, what extent any prejudice has been
caused. It may be noted at this juncture that in some cases
it has been observed that where grant of opportunity in
terms of principles of natural justice do not improve the
situation, "useless formality theory" can be pressed into
service.
Natural justice is another name for commonsense
justice. Rules of natural justice are not codified canons.
But they are principles ingrained into the conscience of
man. Natural justice is the administration of justice in a
commonsense liberal way. Justice is based substantially on
natural ideals and human values. The administration of
justice is to be freed from the narrow and restricted
considerations which are usually associated with a
formulated law involving linguistic technicalities and
grammatical niceties. It is the substance of justice which
has to determine its form.
The expressions "natural justice" and "legal
justice" do not present a water-tight classification. It is
the substance of justice which is to be secured by both, and
whenever legal justice fails to achieve this solemn purpose,
natural justice is called in aid of legal justice. Natural
justice relieves legal justice from unnecessary
technicality, grammatical pedantry or logical prevarication.
It supplies the omissions of a formulated law. As Lord
Buckmaster said, no form or procedure should ever be
permitted to exclude the presentation of a litigants’
defence.
The adherence to principles of natural justice as
recognized by all civilized States is of supreme importance
when a quasi-judicial body embarks on determining disputes
between the parties, or any administrative action involving
civil consequences is in issue. These principles are well
settled. The first and foremost principle is what is
commonly known as audi alteram partem rule. It says that no
one should be condemned unheard. Notice is the first limb of
this principle. It must be precise and unambiguous. It
should appraise the party determinatively the case he has to
meet. Time given for the purpose should be adequate so as to
enable him to make his representation. In the absence of a
notice of the kind and such reasonable opportunity, the
order passed becomes wholly vitiated. Thus, it is but
essential that a party should be put on notice of the case
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before any adverse order is passed against him. This is one
of the most important principles of natural justice. It is
after all an approved rule of fair play. The concept has
gained significance and shades with time. When the historic
document was made at Runnymede in 1215, the first statutory
recognition of this principle found its way into the "Magna
Carta". The classic exposition of Sir Edward Coke of
natural justice requires to "vocate interrogate and
adjudicate". In the celebrated case of Cooper v. Wandsworth
Board of Works (1963 (143) ER 414), the principle was thus
stated:
"Even God did not pass a sentence upon
Adam, before he was called upon to make his
defence. "Adam" says God, "where art thou
has thou not eaten of the tree whereof I
commanded thee that though should not eat".
Since then the principle has been chiselled, honed and
refined, enriching its content. Judicial treatment has added
light and luminosity to the concept, like polishing of a
diamond.
Principles of natural justice are those rules which
have been laid down by the Courts as being the minimum
protection of the rights of the individual against the
arbitrary procedure that may be adopted by a judicial,
quasi-judicial and administrative authority while making an
order affecting those rights. These rules are intended to
prevent such authority from doing injustice.
What is meant by the term ’principles of natural
justice’ is not easy to determine. Lord Summer (then
Hamilton, L.J.) in Ray v. Local Government Board (1914) 1 KB
160 at p.199:83 LJKB 86) described the phrase as sadly
lacking in precision. In General Council of Medical
Education & Registration of U.K. v. Sanckman (1943 AC 627:
(1948) 2 All ER 337), Lord Wright observed that it was not
desirable to attempt ’to force it into any procusteam bed’
and mentioned that one essential requirement was that the
Tribunal should be impartial and have no personal interest
in the controversy, and further that it should give ’a full
and fair opportunity’ to every party of being heard.
Lord Wright referred to the leading cases on the
subject. The most important of them is the Board of
Education v. Rice (1911 AC 179:80 LJKB 796), where Lord
Loreburn, L.C. observed as follows:
"Comparatively recent statutes have
extended, if they have originated, the
practice of imposing upon departments or
offices of State the duty of deciding or
determining questions of various kinds. It
will, I suppose usually be of an
administrative kind, but sometimes, it will
involve matter of law as well as matter of
fact, or even depend upon matter of law
alone. In such cases, the Board of Education
will have to ascertain the law and also to
ascertain the facts. I need not and that in
doing either they must act in good faith and
fairly listen to both sides for that is a
duty lying upon everyone who decides
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anything. But I do not think they are bound
to treat such a question as though it were a
trial....The Board is in the nature of the
arbitral tribunal, and a Court of law has no
jurisdiction to hear appeals from the
determination either upon law or upon fact.
But if the Court is satisfied either that
the Board have not acted judicially in the
way I have described, or have not determined
the question which they are required by the
Act to determine, then there is a remedy by
mandamus and certiorari".
Lord Wright also emphasized from the same decision the
observation of the Lord Chancellor that the Board can obtain
information in any way they think best, always giving a fair
opportunity to those who are parties to the controversy for
correcting or contradicting any relevant statement
prejudicial to their view". To the same effect are the
observations of Earl of Selbourne, LO in Spackman v.
Plumstead District Board of Works (1985 (10) AC 229:54 LJMC
81), where the learned and noble Lord Chancellor observed as
follows:
"No doubt, in the absence of special
provisions as to how the person who is to
decide is to proceed, law will imply no more
than that the substantial requirements of
justice shall not be violated. He is not a
judge in the proper sense of the word; but
he must give the parties an opportunity of
being heard before him and stating their
case and their view. He must give notice
when he will proceed with the matter and he
must act honestly and impartially and not
under the dictation of some other person or
persons to whom the authority is not given
by law. There must be no malversation of any
kind. There would be no decision within the
meaning of the statute if there were
anything of that sort done contrary to the
essence of justice".
Lord Selbourne also added that the essence of justice
consisted in requiring that all parties should have an
opportunity of submitting to the person by whose decision
they are to be bound, such considerations as in their
judgment ought to be brought before him. All these cases lay
down the very important rule of natural justice contained in
the oft-quoted phrase ’justice should not only be done, but
should be seen to be done’.
Concept of natural justice has undergone a great deal
of change in recent years. Rules of natural justice are not
rules embodied always expressly in a statute or in rules
framed thereunder. They may be implied from the nature of
the duty to be performed under a statute. What particular
rule of natural justice should be implied and what its
context should be in a given case must depend to a great
extent on the fact and circumstances of that case, the
frame-work of the statute under which the enquiry is held.
The old distinction between a judicial act and an
administrative act has withered away. Even an administrative
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order which involves civil consequences must be consistent
with the rules of natural justice. Expression ’civil
consequences’ encompasses infraction of not merely property
or personal rights but of civil liberties, material
deprivations, and non-pecuniary damages. In its wide
umbrella comes everything that affects a citizen in his
civil life.
Natural justice has been variously defined by different
Judges. A few instances will suffice. In Drew v. Drew and
Lebura (1855(2) Macg. 1.8, Lord Cranworth defined it as
’universal justice’. In James Dunber Smith v. Her Majesty
the Queen (1877-78(3) App.Case 614, 623 JC) Sir Robort P.
Collier, speaking for the judicial committee of Privy
council, used the phrase ’the requirements of substantial
justice’, while in Arthur John Specman v. Plumstead District
Board of Works (1884-85(10) App.Case 229, 240), Earl of
Selbourne, S.C. preferred the phrase ’the substantial
requirement of justice’. In Vionet v. Barrett (1885(55) LJRD
39, 41), Lord Esher, MR defined natural justice as ’the
natural sense of what is right and wrong’. While, however,
deciding Hookings v. Smethwick Local Board of Health
(1890(24) QBD 712), Lord Fasher, M.R. instead of using the
definition given earlier by him in Vionet’s case (supra)
chose to define natural justice as ’fundamental justice’. In
Ridge v. Baldwin (1963(1) WB 569, 578), Harman LJ, in the
Court of Appeal countered natural justice with ’fair-play in
action’ a phrase favoured by Bhagawati, J. in Maneka Gandhi
v. Union of India (1978 (2) SCR 621). In re R.N. (An Infaot)
(1967(2) B617, 530),Lord Parker, CJ, preferred to describe
natural justice as ’a duty to act fairly’. In fairmount
Investments Ltd. v. Secretary to State for Environment (1976
WLR 1255) Lord Russell of Willowan somewhat picturesquely
described natural justice as ’a fair crack of the whip’
while Geoffrey Lane, LJ. In Regina v. Secretary of State for
Home Affairs Ex Parte Hosenball (1977 (1) WLR 766) preferred
the homely phrase ’common fairness’.
How then have the principles of natural justice been
interpreted in the Courts and within what limits are they to
be confined? Over the years by a process of judicial
interpretation two rules have been evolved as representing
the principles of natural justice in judicial process,
including therein quasi judicial and administrative process.
They constitute the basic elements of a fair hearing, having
their roots in the innate sense of man for fair-play and
justice which is not the preserve of any particular race or
country but is shared in common by all men. The first rule
is ’nemo judex in causa sua’ or ’nemo debet esse judex in
propria causa sua’ as stated in (1605) 12 Co.Rep.114 that
is, ’no man shall be a judge in his own cause’. Coke used
the form ’aliquis non debet esse judex in propria causa quia
non potest esse judex at pars’ (Co.Litt. 1418), that is, ’no
man ought to be a judge in his own case, because he cannot
act as Judge and at the same time be a party’. The form
’nemo potest esse simul actor et judex’, that is, ’no one
can be at once suitor and judge’ is also at times used. The
second rule is ’audi alteram partem’, that is, ’hear the
other side’. At times and particularly in continental
countries, the form ’audietur at altera pars’ is used,
meaning very much the same thing. A corollary has been
deduced from the above two rules and particularly the audi
alteram partem rule, namely ’qui aliquid statuerit parte
inaudita alteram actquam licet dixerit, haud acquum facerit’
that is, ’he who shall decide anything without the other
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side having been heard, although he may have said what is
right, will not have been what is right’ (See Bosewell’s
case (1605) 6 Co.Rep. 48-b, 52-a) or in other words, as it
is now expressed, ’justice should not only be done but
should manifestly be seen to be done’. Whenever an order is
struck down as invalid being in violation of principles of
natural justice, there is no final decision of the case and
fresh proceedings are left upon. All that is done is to
vacate the order assailed by virtue of its inherent defect,
but the proceedings are not terminated.
What is known as ’useless formality theory’ has
received consideration of this Court in M.C. Mehta v. Union
of India (1999(6) SCC 237). It was observed as under:
"Before we go into the final aspect of
this contention, we would like to state that
case relating to breach of natural justice
do also occur where all facts are not
admitted or are not all beyond dispute. In
the context of those cases there is a
considerable case-law and literature as to
whether relief can be refused even if the
court thinks that the case of the applicant
is not one of ’real substance’ or that there
is no substantial possibility of his success
or that the result will not be different,
even if natural justice is followed (See
Malloch v. Aberdeen Corpn: (1971)2 All ER
1278, HL) (per Lord Reid and Lord
Wilberforce), Glynn v. Keele University:
(1971) 2 All ER 89; Cinnamond v. British
Airports Authority: (1980) 2 All ER 368, CA)
and other cases where such a view has been
held. The latest addition to this view is R
v. Ealing Magistrates’ Court, ex p. Fannaran
(1996 (8) Admn. LR 351, 358) (See de Smith,
Suppl. P.89 (1998) where Straughton, L.J.
held that there must be ’demonstrable beyond
doubt’ that the result would have been
different. Lord Woolf in Lloyd v. McMohan
(1987 (1) All ER 1118, CA) has also not
disfavoured refusal of discretion in
certain cases of breach of natural justice.
The New Zealand Court in McCarthy v. Grant
(1959 NZLR 1014) however goes halfway when
it says that (as in the case of bias), it is
sufficient for the applicant to show that
there is ’real likelihood-not certainty- of
prejudice’. On the other hand, Garner
Administrative Law (8th Edn. 1996. pp.271-
72) says that slight proof that the result
would have been different is sufficient. On
the other side of the argument, we have
apart from Ridge v. Baldwin (1964 AC 40:
(1963) 2 All ER 66, HL), Megarry, J. in John
v. Rees ( 1969 (2) All ER 274) stating that
there are always ’open and shut cases’ and
no absolute rule of proof of prejudice can
be laid down. Merits are not for the court
but for the authority to consider. Ackner, J
has said that the ’useless formality theory’
is a dangerous one and, however
inconvenient, natural justice must be
followed. His Lordship observed that
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’convenience and justice are often not on
speaking terms’. More recently, Lord Bingham
has deprecated the ’useless formality
theory’ in R. v. Chief Constable of the
Thames Valley Police Forces, ex p. Cotton
(1990 IRLR 344) by giving six reasons (see
also his article ’Should Public Law Remedies
be Discretionary?" 1991 PL. p.64). A
detailed and emphatic criticism of the
’useless formality theory’ has been made
much earlier in ’Natural Justice, Substance
or Shadow’ by Prof. D.H. Clark of Canada
(see 1975 PL.pp.27-63) contending that
Malloch (supra) and Glynn (supra) were
wrongly decided. Foulkes (Administrative
Law, 8th Edn. 1996, p.323), Craig
(Administrative Law, 3rd Edn. P.596) and
others say that the court cannot prejudge
what is to be decided by the decision-making
authority. De Smith (5th Edn. 1994, paras
10.031 to 10.036) says courts have not yet
committed themselves to any one view though
discretion is always with the court. Wade
(Administrative Law, 5th Edn. 1994,
pp.526-530) says that while futile writs may
not be issued, a distinction has to be made
according to the nature of the decision.
Thus, in relation to cases other than those
relating to admitted or indisputable facts,
there is a considerable divergence of
opinion whether the applicant can be
compelled to prove that the outcome will be
in his favour or he has to prove a case of
substance or if he can prove a ’real
likelihood’ of success or if he is entitled
to relief even if there is some remote
chance of success. We may, however, point
out that even in cases where the facts are
not all admitted or beyond dispute, there is
a considerable unanimity that the courts
can, in exercise of their ’discretion’,
refuse certiorari, prohibition, mandamus or
injunction even though natural justice is
not followed. We may also state that there
is yet another line of cases as in State
Bank of Patiala v. S.K. Sharma (1996 (3) SCC
364), Rajendra Singh v. State of M.P. (1996
(5) SCC 460) that even in relation to
statutory provisions requiring notice, a
distinction is to be made between cases
where the provision is intended for
individual benefit and where a provision is
intended to protect public interest. In the
former case, it can be waived while in the
case of the latter, it cannot be waived.
We do not propose to express any
opinion on the correctness or otherwise of
the ’useless formality theory’ and leave the
matter for decision in an appropriate case,
inasmuch as the case before us, ’admitted
and indisputable’ facts show that grant of a
writ will be in vain as pointed by Chinnappa
Reddy, J."
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As was observed by this Court we need not go into
’useless formality theory’ in detail; in view of the fact
that no prejudice has been shown. As is rightly pointed out
by learned counsel for the appellants unless failure of
justice is occasioned or that it would not be in public
interest to dismiss a petition on the fact situation of a
case, this Court may refuse to exercise said jurisdiction
(see Gadde Venkateswara Rao v. Govt. of A.P. and Ors. (AIR
1966 SC 828). It is to be noted that legal formulations
cannot be divorced from the fact situation of the case.
Personal hearing was granted by the Appellate Authority,
though not statutorily prescribed. In a given case post-
decisional hearing can obliterate the procedural deficiency
of a pre-decisional hearing. (See Charan Lal Sahu v. Union
of India etc. (AIR 1990 SC 1480)
Additionally there was no material placed by the
employee to show as to how he has been prejudiced. Though
in all cases the post-decisional hearing cannot be a
substitute for pre-decisional hearing, in the case at hand
the position is different. The position was illuminatingly
stated by this Court in Managing Director, ECIL, Hyderabad
and Ors. vs. B. Karunakara and Ors. [1993 (4) SCC 727 at
para 31] which reads as follows:
"Hence, in all cases where the enquiry
officer’s report is not furnished to the
delinquent employee in the disciplinary
proceedings, the Courts and Tribunals should
cause the copy of the report to be furnished
to the aggrieved employee if he has not
already secured it before coming to the
Court/Tribunal and give the employee an
opportunity to show how his or her case was
prejudiced because of the non-supply of the
report. If after hearing the parties, the
Court/Tribunal comes to the conclusion that
the non-supply of the report would have made
no difference to the ultimate findings and
the punishment given, the Court/Tribunal
should not interfere with the order of
punishment. The Court/Tribunal should not
mechanically set aside the order of
punishment on the ground that the report was
not furnished as is regrettably being done
at present. The courts should avoid
resorting to short cuts. Since it is the
Courts/Tribunals which will apply their
judicial mind to the question and give their
reasons for setting aside or not setting
aside the order of punishment, (and not any
internal appellate or revisional authority),
there would be neither a breach of the
principles of natural justice nor a denial
of the reasonable opportunity. It is only
if the Court/Tribunal finds that the
furnishing of the report would have made a
difference to the result in the case that it
should set aside the order of punishment.
Where after following the above procedure,
the Court/Tribunal sets aside the order of
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punishment, the proper relief that should be
granted is to direct reinstatement of the
employee with liberty to the
authority/management to proceed with the
inquiry, by placing the employee under
suspension and continuing the inquiry from
the state of furnishing him with the report.
The question whether the employee would be
entitled to the back-wages and other
benefits from the date of his dismissal to
the date of his reinstatement if ultimately
ordered, should invariably be left to be
decided by the authority concerned according
to law, after the culmination of the
proceedings and depending on the final
outcome. If the employee succeeds in the
fresh inquiry and is directed to be
reinstated, the authority should be at
liberty to decide according to law how it
will treat the period from the date of
dismissal till the reinstatement and to what
benefits, if any and the extent of the
benefits, he will be entitled. The
reinstatement made as a result of the
setting aside of the inquiry for failure to
furnish the report, should be treated as a
reinstatement for the purpose of holding the
fresh inquiry from the stage of furnishing
the report and no more, where such fresh
inquiry is held. That will also be the
correct position in law."
The position was again reiterated in Union Bank of
India vs. Vishwa Mohan ([1998 (4) SCC 310 at page 314).
The relevant para 9 reads as follows:
"We are totally in disagreement with the
above-quoted reasoning of the High Court.
The distinction sought to be drawn by the
High Court that the first charge-sheet
served on the respondent related to the
period when he was a clerk whereas the other
three charge-sheets related to the period
when he was promoted as a bank officer. In
the present case, we are required to see the
findings of the enquiry authority, the order
of the Disciplinary Authority as well as the
order of the Appellate Authority since the
High Court felt that the charges levelled
against the respondent after he was promoted
as an officer were not of a serious nature.
A bare look at these charges would
unmistakably indicate that they relate to
misconduct of a serious nature. The High
Court also committed an error when it
assumed that when the respondent was
promoted as a bank officer, he must be
having a good report otherwise he would not
have been promoted. This finding is totally
unsustainable because the various acts of
misconduct came to the knowledge of the Bank
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in the year 1989 and thereafter the first
charge-sheet was issued on 17.2.1989. The
respondent was promoted as a bank officer
sometime in the year 1988. At that time, no
such adverse material relating to the
misconduct of the respondent was noticed by
the Bank on which his promotion could have
been withheld. We are again unable to
accept the reasoning of the High Court that
in the facts and circumstances of the case
"it is difficult to apply the principle of
severability as the charges are so
inextricably mixed up". If one reads the
four charge-sheets, they all relate to the
serious misconduct which includes taking
bribe, failure to protect the interests of
Bank, failure to perform duties with utmost
devotion, diligence, integrity and honesty,
acting in a manner unbecoming of a bank
officer etc. In our considered view, on the
facts of this case, this principle has no
application but assuming that it applies yet
the High Court has erred in holding that the
principle of severability cannot be applied
in the present case. The finding in this
behalf is unsustainable. As stated earlier,
the appellant had in his possession the
enquiry report/findings when he filed the
statutory appeal as well as the writ
petition in the High Court. The High Court
was required to apply its judicial mind to
all the circumstances and then form its
opinion whether non-furnishing of the report
would have made any difference to the result
in the case and thereupon pass an
appropriate order. In para 31, this Court
in Managing Director, ECIL has very rightly
cautioned: (SCC p. 758)
"The Court/Tribunal should not
mechanically set aside the order of
punishment on the ground that the
report was not furnished as is
regrettably being done at present. The
courts should avoid resorting to short
cuts".
Strong reliance was placed by learned counsel for the
employee on a three-Judge Bench of this Court in Punjab
National Bank and Ors. vs. Kunj Behari Misra [1998 (7) SCC
84)]. The said decision has no application and is factually
distinguishable. That was a case where the Disciplinary
Authority differed from the views of the inquiry officer.
In that context it was held that denial of opportunity of
hearing was per se violative of the principles of natural
justice. The case at hand is founded on totally different
factual backdrop.
It is to be noted that at no stage the employee
pleaded prejudice. Both Learned Single Judge and the
Division Bench proceeded on the basis that there was no
compliance of the requirement of Regulation 6(18) and,
therefore, prejudice was caused. In view of the finding
recorded supra that Regulation 6(18) has not been correctly
interpreted, the conclusions regarding prejudice are
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indefensible.
It is further to be noted that case of the parties on
merits was not considered by Learned Single Judge or the
Division Bench. Notwithstanding the fact that there was no
consideration of the respective cases, Learned Single Judge
directed examination of the documents by the expert.
The inevitable result is that the judgment of the
Division Bench confirming that of the Learned Single Judge
has to be quashed so far as it relates to the question of
violation of principles of natural justice. But that is
not the end of the matter. There was no consideration of
the merits of the case as noted above. It would be in the
fitness of things to direct examination of the documents by
the expert in terms of Learned Single Judge’s order. The
employee shall file originals of the documents on which he
relies upon, of which copies were placed before the High
Court. The appellant-Bank shall file originals of the
documents on which reliance was placed, if not already
done. If the government expert is of the view that
documents produced by the employee are forged/fabricated or
not authentic the order of dismissal shall stand. If,
however, the report of the expert is that the documents
produced by the employee are genuine, the order of
dismissal has to be vacated. In case the originals, as
directed above, are not filed by the employee or the Bank,
then the High Court shall pass necessary orders, upholding
the order of dismissal or setting aside the order of
dismissal, as the case may be. No other point shall be
considered by the High Court. The matter shall be heard by
the Division Bench by restoration of the writ appeal.
The appeal is allowed to the extent indicated.