KESATUAN KEBANGSAAN PEKERJA-PEKERJA BANK & ORS v. KETUA
PENGARAH KESATUAN SEKERJA & ORS
HIGH COURT MALAYA, KUALA LUMPUR
ALIZATUL KHAIR OSMAN J
[ORIGINATING SUMMONS NO: R4(R2)-24-51-2008]
10 OCTOBER 2013
LABOUR LAW: Trade union - Eligibility to membership -
Whether a trade union member who has been dismissed from employment remains a
member pending final decision on challenge against dismissal - Industrial
Relations Act 1967, s. 20 - Trade Unions Act 1959, s. 26(1A)
STATUTORY INTERPRETATION: Aids to construction - Hansard -
Recourse by court when interpreting statute - Trade Unions Act 1959, s. 26(1A)
WORDS AND PHRASES: Workman - Definition of - Whether a
workman who has been dismissed from employment remains a workman pending final
decision on challenge against dismissal - Industrial Relations Act 1967, s. 20
- Trade Unions Act 1959, s. 26(1A)
One Mr Solomon who was the General Secretary of the first
plaintiff was dismissed from employment together with nine other members of the
first plaintiff by CIMB Bank Berhad for unlawful picketing. Mr Solomon and the
other members concerned challenged the dismissal and a representation was made
to the Industrial Court pursuant to s. 20 of the Industrial Relations Act 1967
('IRA'). The representation was heard by the Industrial Court, and the present
originating summons was filed, pending the decision. According to the Director
General of Trade Unions ('DGTU'), Mr Solomon was allowed to continue being a
member of the first plaintiff and to stand for elections based on the view that
Mr Solomon remained a workman as defined under the IRA until his representation
to the Industrial Court on his dismissal was finally decided. However, the
Attorney General's Chambers held the opposite view in relation to s. 26(1A) of
the Trade Unions Act 1959 ('TUA'). Hence, the first plaintiff applied by way of
the present originating summons, inter alia, for the following declarations, ie
: (i) that a person who was a member of the plaintiff and who had been
dismissed or retrenched from employment would still be considered and deemed to
be a member of the plaintiff in the event such dismissal or retrenchment was
challenged in any proceedings in court or representations had been made to the
Director General of Industrial Relations ('DGIR') for his reinstatement to his
former employment; and (ii) that the TUA read together with the IRA did not
prevent a member of the plaintiff who had been dismissed or retrenched from
employment from holding office as a member of the executive of the plaintiff,
in the event such dismissal, termination, discharge or retrenchment was
challenged in any proceedings in court or representations had been made to the
DGIR for his reinstatement to his former employment. The sole issue for
determination of the court related to the interpretation of s. 26(1A) of the
TUA in a situation where an employee had been dismissed by an employer within a
particular industry. More specifically, the issue was whether an employee who had
been dismissed by an employer within a particular industry and whose dismissal
had been challenged could continue to be a member of the Trade Union in that
industry.
Held (allowing first plaintiff's application with costs):
(1) Section 26(1A)
of the TUA was enacted for the purpose of restricting membership of a
particular union to only persons employed in that particular type of trade or
occupation or industry and not to automatically strip members of their
membership of the union merely due to the fact that they were terminated from
their employment (notwithstanding that they were challenging their termination
by seeking reinstatement under s. 20 of the IRA). To construe it as such would
enlarge the powers of the DGTU to an unacceptable and arbitrary extent. Such a
construction would also run counter to the express intention of the Parliament.
(paras 82 & 83)
(2) The court can
rely on the Hansard to assist it in the construction of a statute. The
Minister's speech when tabling the Bill to amend s. 26(1A) in the Parliament in
1988 clearly disclosed the mischief aimed at or the legislative intention lying
behind the ambiguous or obscure words, which was to confine the membership of
the union only to persons engaged or employed in the trade, occupation or
industry in respect of which the union was registered; Chor Phaik Har v. Farlim
Properties Sdn Bhd (refd); National Union of Newspaper Workers v. Ketua
Pengarah Kesatuan Sekerja (refd). (paras 83 & 89)
(3) It would be
premature to decide whether a member of a union has lost his membership due to
a dismissal which is being challenged and where a representation has been made
under s. 20 of the IRA and the matter referred to the Industrial Court for
adjudication. This was because when an employee is dismissed and the matter was
referred to the Industrial Court under s. 20 of the IRA, the burden is on the
employer to prove that the dismissal was done with just cause and excuse. Thus,
until and unless the Industrial Court has disposed of a representation made
under s. 20 for reinstatement, another court may not deem that the workman has
forfeited his union membership. (para 132)
Case(s) referred to:
All Malayan Estates Staff Union v. Rajasegaran & Ors
[2006] 4 CLJ 195 FC (refd)
Anthonyamah Anthony & Ors v. Socfin Co Bhd [1992] 3 CLJ
1410; [1992] 2 CLJ (Rep) 75 HC (dist)
Blackburn v. Attorney-General [1971] 2 All ER 1380 (refd)
Chor Phaik Har v. Farlim Properties Sdn Bhd [1994] 4 CLJ 285
FC (refd)
Duport Steels Ltd v. Sirs [1980] 1 WLR 142 (refd)
Hoh Kiang Ngan v. Mahkamah Perusahaan Malaysia & Anor
[1996] 4 CLJ 687 FC (refd)
Kempas Edible Oil Sdn Bhd (Kilang Kempas Devon) v. All
Malayan Estates Staff Union (Amesu) [2006] 4 ILR 2942 IC (dist)
Malaysian Bar v. Dato' Kanagalingam Veluppillai [2004] 4 CLJ
194 FC (refd)
National Union of Newspaper Workers v. Ketua Pengarah
Kesatuan Sekerja [2000] 4 CLJ 233 FC (refd)
National Union Of Teachers In Independent Schools, West
Malaysia v. Han Chiang High School, Penang [1989] 1 CLJ 1091; [1989] 2 CLJ (Rep)
160 HC (refd)
Palm Oil Research And Development Board Malaysia & Anor
v. Premium Vegetable Oils Sdn Bhd [2004] 2 CLJ 265 FC (refd)
Pepper (Inspector of Taxes) v. Hart [1993] 1 All ER 42
(refd)
Perusahaan Otomobil Kedua Sdn Bhd v. Ketua Pengarah Kesatuan
Sekerja & Anor [2000] 5 CLJ 351 HC (dist)
PP v. Tan Tatt Eek & Other Appeals [2005] 1 CLJ 713 FC
(refd)
R (on the application of Quintavalle) v. Secretary of State
for Health [2003] 2 All ER 113 (refd)
Re Singapore Industrial Workers Union [1964] 1 LNS 178 HC
(refd)
Salomon v. Commissioners of Customs & Excise [1967] 2 QB
116 (refd)
Seow Teck Ming & Anor v. Tan Ah Yeo & Anor [1991] 3
CLJ 2731; [1991] 4 CLJ (Rep) 576 CA (foll)
Wong Pot Heng v. Zainal Abidin Putih & Anor [1990] 2 CLJ
174; [1990] 1 CLJ (Rep) 312 SC (refd)
Legislation referred to:
Industrial Relations Act 1967, ss. 2, 4, 5, 7, 20, 26(2), 59
Interpretation Acts 1948 & 1967, s. 17A
Trade Unions Act 1959, ss. 2, 10(2), 12(3), 26(1A), (1B),
29(1), 66(2)
Counsel:
For the 1st plaintiff - Ambiga Sreenevasan; M/s Sreenevasan
Young
For the 2nd plaintiff - Chandrasegaran (Pong Fook Chuah with
him); M/s Prem & Chandra
For the 3rd - 11th plaintiffs - Anand Ponnudurai; M/s
Bodipalar Ponnudurai De Silva
For the 1st defendant - AG's Chambers
For the 2nd - 11th defendants - M Eswary; M/s The Law Firm
Of M Eswary
Reported by Amutha Suppayah
JUDGMENT
Alizatul Khair Osman J:
Introduction
[1] This is an application by way of originating summons
(encl. 1) by the first plaintiff, the National Union of Bank Employees against
the first respondent, the Director General of Trade Unions for, inter alia, the
following reliefs:
(i) a declaration
that a person who is a member of the plaintiff and who has been dismissed,
terminated, discharged or retrenched from employment would still be considered
and be deemed a member of the plaintiff in the event such dismissal,
termination, retrenchment is challenged in any proceedings in court or
representations have been made to the Director General of Industrial Relations
for his reinstatement to his former employment;
(ii) a declaration
that the Trade Unions Act 1959 read together with the Industrial Relations Act
1967 do not prevent a member of the plaintiff who has been dismissed,
terminated, discharged or retrenched from employment from holding office as a
member of the executive of the plaintiff, in the event such dismissal, termination,
discharge or retrenchment is challenged in any proceedings in court or
representations have been made to the Director General of Industrial Relations
for his reinstatement to his former employment; and
(iii) a
declaration that Mr Sandagran Solomon Joseph Pitchay who was elected as general
secretary of the plaintiff on 7 August 2005 and re-elected as general secretary
on 26 July 2008 was rightly and lawfully elected as general secretary of the
plaintiff.
[2] The second to 11th defendants were added as defendants
pursuant to an application to intervene and vide order of court dated 16
December 2008.
[3] The second to 11th defendants were members of the first
plaintiff who were at the material time employed in the industry in respect of
which the first plaintiff was registered.
[4] The second to 11th plaintiffs were added as plaintiffs
to this application pursuant to an application to intervene and vide order of
this court dated 6 January 2009 and 9 April 2009 respectively.
Background
[5] The background facts leading to this application as set
out in the first plaintiff's written submissions and in the affidavit in
support of the originating summons (encl. 2) were as follows:
Sometime towards
the end of 2004, several members of the first plaintiff filed an application to
the High Court for an order to direct the DGTU to conduct elections to resolve
the ongoing internal dispute and leadership crisis facing the first plaintiff.
The High Court dismissed the application but on appeal, the Court of Appeal,
allowed the appeal and made an order directing the DGTU to conduct elections
within four months and thereupon to announce the outcome of the elections
within 24 hours upon completion of the elections. The outcome of the elections
was that Mr Solomon won by a majority of votes for the post of Branch Committee
member at the Penang branch level and the post of general secretary at the
national level respectively.
[6] Since 8 August 2005 therefore, Mr Solomon has been
holding the position of general secretary of the first plaintiff and conducting
the administration of the first plaintiff.
[7] Mr Solomon was allowed to stand for elections and to be
elected as the general secretary in 2005 by the then DGTU even though he was
dismissed from employment prior to that in 2004. In fact, at the material time
in 2005 the then DGTU also took the position that one Encik Muhammad Fauzi bin
Haji Shamsuddin who was running for the post of president was allowed to stand
for elections notwithstanding the fact that he was also dismissed and/or
terminated from employment at the material time and was challenging the
dismissal.
[8] The details relating to Mr Solomon's dismissal and the
subsequent reference to the Industrial Court were as follows:
(i) Mr Solomon, the
general secretary of the first plaintiff was dismissed from employment together
with nine other members of the first plaintiff by CIMB Bank Berhad on 27 April
2004 for allegedly unlawful picketing.
(ii) Mr Solomon
and the other eight members concerned challenged the dismissal and a
representation was made to the Industrial Court pursuant to s. 20 of the
Industrial Relations Act, 1967 ('IRA'). The representation was heard by the
Industrial Court, and at the time the OS was filed, was pending decision.
[9] According to the DGTU, Mr Solomon was allowed to
continue being a member of the first plaintiff and to stand for elections based
on the opinion of the then legal adviser (of the Ministry of Human Resources)
who was of the view that Mr Solomon remained a workman as defined under the IRA
until his representation to the Industrial Court on his dismissal was finally
decided. (see paras. 12.2.1 - 12.2.7., encl. 12).
[10] However in 2008, following an exchange of
correspondence between the DGTU's office and the first plaintiff regarding the
status of Mr Solomon (as general secretary of the first plaintiff) arising from
a query raised initially by the then President of the Industrial Court when Mr
Solomon appeared for the first plaintiff before her, the DGTU on 1 July 2008
wrote to Mr Solomon. In the letter dated 1 July 2008, the DGTU stated that
pursuant to queries from members pertaining to the status of the general
secretary of the first plaintiffs, the DGTU referred the issue to the Attorney
General's Chambers, who gave the following interpretation of s. 26(1A) of the
Trade Unions Act 1959 ("TUA"):
Subseksyen 26(1A)
Akta Kesatuan Sekerja (Akta 262) memperuntukkan bahawa seseorang yang "not
employed or engaged" in any establishment, trade, occupation or industry
in respect of which the trade union is registered" tidak boleh menjadi
anggota sesebuah kesatuan sekerja. Perkataan employed and engaged... merujuk
kepada sesorang yang masih bekerja dengan majikannya dan tidak meliputi
seseorang yang telah diberhentikan kerja walaupun pekerja tersebut telah pun
memfailkan representasi mengenai pembuangan kerjanya.
(see exh. OP-2 of
the first respondent's affidavit in reply dated 10 October 2008).
[11] The first plaintiff viewed the interpretation as
"a grave departure" from previous practice and a drastic stance taken
by the first defendant as at all material times the first plaintiff had treated
and deemed members who were dismissed as members so long as their dismissals
were being challenged. The implication from the aforesaid interpretation, in
the first plaintiff's view, was that any member of the first plaintiff who was
dismissed would automatically lose his membership of the union and all benefits
and rights that attach to his membership. Vide letter dated 9 July 2008 to the
DGTU, the first plaintiff, after seeking legal advice disputed the
interpretation of the Attorney General's Chambers. The DGTU in its reply dated
21 July 2008 reiterated its stand on the matter as per its earlier letter of 1
July 2008.
(see exhs. A-11 and A-22, encl. 2 respectively).
[12] Arising out of the above sequence of events, the first
plaintiff filed these present proceedings.
[13] For completeness it should be mentioned that sometime
in April 2008, the first plaintiff's elections at branch levels were conducted.
The principal office bearers of the first plaintiff were unanimously nominated
to hold on to their respective positions for the ensuing term of 2008-2011. The
result was that all the principal officer bearers of the first plaintiff were
retained in their positions unopposed. Thus, Mr Solomon retained his position
as general secretary of the plaintiff effectively for the term April 2008 to
April 2011, when elections were next due.
Issue
[14] Arising out of the above facts the sole issue for
determination before the court relates to the interpretation of s. 26(1A) of
the Trade Unions Act 1959 (TUA) in a situation where an employee has been
dismissed by an employer within a particular industry. More specifically, the issue
was whether an employee who has been dismissed by an employer within a
particular industry and whose dismissal has been challenged can continue to be
a member of the trade union in that industry.
[15] Section 26(1A) of the TUA reads as follows:
No person shall
join, or be a member of, or be accepted or retained as a member of any trade
union if he is not employed or engaged in any establishment, trade, occupation
in respect of which the trade union is registered. (emphasis added)
First Plaintiff's Submission
[16] It was the first plaintiff's submission that s. 26(1A)
of the TUA ("s. 26(1A)") did not preclude membership of a trade union
in the circumstances where an employee has been dismissed and whose dismissal
has been challenged.
[17] At the start of her submission learned counsel for the
appellant urged the court to disregard:
(a) paragraphs 13
to 17 of the second to 11th defendant's affidavit; and
(b) paragraphs 3
to 6 of the first defendant's affidavits,
as they do not in
any way assist the court in the construction of either the TUA or the IRA nor
do they have any bearing on the construction of either legislation. Further
these allegations and complaints were strongly disputed and were nothing more
than allegations and complaints against the general secretary to the first
plaintiff.
[18] Learned counsel also reminded the court of the terms of
the court's order on 16 December 2008 which allowed the intervention of the
second to 11th defendants which were as follows:
... ADALAH
DIPERINTAHKAN bahawa Pencelah-pencelah (kecuali Pencelah No. 9) diberi
kebenaran untuk mencelah dalam prosiding ini dan setelah ditambahkan sebagai
Defendan 2 hingga 11 dalam tindakan ini dengan menghadkan diri mereka kepada isu-isu,
fakta-fakta dan undang-undang yang telah dibangkitkan di dalam Saman Pemula
(kandungan 1) dan Afidavit Sokongan yang diikrarkan oleh Sandagran Solomon a/l
Josepah Pitchay pada 8.8.2008 (Kandungan 2) sahaja DAN AKHIRNYA DIPERINTAHKAN
bahawa tiada perintah terhadap kos.
[19] Consequently the parties ought to confine themselves
only to facts which have a bearing on the construction of s. 26(1A) and other
relevant provisions in the TUA and the IRA.
[20] The first plaintiff's contention that s. 26(1A) do not
preclude members who have been dismissed and whose dismissal is being
challenged from being members of a trade union is premised on the following
proposition of law:
[21] Firstly, on the interpretation of s. 26(1A):
(a) the
interpretation of "trade union" in the TUA read together with the
definition of "workman" under s. 2 of the TUA and under s. 2 of the
IRA.
[22] The definition of "trade union" under s. 2 of
the TUA is as follows:
"trade
union" or "union" means any association or combination of
workmen or employers, being workmen whose place of work is in West Malaysia,
Sabah or Sarawak, as the case may be, or employers employing workmen in West
Malaysia, Sabah or Sarawak as the case may be:
(a) within any
particular establishment, trade, occupation or industry or within any similar
trades, occupations or industries;...
"Workman" is in turn defined as "...any person, including
an apprentice, employed by an employer under a contract of employment to work
for hire or reward and for the purposes of any proceedings in relation to a
trade dispute includes any such person who has been dismissed, discharged or
retrenched in connection with or as a consequence of that dispute or whose
dismissal, discharge or retrenchment has led to that dispute.
Under the same
section of the TUA. (emphasis added)
[23] The same definition of "workman" is found in
s. 2 of the IRA.
(b) Rule 4.7 of
the constitution of the NUBE which reads as follows:
Any member who has
been in the Union for a period of more than six months and is retrenched from
his employment for taking an active part in any movement authorized by the
National Executive Council or Branch Committee, or for being a Branch Officer
of the Union and for doing his duty in that capacity, or for any other reason
which in the opinion of the National Executive Council, be entitled to and be
given such assistance, legal, financial and/or otherwise, as shall from time to
time be determined by the National Executive Council, having regard to the
circumstances of each individual case. In determining any such case the
National Executive Council shall be guided by the principle that any member or
members so discharged from his or their employment is or are entitled to the
greatest assistance which it is in the power of the Union to grant, whether
legal, financial, moral or otherwise with a view to his or their reinstatement
or other reasonable compensation.
[24] As this rule expressly provides for the first plaintiff
to render all such assistance as is necessary to any "member" who is
discharged from employment with a view to his reinstatement or compensation, it
therefore implicitly recognises that a person who is discharged or terminated
from employment is still a member of the trade union concerned and is entitled
to all such assistance as stated therein.
[25] In this regard learned counsel referred to s. 66(2) of
the TUA which provides that:
Nothing in this
Act shall be deemed to authorize a trade union to act contrary to, or in excess
of the powers conferred upon it by, it a rules.
[26] The rules of the trade union ie, the constitution of
NUBE in this case, having "in a sense" been approved by the DGTU (as
seen from ss. 10(2) and 12(3)) it would therefore lend force to the plaintiff's
argument that s. 26(1A) must be construed in the manner proposed for the rules
to be consistent with the TUA.
(c) The primary
purpose for the enactment of s. 26(1A) of the TUA was to limit membership of a
particular union to only persons in a particular trade or industry.
[27] Section 26(1A) was not enacted to preclude a member who
has been dismissed (and who is challenging his dismissal) from continuing to be
a member of a trade union of a particular type of trade or occupation or
industry to which the said member belonged to.
[28] Learned counsel argued that s. 26(1A) was enacted to
ensure that only persons employed in a particular trade or industry may be
members of a union in that particular trade or industry, for example, a hotel
worker can only be a member of the Hotel Workers' Union and cannot be a member
of the Newspaper Union Workers' Union.
[29] This was evident from the speech of the Minister when
tabling the Bill proposing the amendment to s. 26(1A) as recorded in the
Hansard dated 12 October 1988 which is reproduced below:
Pindaan yang
dicadangkan di bawah Fasal 6 adalah bertujuan menjadikan seksyen 26(1A) lebih
jelas dan tepat untuk memastikan bahawa seseorang pekerja tidak boleh menganggotai
atau terus menjadi ahli suatu kesatuan jika ia tidak digaji dalam tred,
pekerjaan atau industri yang ada kaitan dengan kesatuan itu. Peruntukan yang
ada sekarang kurang jelas sama ada seseorang yang telah masuk menjadi ahli
kesatuan dan kemudiannya berhenti dari digaji dalam tred, pekerjaan atau
industri berkenaan boleh mengekalkan keahliannya. Walau bagaimanapun, seseorang
yang dipilih oleh ahli-ahli kesatuan dan digaji untuk bekerja sepenuh masa
sebagai Setiausaha, Penolong Setiausaha, Bendahari atau Penolong Bendahari
Kesatuan menurut seksyen 29(1)(a) adalah dianggap sebagai digaji dalam tred,
pekerjaan atau industri yang berkenaan.
[30] That this was the primary purpose for the enactment of
s. 26(1A) of the TUA was reinforced by the Federal Court decision in the case
of National Union of Newspaper Workers v. Ketua Pengarah Kesatuan Sekerja
[2000] 4 CLJ 233; [2000] 3 MLJ 689. In that case employees of two companies
involved in publications namely, FPSB and STPD were members of a union called
NUPW. The companies subsequently decided not to recognise NUPW as both the
companies were no longer involved or connected with the newspaper publishing
industry. The matter was referred to the DGTU. After due investigation, the
DGTU found that both companies were no longer involved in the newspaper
publishing industry.
[31] As the NUPW's constitution provided for membership of
the union to be strictly for employees of the newspaper publishing and
subsidiary industries only the DGTU accordingly decided that employees of both
FPSB and STPD cannot be accepted or continue to be members of NUPW.
[32] The Federal Court agreed with the Court of Appeal that
s. 26(1A) of the TUA can be applied by the DGTU to render the entire membership
of the union in FPSB and STPD not eligible and the union incompetent to
represent the entire membership of the companies.
[33] Secondly, the court should adopt a purposive approach
in interpreting the TUA as the TUA is a "piece of social legislation that
was enacted to regulate and prescribe rules for the formation of unions and
regulate the trade union movement" with the underlying objective of
promoting "social harmony between employers and workers who form the trade
union movement."
[34] The purposive approach would require the court to
interpret the provisions of the TUA such that they are in accord with the
purpose of the TUA ie, "to provide social harmony between the employers
and the employees".
[35] Counsel for the first plaintiff submitted that the
courts have consistently applied the purposive approach in interpreting social
legislation like the TUA and the IRA.
[36] The interpretation of s. 26(1A) by the DGTU on the
other hand would not promote social harmony but would instead promote
"union busting".
[37] This means that employers can successfully rid
themselves of union members who are vocal and regarded as 'problematic' by
terminating or discharging them and thereby removing them from the union. Other
employees too would be afraid to not only be active but also to join a union
out of fear of reprisal. This according to counsel could not be the intention
of the TUA.
[38] The first plaintiff relied on s. 17A of the
Interpretation Acts, 1948 and 1967 and the following cases in support of their
proposition:
(a) All Malayan
Estates Staff Union v. Rajasegaran & Ors [2006] 4 CLJ 195; [2006] 6 MLJ 97;
(b) Palm Oil
Research And Development Board Malaysia & Anor v. Premium Vegetable Oils
Sdn Bhd [2004] 2 CLJ 265; [2005] 3 MLJ 97;
(c) R (on the
application of Quintavalle) v. Secretary of State for Health [2003] 2 All ER
113;
(d) Chor Phaik Har
v. Farlim Properties Sdn Bhd [1994] 4 CLJ 285; [1994] 3 MLJ 345; and
(e) Hoh Kiang Ngan
v. Mahkamah Perusahaan Malaysia & Anor [1996] 4 CLJ 687; [1995] 3 MLJ 369.
[39] Thirdly, it was the first plaintiff's submission that
in the case of a dismissal referred to the Industrial Court under s. 20 of the
IRA, the burden of proving that an employee is dismissed with just cause is on
the employers. If an employer fails to prove that the dismissal was justified,
the employee was deemed to have been dismissed without just cause or excuse.
Thus until and unless the Industrial Court has disposed of a representation
under s. 20 of the IRA for reinstatement, another court may not deem that the
workman has forfeited his union membership. Citing the case of National Union
Of Teachers In Independent Schools, West Malaysia v. Han Chiang High School,
Penang [1989] 1 CLJ 1091; [1989] 2 CLJ (Rep) 160; [1989] 2 MLJ 114, as
authority for this proposition, learned counsel argued that it would be
premature in the present case for this court to decide whether a member of a
union (Mr Solomon) has lost his membership due to a dismissal as his dismissal
has been challenged by way of a representation under s. 20 (of the IRA) and the
matter referred to the Industrial Court for adjudication. In the present case
Mr Solomon is seeking reinstatement to his former employment with CIMB.
[40] Finally, learned counsel for the plaintiff, Dato'
Ambiga Sreenevasan ("Dato' Ambiga") informed the court that the MTUC
at its second general council meeting on 3 August 2008 "unanimously
opposed the stand and interpretation of s. 26(1A) of the Trade Unions Act 1959
as interpreted by the Attorney General's Chambers and being adopted by the
DGTU."
The Defendants' Submission
The First Defendant's Submission
[41] Learned Senior Federal Counsel on behalf of the first
defendant explained that apart from the query by the then President of the
Industrial Court, numerous complaints were received by the DGTU regarding the
status of officers of trade unions, who, despite being no longer in the
employment of any establishment, trade, occupation or industry in respect of
which the relevant unions were registered continued to remain in the post of
secretary-general of related trade unionsq .
[42] More specifically the Attorney-General Chamber's
opinion was sought following events leading to the re-election of Mr Solomon as
the secretary general. According to learned Senior Federal Counsel, in 2005
prior to the re-election of Mr Solomon, the Attorney-General's Chambers' legal
opinion was not obtained specifically on the issue as to whether a member who
was dismissed was competent to stand for elections and hold office in the
plaintiff's unions.
(see para. 4.3, p. 3 of the first respondent's affidavits in
reply dated 10 October 2008).
[43] However the opinion contained in the Attorney-General's
Chambers' letter to the legal adviser dated 8 May 2008 (OP-2) was specifically
in reply to the issue posed to it viz :
whether a person
who has been dismissed and has filed a representation under s. 20 of the
Industrial Relations Act 1967 [Act 177] is competent to stand for election to
be officers of the union.
[44] The first defendant's argument as regards the issue
posed before the court was that, contrary to the submission of the first
plaintiff, the clear words of s. 26(1A) and other related provisions of the TUA
do not call for a purposive interpretation to be adopted in interpreting these
provisions of the Act.
[45] Learned Senior Federal Counsel ("SFC") quoted
Mohamad Azmi, SCJ's judgment in Wong Pot Heng v. Zainal Abidin Putih & Anor
[1990] 2 CLJ 174; [1990] 1 CLJ (Rep) 312; [1991] 1 MLJ 410 in which His
Lordship held:
The purposive
construction of statutes was first adopted by the House of Lords in Fothergill
v. Monarch Airlines. It is a well established principle that the purposive
approach to the interpretation of legislation only applies where any doubt
arises from the terms or words employed by the legislative. But where the words
are precise and unambiguous, then the literal and strict construction rule
should apply.
[46] Reference was also made to the Federal Court case of
Malaysian Bar v. Dato' Kanagalingam Veluppillai [2004] 4 CLJ 194 where the
Federal Court cited with approval of Lord Diplock's observation in Duport
Steels Ltd v. Sirs [1980] 1 WLR 142 at p. 157 that:
where the meaning
of the statutory words is plain and unambiguous it is not for the judges to
invent fancied ambiguities as an excuse for failing to give effect the plain
meaning because they themselves consider that the consequences of doing so
would be inexpedient or even unjust or immoral...
[47] With that in mind, learned SFC proceeded to argue as
follows:
Firstly, in
construing s. 26(1A) it is not necessary to refer to the definition of
"workman" under s. 2 of the TUA as the meaning of "workman"
in that section in particular the phrase "includes any such person who has
been dismissed, discharged or retrenched..." is limited only to
proceedings in relation to a "trade dispute". "Trade
Dispute" in turn is defined to mean "any dispute between an employer
and his workmen which is connected with the employment or non-employment of the
terms of employment or the conditions of work of any such workmen." (see
s. 2 of the TUA).
[48] In light of the above, the definition of
"workman" in s. 2 of the TUA is clearly not applicable for the
purposes of construing s. 26(1A).
[49] Instead, the words "employed or engaged" in
s. 26(1A) should be given its plain and ordinary meaning. As the words are not
defined in the TUA, regard must be to the New Shorter Oxford English Dictionary
in order to ascertain their ordinary meaning of these words. According to the
New Shorter Oxford English Dictionary 'employed' means "be engaged in; be
at work" and 'engaged' means "take service with or with an
employer". Based on the above definition learned SFC argued that:
... in the case of
Mr J Solomon, since he was dismissed he is not at work and not with any
employer. It logically follows that Mr J Solomon is "a person not employed
or engaged in any establishment, trade, occupation or industry" class of
persons envisaged under s. 26(1A).
[50] Pursuant to the above argument, she came to the
following conclusion:
Once a person is
not employed or engaged in any establishment, trade, occupation or industry in
respect of which the trade union is registered, the person loses his status as
union member. Thus this person is not eligible to act as officers (sic ) of the
union.
[51] Learned SFC added that as the relevant part of the
definition of "workman" in the TUA is limited to proceedings in
relation to a trade dispute, the court cannot extend the definition to include
the right or entitlement to be retained as a member of a trade union or the
right or entitlement to stand for election as an officer of a trade union.
[52] The following cases were relied on by the SFC in
support of her submission:
(a) Kempas Edible
Oil Sdn Bhd (Kilang Kempas Devon) v. All Malayan Estates Staff Union (Amesu)
[2006] 4 ILR 2942;
(b) National Union
of Newspaper Workers (supra );
(c) Anthonyamah
Anthony & Ors v. Socfin & Co Bhd [1992] 3 CLJ 1410; [1992] 2 CLJ (Rep)
75; and
(d) Perusahaan
Otomobil Kedua Sdn Bhd v. Ketua Pengarah Kesatuan Pekerja [2000] 5 CLJ 351
(Perusahaan Otomobil).
The Second To 11th Defendants' Submission
[53] The stand of the second to the 11th defendants as
regards the issue at hand is essentially the same as that of the first
defendant.
[54] Briefly the second and 11th defendants' stand was that
the direction of the DGTU which was made after seeking the advice of the
Attorney-General's Chambers was the true interpretation of s. 26(1A) and was in
accordance with the intention of Parliament.
[55] It was their submission that in amending s. 26(1A)
Parliament had in mind that only persons employed or engaged in any
establishment, trade, occupation or industry in respect of which the trade is
registered shall join or be accepted or retained as a member of a trade union,
the emphasis being on the words employed or engaged.
[56] Learned counsel also agreed with SFC's submission that
as the wording of s. 26(1A) is clear and unambiguous "the courts are bound
to give effect to that meaning irrespective of the consequences." For this
proposition learned counsel relied on the case of PP v. Tan Tatt Eek &
Other Appeals [2005] 1 CLJ 713.
[57] Learned counsel then referred to the definition of
"trade union" in the TUA and the IRA; the definition of
"workman" and "trade dispute" in both Acts and arrived at
the following proposition:
(a) Based on the
definition of "trade dispute" (which is the same under the TUA and
the IRA), the parties to a trade dispute are the employer and his workman. A
workman is defined in the TUA as a "person including an apprentice,
employed by an employer under a contract of employment to work for hire or
reward". Therefore the workman must ordinarily be in actual employment at
the time of the dispute. But when he is already dismissed or discharged or
retrenched, and this has given rise to a dispute, he is still a workman for the
purpose of that dispute.
(b) There is no
mention of trade unions of employers or workmen in the definition of trade
disputes. Hence there can be a trade dispute without unions. But when a trade
union represents employers and workmen who are actually in dispute with each
other, they became parties to the dispute. Consequently, when a person who was
a member of a trade union is dismissed and the dismissal is challenged under s.
20 of the IRA, he is a workman for the purposes of that dispute but not for the
purpose of s. 26(1A) as alleged by the plaintiffs.
This is clear from
the second part of the definition in the TUA which reads, "and for the
purposes of any proceedings in relation to a trade dispute includes any such
person who has been dismissed, discharged or retrenched in connection with or
as a consequence of that dispute or whose dismissal, discharge or retrenchment
has led to that dispute". (emphasis added)
It is defined as
such in order to give cognisance to one of the objects of a trade union, namely
para. (c)(ii) of the definition of trade union, wherein the trade union will
represent the workman who was a member of the said union at the time of
dismissal and whose dismissal has led to a trade dispute.
(c) As regards to
the second part of the definition of "workman" in the IRA, (which is
the same as that of the definition of 'workman' under the TUA) it was defined
as such in order for, amongst others, to enable the trade unions to represent
workmen who were its' members at the time of their dismissal and whose dismissal
has led to a trade dispute; to represent the workman in a reference under s. 26
which includes collective agreements as the definition of trade dispute also
includes "the terms of employment or the conditions of work of any such
workmen". The reason being any dismissed, retrenched or discharged,
employees, who were members of the trade union at the material time of the
duration of the collective agreement would be entitled to the monetary benefits
to be awarded under the collective agreement.
(d) It was
therefore apparent from the wording of s. 26(1A) that in order to be a member
of a trade union, or be accepted or retained as a member one should be employed
or engaged in any establishment, trade or industry. The second part of the
definition of 'workman' should not be read into s. 26(1A). In fact the first
part of the definition of 'workman' should be read into the s. 26(1A) since
member is not defined in the TUA and the section uses the word 'person'. Hence,
a member who has been dismissed is no longer retained in employment, as upon
dismissal his contract of employment with the employer is severed. The only
right a member has upon being dismissed by his employer, is the right to be
represented by the trade union in the dispute that was brought about by his
dismissal. For that purpose he is a "workman" as defined under the
TUA and the IRA.
(e) Rule 4.7 is a
recognition of this right as it provides for representation by a trade union of
a dismissed member. However it is not anywhere stated in the rules and
constitution of the first plaintiff that a member who has been dismissed and
who challenged his dismissal continues to be a member and to hold a position in
the trade union, as alleged by the first plaintiff. In fact r. 3 of the rules
and constitution of the first plaintiff expressly states as follows:
Rule 3 -
membership
1. Membership
of the Union shall be open to all employees, whether permanent or temporary,
who are employed in any commercial bank or its subsidiary finance company in
Peninsula Malaysia who are above the age of sixteen, excluding those who are
employed in a managerial, executive, confidential or security capacity...
[58] Thus in Re Singapore Industrial Workers Union [1964] 1
LNS 178; [1964] 30 MLJ in respect of a similar provision in the union's rule
the court held that:
... To become a
member of the union, a person must in the first place be over the age of 18,
and secondly he must be employed in any private undertaking or industry in
Singapore.
[59] In light of the above, learned counsel reiterated that
the court cannot extend the prohibitory provisions of s. 26(1A) and the present
provisions of the rules and constitution of the first plaintiff which were
consonant with the said section by granting the declarations sought by the
first plaintiff as it will, according to counsel "amount to a
contravention of s. 26(1A) of the Act".
[60] On the issue of whether the said member can continue to
hold office in any trade union, counsel drew the court's attention to the
amendment to s. 26(1B) of the TUA, which was introduced together with the
amendment to s. 26(1A) in 1988. The said s. 26(1B) reads as follows:
For the purposes
of subsection (IA), any person who is employed by a trade union as a member of
its executive under paragraph (a) of the proviso to s. 29(1) shall be deemed to
be employed or engaged in the establishment, trade, occupation or industry
concerned.
[61] It was counsel's submission that this section can never
be interpreted to mean that a dismissed member can be employed by the union as
he can be deemed employed by virtue of this section, for the following reasons:
(i) section 26(1B)
must be read together with s. 29(1) of the TUA which stipulates thus:
A registered
trade union may, subject to subsection (2) and of the rules of the such union,
employ and pay a secretary, treasurer and such other person as may be necessary
for the purposes of such union or of any federation of trade unions to which
the union belongs:
Provided that
no employee of such union other than:
(a) The
holder of a full-time office as secretary, assistant secretary, treasurer or
assistant treasurer who is elected in accordance with the rules of such
union;...
(b)...
shall be a
member of the executive of such union. (emphasis added)
(ii) in order to
be elected in accordance with the rules of such union as stated in s. 29(1)(a),
and nominated, the member must be a Malaysian citizen, has attained the age of
21 years and has been working in the bank/finance company for the last one
year;
(iii) a dismissed
employee who does not have an employer cannot hold a position in a trade union.
In other words, the employment status is a pre-condition to enable one to be a
member and to hold office in a trade union; and
(iv) the deeming
provision in s. 26(1B) applies to members of the trade union, namely persons
employed with an employer, who are subsequently elected in accordance with the
rules of the union as executive.
[62] In addition counsel referred to r. 14 of the first
plaintiff's constitution and rules which provided as follows:
1 (a) An Officer
of the Union shall mean any member of the National Executive Council, or of any
Branch Committee of the Union, but shall not include an auditor. Not less than
two-thirds of the total number of the officers of the Union, other than the
general secretary, the treasurer and the trustees, shall be persons actually
engaged or employed in the occupation, trade or industry with which the Union
is connected.
(b) No person
shall be elected or act as an officer of the Union if:
(i) He is not
a member of the Union; or
(ii)...
(iii)...
(iv) He has
not been engaged or employed for a period of a least one year in the
occupation, trade or industry with which the union is connect; or...
[63] It is an express provision of the rules that a general
secretary, the treasurer and trustees, shall be persons actually engaged or
employed in the occupation.
[64] The only conclusion to be made on all the foregoing was
that the intention, object and purpose is clear, namely in order to be a member
and/or to hold the position of an officer of a trade union, employment status
is a pre-condition.
[65] Finally, learned counsel submitted the following
reasons in support of their contention as to why a dismissed or terminated
member whose dismissal or termination is challenged can never be considered to
be a member of a trade union:
(a) A claim for
reinstatement should be considered as a dispute between the employer and
employee and should not be connected with the status of the employee concerned
as a member of the trade union.
(b) The employees'
right to join and remain as members of any trade unions depend on the existence
of contracts of employment and when the contract ends, the right to remain in
the trade union ends as well. As such, if such an employee is holding any
position in the union he should relinquish it.
(c) If a dismissed
employee is allowed to hold any elected position in any trade union especially
in respect of the main position of general secretary as in the first plaintiff,
it will lead to abuse of power wherein the trade union will be used for his own
benefit as is apparent from all the complaints made by the members of the first
plaintiff to DGTU.
(d) For a dispute
to be referred to the Industrial Court it will take a minimum of one to two
years. For the said dispute to be concluded and for an award to be handed down
by the Industrial Court it will take another two to five years. An example of
this can be seen in the dispute between the general secretary of the first
plaintiff with his former employer wherein the Industrial Court was yet to hand
down the decision despite the fact that he was dismissed in 2004.
(e) Furthermore,
reinstatement is not the only remedy to be awarded by the Industrial Court and
the unsuccessful party might take it up on judicial review to the High Court,
appeal to the Court of Appeal and Federal Court accordingly which might take
another five years or more.
(f) Section 26(1A)
also cater for in-house unions. In this situation, it is quite unlikely for any
organisation to agree to have a collective bargaining with the in-house union
if the general secretary of the union is an employee who was dismissed by the
said organisation.
Decision
[66] Having considered the submissions of both the plaintiff
and the defendants very carefully, I was inclined to agree with the submission
of the first plaintiff as regard the issue posed before the court and I
accordingly granted the reliefs sought by the first plaintiff in prayer (1) and
(2) of the OS, prayer (3) having been withdrawn by Dato' Ambiga at the
conclusion of the first plaintiff's submission, with costs to be taxed and paid
to the first plaintiff.
[67] I append below the reasons for my decision:
At the outset, I
would like to state that in the course of submission before me, the Industrial
Court on 27 October 2009 handed down its award. The Industrial Court found that
the applicants' (ie, Mr Solomon and the other eight members concerned) dismissal
was with just cause and excuse and dismissed the applicant's claim. The
applicants proceeded to file, on 30 November 2009, an application for judicial
review to quash the said award. Learned counsel for the first plaintiff, Dato'
Ambiga informed the court that the said award would not change the first
plaintiff's submission on the issue before the court.
[68] As regards Dato' Ambiga's plea that the court ignore
the complaints and allegations against Mr Solomon and the first plaintiff
(which were disputed), bearing in mind the terms of the court order dated 16
December 2008 and the fact that they did not assist the court in any way in
determining the issue at hand, I was of the view that these complaints and
allegations constitute the background facts leading to the issue before the
court and in that sense they would assist the court in understanding the
context in which this issue arose. Other than that I agreed that the issue
before the court was essentially one of law, more particularly the construction
of s. 26(1A) of the TUA and other related provisions of the TUA and the IRA.
[69] As submitted by both learned counsels for the first
plaintiff and the defendants the sole issue for the court's consideration was
whether under s. 26(1A) an employee of a particular industry who has been
dismissed and whose dismissal was challenged can continue or be retained as a
member of the trade union in that industry.
[70] This issue as pointed out earlier, arose out of the
Attorney-General's Chambers' interpretation of that section as contained in the
then DGTU's letter dated 1 July 2008 to Mr Solomon (supra ). The gist of the
Attorney-General's Chambers' interpretation was that under s. 26(1A) of the TUA
a person who was not employed or engaged in any establishment, trade,
occupation or industry in respect of which the trade union was registered was
precluded from being a member of the union. The words "employed or
engaged" according to the Attorney-General's Chambers refers to a person
who was still in the employment of his employer and did not include a person
who had been dismissed from employment notwithstanding that the dismissal was
challenged under the IRA.
[71] This would mean that Mr Solomon along with nine other
members of the first plaintiff who were dismissed by their employer CIMB Bank
Berhad for (allegedly) unlawful picketing but who had challenged the dismissal
would automatically lose their membership and be precluded from holding any
position in the union. Contending that such an interpretation would have grave
consequences not only on the first plaintiff but also other trade unions in the
country, the first plaintiff strongly disputed the interpretation of s. 26(1A)
given by the Attorney-General's Chambers. In their view, "union
busting" or the practice of employers dismissing employees who were
members of trade union merely to stop them from being members of a union could
take place arising from such an interpretation. Such a practice could cripple
the trade union movement in the country.
[72] Mindful of the serious consequences that would ensue
from such an interpretation, the first plaintiff, (joined later by the second
to 10th plaintiffs) having all along treated and deemed members who were
dismissed as members so long as their dismissals were being challenged, filed
this application seeking the following declaration.
(1) a declaration
that a person who is a member of the plaintiff and who has been dismissed,
terminated, discharged or retrenched from employment would still be considered
and be deemed a member of the plaintiff in the event such dismissal,
termination, retrenchment is challenged in any proceedings in court or
representations have been made to the Director General of Industrial Relations
for his reinstatement to his former employment; and
(2) a declaration
that the Trade Unions Act 1959 read together with the Industrial Relations Act
1967 do not prevent a member of the plaintiff who has been dismissed,
terminated, discharged or retrenched from employment from holding office as a
member of the executive of the plaintiff, in the event such dismissal,
termination, discharge or retrenchment is challenged in any proceedings in
court or representations have been made to the Director General of Industrial
Relations for his reinstatement to his former employment.
[73] Section 26(1A) as stated earlier reads as follows:
No person shall
join, or be a member of, or be accepted or retained as a member by, any trade
union if he is not employed or engaged in any establishment, trade, occupation
or industry in respect of which the trade union is registered. (emphasis added)
[74] At first blush it would appear that s. 26(1A) prohibits
any person from being a member of or be accepted or retained as a member by,
any trade union unless he is employed or engaged in a trade or industry of
which the trade union is registered. In other words as suggested by the
defendants, and as interpreted by the Attorney-General's Chambers the purpose
of s. 26(1A) was clear and unambiguous - it was to exclude any person from
being a member or to continue to be a member of a trade union unless he was
employed or engaged in the establishment, trade, occupation or industry of
which the trade union was registered, the key words being employed or engaged.
Thus a person, such as Mr Solomon, who was dismissed, was no longer employed or
engaged in the trade or occupation of which the first plaintiff was registered
and he therefore could no longer continue to be a member of the union (ie, the
first plaintiff) let alone continue to be an officer of the union.
[75] However upon examining s. 26(1A) I would agree with the
plaintiffs that the primary purpose for the enactment of s. 26(1A) was to
restrict the eligibility of membership of a trade union to persons engaged in
the particular trade, occupation or industry in respect of which the trade
union was registered.
[76] This can be seen from the Minister's speech when
tabling the bill to amend s. 26(1A) in Parliament in 1988. In his speech, the
then Minister of Labour, Mr Lee Kim Sai (as he was then known as) stated in
clear and specific terms that the purpose of the amendment to s. 26(1A) was to
"menjadikan s. 26(1A) lebih jelas dan tepat untuk memastikan bahawa
seseorang pekerja tidak boleh menjadi ahli suatu kesatuan jika ia tidak digaji
dalam tred, pekerjaan atau industri yang ada kaitan dengan kesatuan itu."
(see the full excerpt of the Minister's speech as extracted from the Hansard
dated 12 October 1988 at p. 13 (supra )).
[77] This amendment was thought to be necessary because s.
26(1A) in its original form did not state with sufficient clarity whether a
member who subsequently ceased to be employed in the trade or industry of the
union concerned can continue to retain his membership in the said union.
[78] Prior to the aforesaid amendment, s. 26(1A) read as
follows:
No person shall
join, or be a member of, or be accepted or retained as a member by, in any
trade, occupation or industry which is not similar to the trade, occupation or
industry in respect of which the trade union is registered. (emphasis added)
[79] Subsection (1A), it must be said, was inserted in s. 26
in 1980 pursuant to the Trade Unions (Amendment) Act 1980 (Act A483).
[80] In 1989 s. 26(1A) underwent a further amendment with
the passing of the Trade Unions (Amendment) Act 1989 (Act A732) which added the
word "establishment" after the words "in any" in the said
subsection.
[81] Thus s. 26(1A) in its present form reads:
No person shall
join, or be a member of, or be accepted or retained as a member by, any trade
union if he is not employed or engaged in any establishment, trade, occupation
or industry in respect of which the trade union is registered. (emphasis added)
[82] Following from the above it was therefore clear that s.
26(1A) was enacted for the purpose of restricting membership of a particular
union to only persons employed in that particular type of trade or occupation
or industry and not for the purpose contended by the defendants (and as opined
by the Attorney-General's Chambers) ie, to automatically strip members of their
membership of the union merely due to the fact that they were terminated from
their employment notwithstanding that they were challenging their termination
by seeking reinstatement under s. 20 of the IRA. To construe it as such would,
as submitted by learned counsel for the first plaintiff, "enlarge the
powers of the DGTU to an unacceptable and arbitrary extent."
[83] Such a construction would also run counter to the
express intention of Parliament as manifested by the Minister's speech. It has
been established by the Federal Court in Chor Phaik Har v. Farlim Properties
Sdn Bhd [1994] 4 CLJ 285 that the court can rely on the Hansard to assist it in
the construction of a statute. There the Federal Court cited with approval the
landmark decision of the House of Lords in Pepper (Inspector of Taxes) v. Hart
[1993] 1 All ER 42; [1992] 3 WLR 1032 (Pepper v. Hart ) which decided that it
was permissible in certain circumstances to refer to the reports in Hansard
proceedings in either Houses of Parliament, when construing a statute.
[84] Following the judgment in Pepper v. Hart the Federal
Court held that:
In construing a
statute, a reference to Parliamentary reports of proceeding or Hansard, as an
aid to statutory interpretation, should be permitted where the enactment is
ambiguous or obscure, or which if literally construed might lead to an
absurdity provided that the statement reported in Hansard was made by a
Minister or other promoter of a Bill. (emphasis added)
[85] The Federal Court however cautioned that:
Hansard was only
an aid to interpretation and could not be determinative of the issue for that
would amount to substituting the words of the Minister or promoter of the Bill
for the words of the statute.
[86] In the abovesaid case the Federal Court found the
ministerial statement reported in the Hansard to be of no assistance to the
court at all.
[87] In the present case the court is faced with two
possible construction of s. 26(1A), one as advocated by the plaintiffs and the
other as contended by the defendants based on the interpretation given by the
Attorney-General's Chambers.
[88] Learned counsel for the second to 11th defendants had
also sought the aid of the same extract of the Hansard to support their view
that in amending s. 26(1A) Parliament had intended that only persons employed
or engaged in any establishment, trade, occupation or industry in respect of
which the trade union is registered shall join or be accepted or retained as a
member of a trade union, the emphasis being on the words 'employed' or
"engaged".
[89] However having carefully perused the Minister's speech,
I found, as stated earlier, that the Minister's speech "clearly discloses
the mischief aimed at or the legislative intention lying behind the ambiguous
or obscure words" (to borrow Lord Browne-Wilkinson's words in Pepper v.
Hart ), which was to confine the membership of the union only to persons
engaged or employed in the trade, occupation or industry in respect of which
the union was registered.
[90] As pointed out by counsel for the plaintiffs that was
how the Federal Court applied s. 26(1A) as seen in the case of National Union
of Newspaper Workers (supra ). There the Federal Court was faced with the
following questions of law:
(a) whether s.
26(1A) of the TUA can be applied by the DGTU to render the entire membership of
the union in the respondent companies not eligible and the union incompetent to
represent the entire membership?; and
(b) whether s.
26(1A) of the TUA can be Invoked and applied to de facto derecognize a union
and disunionize members when it is admitted that nothing has changed in respect
of the establishment, trade, occupation or industry concerned?
[91] The facts giving rise to these two questions of law has
been set out earlier and were briefly as follows:
The National Union
of Newspaper Workers (referred to as the NUPW by the Federal Court) was a trade
union which was initially recognised by FPSB and STPD (the respondent
companies) as a trade union which represented their employees. Both FPSB and
STPD by similar letters dated 26 December 1992 sought a ruling from the DGTU on
the issue whether the NUPW can continue to represent their employees as they
were no longer involved in the newspaper publishing industry. On 12 November
1991, the DGTU carried out investigations and discovered that FPSB was involved
with the publication of local text books whereas STPD was in the distribution
and marketing of books, magazines and encyclopedias with no involvement at all
in the newspaper publishing industry.
[92]Vide letter dated 25 February 1992, the DGTU decided
that the employees of FPSB and STPD cannot be accepted or continue to be,
members of the NUPW as they were no longer categorised as employees and
subsidiaries as stipulated under r. 3.1 of the NUPW's Rules and Constitution.
Rule 3.1 provided that "membership" of the Union shall be open to all
employees "in the newspaper publishing and subsidiary industries".
[93] One of the issues raised in the High Court was the
competency of the DGTU to entertain and consequently to decide on NUPW's
eligibility to represent the employees of FPSB and STPD in accordance with s.
26(1A). Hence the two questions of law posed before the Federal Court.
[94] The Federal Court answered both questions in the
affirmative and held that s. 26(1A) can be applied by the DGTU to render the
entire membership of the union in the respondent companies not eligible and the
union incompetent to represent the entire membership and it can be invoked and
applied to de facto derecognise a union and disunionise members.
[95] This case therefore illustrates the manner in which s.
26(1A) may be invoked by the DGTU, and its application by the Federal Court was
consistent with the interpretation postulated by the first plaintiffs which was
to prevent a member of a different trade, industry or occupation from being a
member of a union that was not meant for them.
[96] The case of Kempas Edible (supra ) referred to by the
defendant in their submission may be distinguished. In that case, there was a
trade dispute concerning the non re-employment of one M Mukunan after the
retrenchment exercise whereby he was not offered re-employment with the company
despite the company having agreed that affected employees would be accorded new
employment if there were vacancies in any of the company/group's operating
units.
[97] It was held that M Mukunan was neither a workman nor an
employee of the company when the union filed the trade dispute, nor was he
employed or engaged in any establishment, trade, occupation or industry in
respect of which the trade union was registered. Though evidence was adduced
that he had been faithfully paying the subscription fees to the union, the
situation he was in after the dismissal rendered him ineligible to be a union
member by virtue of s. 26(1A). Therefore, the union did not have the locus
standi to espouse the claim of M Mukunan.
[98] Similarly with the case of Anthonyamah Anthony &
Ors (supra ) referred to by the defendants in support of their argument in
their submission, the facts can also be distinguished. In this case, the
contracts of employment of the applicants have been terminated since they had
not reported for work for more than two days. The applicants were represented
by their union (NUPW) at the trade dispute which was subsequently referred to
the Industrial Court by the Minister pursuant to s. 26(2) of the IRA. NUPW had
by a letter to the Industrial Court dated 4 May 1987 notified the court that it
could not represent the applicants as they were not its members by virtue of a
ruling made by the Registrar of Trade Unions dated 21 August 1986. The
Registrar had ruled that the applicants ceased to be members of NUPW by their
refusal to work on 2 October 1985 which amounted to participation in an illegal
strike.
[99] The third case referred to by the defendants was
Perusahaan Otomobil Kedua Sdn Bhd (supra ). Again the facts were completely
different from the instant case. There it was held that the DGTU in making the
said decision committed an error of law and thereby exceeded his jurisdiction
when he failed to take into account the relevant consideration that the second
defendant being registered as an in-house union for the subsidiary company was
thereby confined to serving the cause of the said employees within and not
those of the applicant company and its subsidiaries.
[100] Section 26(1A) specifically prohibits the second
defendant from recruiting members or retaining members if the said members were
not employed or engaged in the establishment in which it was registered. Rule 3
of the second defendant clearly limited the scope of its membership to the
employees in the subsidiary company. Thus, the first defendant could not extend
the scope of membership of the second defendant in contravention of s. 26(1A)
of the Act by amending r. 3 of the second defendant.
[101] Learned SFC and counsel for the second to 11th
defendants nevertheless sought to argue that the words "if he is not
employed or engaged..." in s. 26(1A) presupposes that a person must be
employed in the particular trade or industry of which the union is registered
before he can be a member or be retained (as the case may be) as a member of a
trade union of the particular trade or industry. (emphasis added)
[102] In their view these words "if he is not employed
or engaged" in their plain and ordinary meaning means "be engaged
in", "be at work" or "take service with or with an
employer". Hence once a person is no longer employed or engaged in any
establishment, trade, occupation or industry of which the trade union is
registered the person loses his status as a union member. The meaning of these
words according to counsel could not be extended to include a person who has
been dismissed but whose dismissal was being challenged under s. 20 of the IRA.
Nowhere, they contended does s. 26(1A) provide for such a meaning.
[103] I was not persuaded by the defendants' argument
primarily because, as had been seen earlier, s. 26(1A) was not enacted for the
purpose of empowering the DGTU to automatically divest a member of his
membership in the union upon his dismissal or termination notwithstanding his
challenge to the dismissal or termination under s. 20 of the IRA. At the risk
of repeating myself, as evident from the Minister's speech and illustrated by
the case of National Union of Newspaper Workers s. 26(1A) was enacted for the
specific purpose of limiting the eligibility of membership of a trade union to
the workers of that particular trade or industry in respect of which the union
is registered.
[104] The defendants cannot in my view by virtue of the
words "... if he is not employed or engaged..." construe s. 26(1A) to
mean that a person who has been dismissed or terminated can no longer be
retained as a member of a trade union notwithstanding the fact that his
dismissal was being challenged under s. 20 of the IRA.
[105] To my mind, if parliament had intended that a workman
who had been dismissed would ipso facto lose his status as a member of the
union irrespective of whether he has filed a representation under the IRA or
not, then parliament would have provided for it explicitly as was done in the
case of s. 26(1A) which sought to limit eligibility for membership of a union
representing workmen of a particular trade or industry to workmen actually
employed in that trade or industry. This was particularly so when, as submitted
by the plaintiffs, the effect of such an interpretation would have a drastic
effect on the trade union movement in the country. On the defendant's
contention that the likelihood of employers victimising or taking action
against employees for being a member or being active in a trade union is remote
as such an action would constitute an offence under s. 59 of the IRA, as
pointed out by the first plaintiff's counsel, thus far no employer has been
charged under this section.
[106] Secondly, the interpretation proposed by the
defendants would lead to an absurdity in view of the definition of 'workman',
'trade union' and 'trade dispute' in both the TUA and the IRA.
[107] "Trade Union" under s. 2 of the TUA is
defined as follows:
"trade
union" or "union" means any association or combination of
workmen or employers, being workmen whose place of work is in Peninsular
Malaysia, Sabah or Sarawak, as the case may be, or employers employing workmen
in Peninsular Malaysia, Sabah or Sarawak, as the case may be:
(a) within any
particular establishment, trade, occupation or industry or within any similar
trades, occupations or industries;
(b) whether
temporary or permanent; and
(c) having
among its objects one or more of the following objects:
(i) the
regulation of relations between workmen and employers for the purposes of
promoting good industrial relations between workmen and employers, improving
the working conditions of workmen or enhancing their economic and social status,
or increasing productivity;
(ia) the
regulation of relations between workmen and workmen, or between employers and
employers;
(ii) the
representation of either workmen or employers in trade disputes;
(iiA) the
conducting of, or dealing with, trade disputes and matters related thereto; or
(ii) the
promotion or organization or financing of strikes or lock-outs in any trade or
industry or the provision of pay or other benefits for its members during a
strike or lock-out.
"Workman" under s. 2 of the TUA means any person, including an
apprentice, employed by an employer under a contact of employment to work for
hire or reward and for the purposes of any proceedings in relation to a trade
dispute includes any such person who has been dismissed, discharged or
retrenched in connection with or as a consequence of that dispute or whose
dismissal, discharge or retrenchment has led to that dispute. (emphasis added)
[108] The same definition of "workman" appears in
s. 2 of the IRA.
[109] "Trade dispute" in s. 2 of the TUA is
defined as any dispute between an employer and his workmen which is connected
with the employment or the conditions of work of any such workmen.
[110] The gist of the first plaintiff's argument (and
adopted by the rest of the plaintiffs) was that based on the definition of
"workman" in both the TUA and the IRA a person who had been dismissed
or discharged and who is challenging his dismissal or discharge as in the case
of Mr Solomon would continue to be a member of a union within the meaning
assigned to it under the TUA and the IRA.
[111] Learned SFC for the first defendant and Cik Eswary for
the second - 11th defendants on the other hand, argued that, the "second component"
of the definition of workman ie,:
and for purposes
of any proceedings in relation to a trade dispute include any such person who
has been dismissed, discharged or retrenched in connection with or as a
consequence of that dispute or whose dismissal, discharge or retrenchment has
lead to that dispute. (emphasis added)
ought not to be read into s. 26(1A) as the word 'member' in
that section is not defined. Both Cik Eswary and the SFC urged the court to
only consider the "first component" of the definition of workman
which reads:
any person,
including an apprentice, employed by an employer under a contract of employment
to work for or hire or reward. (emphasis added)
as this was more relevant for the purpose of construing s.
26(1A). In their view the second component of the definition applies only for
the purposes of any proceedings in relation to a trade dispute and therefore
would not be applicable in the present context.
[112] I did not think it possible for the court to disregard
the "second component" of the definition of "workman" as
the "second component" (as it was referred to by Cik Eswary in her
submission) constitutes an essential component of the definition of
"workman" under the TUA. Cik Eswary had argued that the second
component was incorporated in the definition of 'workman' in s. 2 of the TUA to
give cognisance to one of the objects of a trade union which is to represent
the workman who was a member at the time of dismissal and whose dismissal has
led to a trade dispute. (see para. (c)(ii) of the definition of "trade
union" (supra )). The same applies to the IRA as the definition of
"workman" is identical to that in the TUA's. (see p. 23, para. (c)).
[113] Similarly with r. 4.7 of the Constitution of the NUBE
which was relied on by the first plaintiff's counsel to support her argument on
this issue (see pp. 11 to 12 of this judgment). The said rule was merely a
recognition of the right of a dismissed workman to be represented by a trade
union in the trade dispute that was brought about by his dismissal. In other
words the second component of the definition of workman under the TUA is to
enable a dismissed member of a trade union to be represented in a trade dispute
that was brought about by his dismissal and in the case of IRA it was also to
enable the trade union to represent a workman in a reference under s. 26.
[114] It (ie, the second component of the definition) was
not to enable a member who had been dismissed and whose dismissal was being
challenged to continue to be a member of a union in every sense of the word
including to hold a position in the union.
[115] I was unable to agree with the defendant's argument
for the following reasons:
Firstly, whether
or not the "second component" of the definition of workman is
intended only for the limited purpose as argued by counsel ie, in the case of
the TUA to enable the workman to be represented by a trade union in a trade
dispute brought about by his own dismissal and in the case of the IRA, to
enable a trade union to represent a workman in a reference under s. 26 of the
IRA, is not entirely clear from a reading of the definition of "trade
union", "workman" and "trade dispute" both in the TUA
and the IRA.
[116] What is clear however is that the "second
component" of the definition of "workman" in the TUA means that
a workman who is dismissed and who is challenging his dismissal remains, by
virtue of this definition, a member of a trade union.
[117] Rule 4.7 of the Constitution and Rules of the first
plaintiff fortified by s. 66 of the TUA reflects this position. Rule 3 and the
case of Re Singapore Industrial Workers Union (supra ) cited by learned counsel
for the second to 11th defendants to support her interpretation of s. 26(1A)
relate to the minimum requirements for membership of the union and was
therefore not relevant for our purposes.
[118] Thus the defendant's (and the AG's) contention that s.
26(1A) results in a dismissed workman (including one who is challenging his
dismissal) losing his right to membership of a union is, as said earlier,
absurd, if not untenable.
[119] Whether the aforesaid definition of a workman means
that a dismissed member (who is challenging his dismissal) can continue to
enjoy all his rights as a member including the right to hold a position in the
union is, in the absence of a clear provision stating otherwise a matter of
construction.
[120] For this purpose, as submitted by learned counsel for
the first plaintiff, a purposive approach is necessary so that the construction
of these provisions is consonant with the purpose of the TUA. This is also in
line with the current judicial trend as held in the case of All Malayan Estates
Staff Union (supra ) which I will elaborate on later.
[121] The TUA was enacted to regulate the formation of trade
unions and the trade unions movement in the country. This is reflected in the
long title of the Act which states rather succinctly - "An Act relating to
trade unions". As submitted by Dato' Ambiga, the TUA is a piece of social
legislation with the underlying objective of promoting social harmony between
employers and workers.
[122] The speech by the then Minister of Labour and
Manpower, Dato' Richard Ho Ung Hun in Parliament when tabling the proposed
amendments to the TUA on 3 April 1980 ("the said Bill") underlined
this objective when he referred to trade unions in the following terms:
Trade unionisma
mempunyai potensi yang besar sebagai satu kuasa bagi sosial yang mesti di pupok
dan di awasi.
[123] The Minister further stressed that:
Satu kerajaan yang
berdemokrasi yang dipilih oleh rakyat seperti kita, mestilah secara jujur
mengambil langkah untuk memimpin dan mengatur pertumbuhan trade unionisma kita.
(see p. 1681 of the Penyata Rasmi Parlimen Jilid II Bil. 13 bertarikh 3 April
1980).
[124] And again on 11 April 1980, when tabling the said Bill
for a second and third reading at the same Parliamentary session the Minister
described both the TUA and the IRA as being part of the "Undang-undang
sosial Malaysia as seen below:
Rang Undang-undang
ini, bersama-sama dengan Akta Perhubungan Perusahaan (Pindaan) 1980, yang
telahpun dibentangkan di Dewan ini dan akan dibaca kali keduanya kelak dalam
persidangan ini, adalah merupakan dua buah perundangan penting yang menjadi
sebahagian daripada Undang-undang sosial Malaysia. (see p. 662 of the Penyata
Rasmi Parlimen Jilid II Bil. 5 bertarikh 11 April 1980). (emphasis added)
[125] The purposive approach to construction of a statute is
encapsulated in s. 17A of the Interpretation Acts 1948 and 1967 which provides
that:
in the
interpretation of a provision of an Act, a construction that would promote the
purpose or object underlying the Act (whether that purpose of object is
expressly stated in the Act or not ) shall be preferred to a construction -
that would not promote that purpose or object. (emphasis added)
[126] In the case of All Malayan Estates Staff Union (supra
) the Federal Court explained at length the nature and scope of s. 17A and
held, inter alia, as follows:
The choice
prescribed in s. 17A of "... a construction that would promote the purpose
or object underlying the Act... shall be preferred to construction that would
not promote that purpose or object..." can only arise when the meaning of
a statutory provision is not plain and is ambiguous. If, therefore, the
language of provision is plain and unambiguous s. 17A will have no application
as the question of another meaning will not arise.
Thus, it is only
when a provision is capable of bearing two or more different meanings can s.
17A be resorted to in order to determine the one that will promote the purpose
or object of the provision. Such an exercise must be undertaken without doing
any violence to the plain meaning of the provision. This is a legislative
recognition of the purposive approach and is in line with the current trend in
statutory interpretation.
[127] In the course of their judgment the Federal Court
referred to the House of Lords decision in R (on the application of
Quintavalle) v. Secretary of State for Health [2003] 2 All ER 113, in
particular, the judgment of Lord Bingham who expressed in clear and lucid terms
the task of the court in construing a statute which is thus:
The basic task of
the Court is to ascertain and give effect to the true meaning of what
Parliament has said in the enactment to be construed. But that is not to say
that attention should be confined and a literal interpretation given to the
particular provisions which give rise to difficulty. Such an approach not only
encourages immense prolixity in drafting, since the draftsmen will feel obliged
to provide expressly for every contingency which may possibly arise. It may
also (under the banner of loyalty to the will of Parliament) lead to the
frustration of that will, because undue concentration on the minutiae of the
enactment may lead the court to neglect the purpose which Parliament intended
to achieve when it enacted the statute. Every statute other than a pure
consolidating statute is, after all, enacted to make some change, or address
some problem, or remove some blemish, or effect some improvement in the
national life. The court's task, within the permissible bounds of
interpretation, is to give effect to Parliament's purpose. So the controversial
provisions should be read in the context of the statute as a whole, and the
statute as a whole should be read in the historical context of the situation
which led to its enactment. (emphasis added)
[128] Thus applying s. 17A and the principles enunciated in
the aforesaid judgment, the purposive approach would be preferable in
construing s. 26(1A) and the other relevant provisions of the TUA, that is, the
definition "workman", "trade union" and "trade
dispute" as a literal interpretation of these provisions would negate the
very purpose for which the TUA was enacted.
[129] In other words the interpretation advocated by the
defendants would, instead of promoting social harmony, result in "union
busting" (see p. 15 (supra ) on the effects of union busting as submitted
by learned counsel of the first plaintiff). Such a consequence as submitted by
counsel for the plaintiffs could not have been intended by the legislature.
[130] In this regard I would also disagree with Cik Eswary's
contention that s. 26(1B) (read together with s. 29(1) of the TUA) and r. 14 of
the first plaintiff's Constitution and Rules clearly prohibited a dismissed
member including one who is challenging his dismissal as in the case of Mr
Solomon from holding the position of an officer of a trade union.
[131] Apart from the aforesaid grounds the plaintiffs also
relied on the following argument to counter the defendant's contention on the
effect of s. 26(1A) on a dismissed employee.
[132] The plaintiffs' argument was as follows:
It would be premature to decide whether a member of a union
has lost his membership due to a dismissal which is being challenged and where
a representation has been made under s. 20 and the matter referred to the
Industrial Court for adjudication, because when an employee is dismissed and
the matter referred to the Industrial Court under s. 20 of the IRA, the burden
is on the employer to prove that the dismissal was done with just cause and
excuse. Thus until and unless the Industrial Court has disposed of a
representation made under s. 20 of the IRA for reinstatement another court may
not deem that the workman has forfeited his union membership. This was the
ratio decidendi in the case of National Union of Teachers in Independent
Schools, West Malaysia, (supra ). In that case out of 53 teachers who were
members of teachers' union 18 had resigned from the union on various dates and
35 had their services terminated by way of non-renewal of their contracts.
[133] The court was confronted with the issue of whether the
Union had the necessary locus standi to make representation to the Industrial
Court as none of the teachers were members of the Union for the reason stated
above. The school and the union were at the material time locked in two
disputes; one was a dispute over a collective agreement on wages and terms and
conditions employed in the school, and the other was a dispute over the alleged
wrongful dismissal of 35 teachers. The dispute over the collective agreement
was referred to the Industrial Court by the Minister on 12 January 1987 for
adjudication and the dispute over the alleged wrongful dismissal of 35 teachers
was referred to the Industrial Court on 14 August 1987.
[134] In the case before the High Court, the Industrial
Court was concerned only with the dispute over the collective agreement. The
dispute over the alleged wrongful dismissal of 35 teachers was before another
division of the court.
[135] It was held by the High Court that it was premature
for an Industrial Court to decide whether the union had members or not when
another Industrial Court had yet to decide on the representations made to it
under s. 20 of the IRA. Eusoff Chin J (as he then was) in his judgment observed
as follows:
The Industrial
Court here made a finding that although the school had not closed down, and was
still in operation at the date of hearing, there was not a teacher employed by
the school who was a union member because those who were union members had
either resigned from the union or because their contracts were not renewed by
the school. The Industrial Court held that the union could not represent and
act in a dispute on behalf of the school teachers who were not its members or
no longer its members, and so the union had no locus standi before the court.
As stated earlier,
the dispute concerning the alleged wrongful dismissal of the 35 teachers who
were union members was referred to another division of the Industrial Court by
the Minister on 14 August 1987. That division had not determined and made an
award in respect of that dispute on 27 February 1988, when the question of
locus standi of the union was heard by the Industrial Court. In holding that the
union had no locus standi because it no longer had any members, the Industrial
Court was in fact adjudicating the dispute of wrongful dismissal of the
teachers who were union members, and had come to the conclusion that the
teachers' services had been lawfully terminated. This Industrial Court had no
jurisdiction to determine that dispute, because that very dispute had not been
referred to it by the Minister, but to another division of the Industrial Court
to adjudicate.
[136] In the present case Mr Solomon was seeking
reinstatement to his employment with his former employers, CIMB Bank Bhd.
Relying on the aforesaid decision the plaintiffs contended that until and
unless final determination of the reinstatement is decided upon by the courts,
it would be premature for anyone to declare that his membership as a member of
the first plaintiff is automatically terminated due to his termination from
employment.
[137] I agreed with the plaintiff's submission on this issue
and the decision in the National Union of Teachers in Independent Schools, West
Malaysia as it is in accord with the underlying jurisprudence of s. 20 of the
IRA.
[138] Although, as mentioned earlier, the Industrial Court
subsequently found that Mr Solomon's (and the other eight members') dismissal
was with just cause and excuse, I also agreed with learned counsel for the
first plaintiff that as Mr Solomon (and the other eight members) had filed an
application for judicial review, the argument that it would be premature for
the court at this juncture to hold that a dismissed workman would automatically
lose his union membership notwithstanding his challenge to the dismissal,
remained a valid argument.
Conclusion
[139] Thus for the reasons stated above I agreed with the
plaintiffs' submission that the defendants' interpretation of s. 26(1A) on the
status of a member of a trade union who had been dismissed and who had
challenged his dismissal, was in the circumstances erroneous and I therefore
allowed the plaintiffs' application in terms prayed for in prayers (1) and (2)
of the said application.
[140] In arriving at my decision I had considered carefully
the arguments canvassed by all the plaintiffs and the defendants, in
particular, the reasons set out by Cik Eswary in paras. (a) to (f) of pp. 28 to
29 of this judgment on why a dismissed member whose dismissal was challenged
can never be considered to be a member of a trade union. In my view, those
reasons whilst arguably valid could not constitute sufficient justification for
construing s. 26(1A) the way in which the defendants have construed it.
[141] It should be emphasised however that the court's
decision herein was in respect of the specific issue raised before the court
and in that sense was restricted to the fact situation before the court.
[142] Finally, by way of post script I would like to refer
to two other issues that were raised in the course of submission before the
court. There were:
(i) The ILO
Convention
In the course
of her submission before the court, learned counsel for the first plaintiff had
alluded to the letter addressed to the Minister of Human Resources by the MTUC
(see p. 180, encl. 2) that a complaint will be made to the ILO arising from the
interpretation of s. 26(1A) given by the Attorney-General's Chambers. Learned
counsel had submitted that such an interpretation would contravene the ILO
convention namely C98, ie, the Convention on the Right to Organize and
Collective Bargaining Convention 1949 which Malaysia ratified in 1961
("the said Convention"). Both learned SFC, and counsel for the second
to the 11th defendants argued that the question of the said Convention being
transgressed did not arise as the provision of the said Convention had been
incorporated in the IRA notably in ss. 4, 5 and 7 and s. 59. Section 59 in
particular provide the penalties that would be imposed on employers found
guilty of "union busting".
Alternatively
both counsel opined that even if there was a conflict the court has a duty to
give effect to a national law and not international law, citing the Court of
Appeal in Singapore's decision in Seow Teck Ming & Anor v. Tan Ah Yeo &
Anor [1991] 3 CLJ 2731; [1991] 4 CLJ (Rep) 576 as authority and also Lord
Denning's decision in Blackburn v. Attorney-General [1971] 2 All ER 1380.
Dato' Ambiga,
on the other hand referred to Lord Diplock LJ's proposition in Salomon v.
Commissioners of Customs & Excise [1967] 2 QB 116, which was as follows:
... there
is a prima facie presumption that Parliament does not intend to act in breach
of international law, including therein specific treaty obligations; and if one
of the meanings which can reasonably be ascribed to the legislation is consonant
with the treaty obligations and another and others are not, the meaning which
is consonant is to be preferred.
In the light
of my findings above I did not think it necessary to express an opinion on this
issue except to state that whilst I agree with the view expressed by the
Singapore Court of Appeal in Seow Teck Ming (supra ) that it is settled law
that the duty of the court is to give effect to a national law and not
international law if there were a real conflict between them, Lord Diplock's
proposition (supra ) to my mind is equally sound.
(ii) Position in
other jurisdictions
Pursuant to
the court's query as to the position in other jurisdictions on the issue before
the court, learned counsel for the first plaintiff had looked at the trade
union legislations in Singapore, India, UK and Australia to see whether there
was an equivalent provision to our s. 26(1A).
From a perusal
of the relevant legislation in Singapore (the Singaporean Trade Unions Act
Chapter 333); India (the Indian Trade Unions Act 1926); the UK (Trade Union and
Labour Relations (Consolidation) Act 1992 and the Trade Union Reform and
Employment Rights Act 1993); and Australia (Fair Work (Registered
Organizations) Act 2009), it would appear that there is no equivalent provision
to our s. 26(1A) or at least there is no clear provision that provides that a
member of a trade union who has been terminated or dismissed from employment
would automatically lose his membership upon such termination or dismissal.
[2013] 1 LNS 878