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You are here: BAILII >> Databases >> England and Wales High Court (Administrative Court) Decisions >> Goldsmi & Anor, R (on the application of) v Servite Houses & Anor [2000] EWHC Admin 338 (12 May 2000) URL: http://www.bailii.org/ew/cases/EWHC/Admin/2000/338.html Cite as: [2001] BLGR 55, [2000] EWHC Admin 338 |
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IN THE HIGH COURT OF JUSTICE CO/3652/99
QUEEN'S BENCH DIVISION
CROWN OFFICE LIST
Maidstone Crown Court
Friday 12 May 2000
Both Applicants are elderly residents at Mary Court. Mary Court is owned and
managed by the first Respondent, Servite Houses ("Servite"), a charitable
housing association. The second Respondent, the London Borough of Wandsworth
("Wandsworth") had assessed both Applicants as being in need of residential
accommodation. It arranged with Servite that the Applicants should be placed
at Mary Court.
Both Applicants and their relatives expected that Mary Court would be their home for the remainder of their lives unless their health required greater nursing care than was available at Mary Court. Both Applicants allege that Servite promised that that would be so before they agreed to go there. Servite decided in 1999 to close Mary Court as a residential home. Wandsworth proposes to make arrangements that they be provided with a residential home elsewhere. The Applicants contend that the decision to terminate the provision of residential accommodation at Mary Court constitutes a breach of the public law obligations of both Servite and Wandsworth.
This case raises a significant issue as to the scope of this court's jurisdiction. Can the court impose public law standards upon a private body providing community care services in accordance with arrangements made with a local authority? The case has been argued on the assumption that the Applicants have no private law cause of action against Servite. Accordingly, unless the Applicants can invoke the jurisdiction of this court against Servite, they are, for reasons which will become apparent, likely to be without remedy, even if they can establish the promises which they assert were made by Servite.
In form, this is an application for permission to apply for judicial review. But it has been agreed between the parties that, in the interests of expedition, I should, if I consider that permission should be granted, consider the application. For reasons which will become apparent in this judgment, I grant permission to apply (I deal with delay at the close of this judgment). Accordingly, I have considered issues relating to:-
1) the nature of any promise made by Servite to the Applicants;
2) the amenability of Servite to Judicial Review in
providing residential accommodation in accordance with arrangements made
between Servite and Wandsworth pursuant to the National Assistance Act 1948;
3) whether Wandsworth itself was in breach of its
public law obligations to the Applicants.
This case affords an opportunity for the courts to consider the reviewability of the functions of a private provider of community care services in an age when private bodies play an increasing part in the provision of such services. The role and response of this court to issues raised by such "privatisation" lie at the heart of these proceedings.
FACTS
THE FIRST AND SECOND APPLICANTS
The first applicant, Lisa Goldsmith, is 91 having been born on 13 January 1909. She has a history of anxiety, depression and dementia; she suffers from significant cognitive impairment. Her condition is described more fully by her devoted daughter, Linda Goldsmith who is her litigation friend. (See in particular paragraphs 6-8 of her first Affidavit). In particular, she suffers from a number of phobias which lead her to see danger in everything; they frequently rob her life of any pleasure. Linda Goldsmith, who had worked for many years in social care, spoke to a former colleague who is manager for services for older people in the Council's Social Services Directorate. According to Linda Goldsmith, the colleague recommended Mary Court as a residential care home. Linda Goldsmith was anxious to find a permanent home for the rest of her mother's life. I shall deal subsequently with the specific issue as to the nature of any promises given to Linda Goldsmith as to the permanence of that home. Linda Goldsmith, with her mother and other members of the family, first visited the home in June of 1996 and met the Senior Care Worker there, Colleen Bullen.
A Community Care Assessment, pursuant to Section 47 of the National Health
Service and Community Care Act 1990 was performed on 16 July 1996 but at that
stage stated that the first Applicant did not need residential care. In the
light of further medical evidence, this assessment was changed and Wandsworth
accepted that she did require residential accommodation as opposed to sheltered
housing on 21st November 1996. The first Applicant moved into Mary
Court in December 1996. There she has remained, although from time to time she
has, unfortunately, been taken seriously ill, been treated in hospital and then
returned to Mary Court.
The second Applicant, Florence Chatting is 79, having been born on 14 October 1920. She is paralysed on her left side, suffers epilepsy and has learning difficulties. She had lived all her life in Battersea. After her brother died in August 1994, she was assessed by Wandsworth in September 1994 as being in need of residential care. Again she has the advantage of a devoted member of her family, Marlene Turner, a niece, who is her litigation friend in this application. Marlene Turner visited Mary Court with other members of her family in 1994 and the second Applicant moved there in February 1995.
It is important to record, at this stage, that neither applicant has been
re-assessed in the light of the subsequent decision to close Mary Court. In
both cases, Mary Court has been their home for over four years.
MARY COURT
Mary Court is a purpose-built residential care home. It was opened in
November 1991 to provide residential care facilities for Wandsworth. It was
designed with separate flat units to provide a greater degree of independence
to residents than most residential care homes and for up to 39 elderly,
physically frail or disabled people. Its function is to provide a secure
homely environment which, as the chief executive of Servite houses says:-
"will seek to retain each individual's independence, privacy, dignity and
freedom of choice". (See paragraph 10, Kate Davis Witness Statement).
It is part of a larger complex including a sheltered housing scheme, registered
nursing home and day centre.
Servite Houses owns Mary Court. It is a charitable housing association which
owns a number of properties designed to provide housing for families, elderly
people and others in need of care within the community. It is registered as a
social landlord with the housing corporation under the Housing Associations Act
1995, and is also a charity. Nothing, in this case, turns upon its status as a
charity.
It is managed by a board of thirteen members providing their services on a voluntary basis. Its day to day management rests with senior staff which includes Kate Davis as Chief Executive and Martin Palmer, who has made a witness statement in these proceedings, as Deputy Chief Executive. It is registered as a residential care home under Part I of the Registered Homes Act 1984.
ARRANGEMENTS WITH WANDSWORTH
The two Applicants resided at Mary Court pursuant to written placement
agreements made between Servite and Wandsworth. The statutory source of
Wandsworth's power to make those placement agreements is contained within
Section 26 of the National Assistance Act 1948. I shall deal subsequently with
the statutory regime. The Applicants were unaware of the terms of those
agreements. The placement agreement in relation to Louisa Goldsmith was stated
at paragraph 1 to be for a period from 3 December 1996 but no date was inserted
to denote the end of that period. The placement agreement referred to Servite
as "the agency" (see paragraph 1). It set out the weekly fee to be met
by the Council (see paragraph 6). By paragraph 22:-
"The agency undertakes to maintain the standard of care as required under
The Registered Homes Act 1984 and The Registered Homes (Amendments) Act
1991.
23.The agency undertakes to provide services in compliance with the code of
practice for residential care homes and nursing homes as agreed between the
council and the agency which is attached at Annex 3".
The Code of Practice states:
"This Code of Practice must be read in conjunction with the Placement
agreement."
By Clause 2 (Accommodation):
"(c) Before applying for admission the resident...should be given in writing
a clear statement of the terms under which the accommodation is offered. This
may be included in the introductory brochure if the home so wishes. This
statement should include:
.....
- the circumstances in which residents might be asked to leave;"
The Code of Practice also required each resident to have an individual care
plan providing for consultation, review, liaison and case conferences.
The second Applicant's placement agreement was in identical terms, save that
the period referred to in Clause 1 was stated to be from 25 February 1995 until
"permanent".
There is one other important feature of both placement agreements. By Clause
17:-
"The parties hereto may terminate this agreement with one month's notice in
writing to the other. The Council requires two months notice in the event of
closure of the Home or change of ownership."
THE DECISION TO CLOSE
Servite decided to close Mary Court as a residential care home at a Board
meeting on 27 May 1999. This decision followed an investigation by the Board
which started in August 1998 and revealed that there was a continuing financial
deficit arising from the provision of care facilities where the level of
funding received from local authority placements was insufficient to meet the
actual costs of providing this care. (See paragraphs 4-5 of Palmer's Witness
Statement). The Board decided to re-structure its homes to ensure that running
costs were met. Mary Court had consistently suffered the greatest deficit of
all Servite's care homes, particularly, according to Mr. Palmer (paragraph 6)
because of its layout, the inability of local authorities to meet the actual
cost of replacements, and the need to meet the requirements of registration as
a residential care home. According to an information sheet promulgated in June
1999 there had been substantial deficits in all the years from 1996 to 1999.
In 1996-1997 they were £233,780; they were less in the subsequent two
years but Mary Court was budgeted to lose £154,000 in the year 1999-2000;
the losses were expected to be greater than those which were budgeted.
At the Board Meeting on 27 May 1999, the Board decided that there was no
alternative but to close Mary Court as a residential care home. It was
resolved to continue discussions with Wandsworth to devise an acceptable scheme
for Mary Court, to give notice to residents, relatives and staff as soon as
possible but to postpone actual closure until the end of March 2000. It was
hoped that Wandsworth would, after the announcement of the closure, undertake
assessments for all residents pursuant to the National Health Service and
Community Care Act 1990 and that those for whom sheltered housing was suitable,
would remain at a "re-configured" Mary Court.
On 10 June 1999 Servite communicated its decision to close Mary Court on 31
March 2000 to residents and their relatives. The circular to which I have
referred, disclosing the losses, was issued. It recorded the Board's
appreciation of the distress that the closure would cause to all residents and
relatives. It stated:
"The position in residential care is that local authority budgets generally
are being squeezed tighter as each year passes and there is less and less money
available for supporting people in residential care."
It referred to Mary Court's particular problem of expense and assured relatives
and residents that the staff would work closely with them to identify suitable
alternative accommodation.
Subsequently, discussions continued with Wandsworth as to proposals in which
new sheltered housing with additional care would be provided at Mary Court. It
was hoped that after further assessments, many of the existing residents would
be able to remain at Mary Court in sheltered accommodation with additional
care.
These proceedings were started against Servite in September 1999. I shall deal
with the history of the proceedings in relation to the issue of delay later in
this judgment.
I should observe that the hope that existing residents might remain in
sheltered housing at Mary Court may prove optimistic and certainly is likely to
do so in relation to the two applicants. In its brochure Servite state:-
"Mary Court is designed to meet the needs of people who are unable to live
in their own home or sheltered housing."
The impact of closure upon these two applicants requires little imagination.
Both the applicants are frail old ladies. The first Applicant's medical
condition has from time to time caused great concern (see in particular the
Affidavit of Linda Goldsmith at paragraphs 25-27). Any move is likely to have
a deleterious effect on their health and will certainly adversely affect the
quality of their life.
I should further observe, at this stage, that there is no suggestion of any
consultation between Servite and Wandsworth as to measures which might be taken
which would avoid closure of Mary Court as a residential care home. Nor was
there any consultation with residents or relatives prior to the decision to
close. All the consultation and discussion which has taken place thereafter
has been on the basis that Servite was entitled to exercise its right to
terminate placement agreements pursuant to Clause 17.
PROMISES OF A PERMANENT HOME
The trigger for these proceedings is the assertion by both Applicants that
Servite promised them that Mary Court would be their permanent home for life
unless their medical condition required care which the facilities of this
residential care home could no longer provide. It is asserted that they
entered Mary Court as residents in reliance upon those promises. There is a
dispute between the parties as to whether any promise, as opposed to the
expression of a hope, was ever given. Neither side has sought to
cross-examine upon the affidavits. Neither side has asserted that the sworn
evidence is inherently improbable. In those circumstances, as I hope has been
made clear to these Applicants, my conclusions will be based upon those facts
which appear to me to be revealed as common ground between the parties.
Linda Goldsmith explains the importance of seeing that her mother, the first
Applicant, should have a permanent and secure home for the rest of her life.
She says that she discussed it with her colleague Jean Green, of Wandsworth
Social Services Department on 3 May 1996 and that that need was expressly
accepted by Jean Green (see paragraph 10). In the middle of June 1996 when she
first visited Mary Court, she says that she specifically asked the Senior Care
Worker, Colleen Bullen, whether Mary Court could and would provide a permanent
home for life for her mother and that Colleen Bullen replied that it was:-
"Mary Court's stated philosophy to offer potential residents a permanent
home for life at Mary Court". (paragraph 11).
This was repeated on 21st July 1996. (See paragraph 13) and at a
meeting with the Manager
Caroline Franceschina, on 21 November 1996. The only qualification stated by
the Manager was:-
"If a particular resident's care needs alter to the extent that the resident
required specialist nursing care".
The promise was reiterated in September 1998 by the Manager after the first
Applicant had been taken to hospital and before she returned to the home. (See
paragraph 22).
Linda Goldsmith emphasises throughout her evidence the importance to her and
her mother of the assurance that she would be able to remain at Mary Court for
the rest of her life, subject to any requirement for specialist nursing care
which could only be provided elsewhere. She says:-
"It was of the utmost importance for me to ensure that without
qualification, the first Applicant would have a home for life. This is what
was offered at Mary Court as conveyed to me by Colleen Bullen and Caroline
Franceschina" (See paragraph 12 (XIII) Second Affidavit).
Linda Goldsmith did not see any brochure from Servite before her mother moved
into Mary Court.
On the other hand, Marlene Turner, the second Applicant's niece did see the
brochure issued by Servite in accordance with the Code of Practice, which at
the relevant period stated:-
"Servite Houses wish to provide a home for life whenever possible, but
unfortunately cannot do so if specialist nursing need care is required."
Marlene Turner says that she discussed the importance of the provision of a
permanent home with Yvonne Brown, a social worker employed by Wandsworth. She
stated that Mary Court would be ideal not least because it was known to offer a
permanent home for life (see paragraph 8 of the First Affidavit of Marlene
Turner). A similar assurance was given in October 1994 by Janet Shepherd, an
employee at Mary Court (see paragraph 10). It was repeated in December 1994 by
the Manager and Deputy Manager (Gill Rushden) (see paragraph 12). Marlene
Turner says that her family would not have agreed that the second Applicant
should move to Mary Court:
"unless the provider of the residential care offered a permanent home for
the rest of the second applicant's life" (see paragraph 15).
The second Applicant also relies upon the Placement Agreement which refers to
the closing date of the period as permanent (see above) and evidence given on
behalf of another resident which refers to similar promises.
The Respondent's evidence does not disclose any serious dispute but that the
Applicants were assured that they would be able to stay at Mary Court for as
long as they wished, provided only that their health did not require specialist
nursing. Colleen Bullen, the Senior Care Worker at Mary Court originally wrote
a letter dated 21 January 2000:-
"Residents have moved into Mary Court believing it to be a home for the
remainder of their lives and on the occasions I have shown people around, I
have used the term "home for life", as stated in the brochure, as they need to
feel reassured that at their time of life they will not have to move
again."
She subsequently appears to wish to have qualified that earlier letter in a
witness statement dated 4th March 2000. In that statement she says
that she was aware of the policy of Servite and Mary Court:-
"That the aim should be to offer residents a home for life, subject to the
residents needs not changing to the type of care which is outside the scope of
the care provided at Mary Court. Whilst I have told perspective residents and
their relatives, probably including Louisa and Linda Goldsmith, of Servite
Houses aim to provide a home for life, I may not have always mentioned that
this is subject to the changing needs of residents." (See paragraph 3.)
At paragraph 18 she says:-
"Whilst I accept that the expression "home for life" appears in the
brochures and formed part of my conversations with perspective residents and
their relatives, I have never used the expression `a permanent home for
life".
Caroline Franceschina, the Manager, confirms the policy of Mary Court (see
paragraph 9 of her statement). She says:-
"In the circumstances, I could not give a categorical assurance as to a
residents or prospective residents continued occupation of her room at Mary
Court, simply because of the possibility they will need nursing care....I
always make it absolutely clear that the period of residence is limited to the
period of time that Mary Court is able to cater for their resident's
needs." (paragraph 10).
She concludes:-
"I deny that I have ever afforded a promise of a home for life at Mary Court
to Louisa Goldsmith or any member of her family, other than with the specific
qualification that her residence was subject to Mary Court being able to
provide the necessary care for Louisa Goldsmith's needs" (see paragraph
22).
Jill Rushdon, the Deputy Manager gives similar evidence as to the nature of any
assurances given (see in particular paragraph 5).
I conclude, on the basis of the evidence of the manager and employees at Mary
Court, that both the first and second Applicants were assured that they would
be able to remain at Mary Court for the rest of their life, so long as their
health did not lead to the requirement of nursing care. It was argued on
behalf of Servite that the conversations with the resident's relatives and the
brochure amounted to no more than an expression of an aim or objective and did
not amount to any assurance. I reject that submission. In the context of
relatives, naturally concerned as to how the residential needs of their aged
mother and aunt should be met, the references to a permanent home were bound to
be understood as assurances that they would be allowed to remain subject to
specialist care needs. The distinction between such an assurance and a mere
expression of a hope or objective was bound to be far too subtle to be
appreciated by the concerned relatives. Nor, in my judgment, was it intended
as anything other than a promise designed to reassure and comfort those
relatives. Were it otherwise, I can see no point in any such expressions being
used at all. But I should add that neither the relatives nor the Applicants
were given or could have expected any absolute assurance. The expression "home
for life" is not accurate. There was no assurance or promise of a home for
life, since no one could know whether the health of the Applicants would permit
of continued residence at a residential home where specialist nursing care was
not available. Thus, although it is true that the eventuality to which the
promise referred, namely a deterioration in health requiring specialist nursing
care, never in fact occurred, no relative could have had any unconditional
confidence that their aged relative would be able to remain for the rest of her
life at Mary Court.
LEGISLATIVE SCHEME
Section 47 of the National Health Service & Community Care Act 1990
("NHSCCA 1990"), which came into force on 1 April 1993, provides for the
assessment of the needs of those who may be in need of community care services.
"Community Care Services" include the provision of accommodation under Part III
of the National Assistance Act 1948 (see Section 46(3) of the 1990 Act). The
Applicants' needs were assessed pursuant to Section 47(1) which provides:-
"...where it appears to a local authority that any person for whom they may
provide or arrange provision of community care services may be in need of any
such services, the authority -
a) shall carry out an assessment of his needs for those services; and
b) having regard to the results of that assessment, shall then decide
whether his needs call for the provision by them of any such services."
Both Applicants were assessed as requiring residential accommodation according
to the criteria identified in Section 21(1)(a) of the National Assistance Act
1948. That section not only sets out the criteria according to which the need
for residential accommodation is to be judged, but imposes a duty upon local
authorities to make arrangements to provide accommodation for those in
need of care and attention which is not otherwise available to them. Section
21 provides:-
"Subject to and in accordance with the provisions of this Part of this Act,
the local authority may, with the approval of the Secretary of State, and to
such extent as he may direct, shall, make arrangements for providing -
a) residential accommodation for persons aged 18 or over who by reason of
age, illness, disability or any other circumstances, are in need of care and
attention which is not otherwise available to them."
It can be seen from the terms of Section 21(1) that the obligation is only
triggered once the Secretary of State has given his approval and made
directions. Such directions have been made in Appendix I to LAC (93.10).
Paragraph 2(1)(b) of the Secretary of State's Approvals and Directions require
a local authority to make arrangements for persons ordinarily resident in their
area. Unless arrangements are made with another local authority and subject to
arrangements being made pursuant to Section 26, a local authority must provide
accommodation in premises managed by that authority. Section 21(4)
provides:-
"Subject to the provisions of Section 26 of this Act, accommodation provided
by local authority in the exercise of their functions under this section shall
be provided in premises managed by the authority...."
References to accommodation include references to board and other services,
amenities and requisites provided in connection with accommodation (see Section
21(5)).
The nature of the arrangements which a local authority may make, pursuant to
the duty to make arrangements under Section 21, has been extended by the
provisions of Section 26(1). That section provides:-
"Subject to sub-sections 1(A) and 1(B) below, arrangements under Section 21
of this Act may include arrangements made with a voluntary organisation or with
any other person who is not a local authority were:-
a) the organisation or person manages premises which provide for regard,
accommodation falling within sub-section (1)(a) or (aa) of that section
and
b) the arrangements are for the provision of such accommodation in those
premises" .
By Section 26(1A):
"Subject to sub-section 1(B) below, arrangements made with any voluntary
organisation or other person by virtue of this section must, if they are for
the provision of residential accommodation with both board and personal care
for such persons as are mentioned in Section 1(1) of The Registered Homes Act
1984 (requirement of registration), the arrangements for the provision of such
accommodation in a residential care home which is managed by the organisation
or person in question, being such a home in respect of which that organisation
or person -
a) is registered under Part 1 of that Act or
b) is not required to be so registered by virtue of
Section 1(4)(a) or (b) of that Act (certain small homes)
or by virtue of the home being managed or provided
by an exempt body."
By Section 26(2):
"any arrangements made by virtue of this section shall provide for the
making by the local authority to the other party thereto, payments in respect
of the accommodation provided at such rates as may be determined by or under
the arrangements and subject to sub-section (3A) below, the local authority
shall recover from each person for whom accommodation is provided under the
arrangements, the amount of the refund which he is liable to make in accordance
with the following provisions of this section."
The sub-sections of Section 26 which follow make provision for payments by a
person for whom accommodation is provided to the local authority, subject to
assessment of means.
Since these Applicants were assessed as being in need of residential
accommodation, Wandsworth was under an obligation to provide it (see R -v-
Royal Borough of Kensington and Chelsea ex parte Kujtim [1999] 2 CCLR 340 at
354C-D).
The effect of Section 26 of the 1948 Act was considered by the House of Lords
in R -v- Wandsworth London Borough Council ex parte Beckwith [1996] 1 WLR
60. The Applicants had contended that Wandsworth was under a duty to
maintain some accommodation for the elderly in premises under its own
management. The House of Lords disagreed. The effect of Section 26 was to
permit a local authority to discharge its duty to make arrangements under
Section 21 by making all its arrangements for residential accommodation with
voluntary organisations or other persons. That section removed any obligation
on local authorities to make direct provision for residential care under their
own control. Lord Hoffman said:-
"the draftsman is therefore not saying that homes in the private sector may
be included in the collective of homes which the council has to provide. He is
saying that the concept of "arrangements" which has been used to define the
council's duty in Section 21 is to include arrangements within the private
sector. This produces an altogether different result: it extends the meaning
of the concept by which the council's duty is defined. Any arrangements which
fall within the extended definition will satisfy the council's duty." (See
page 64).
However, Wandsworth's duties to meet the assessed needs of the Applicants do
not cease once it has discharged its duty to make arrangements under Section 21
by making arrangements with Servite. It remains under a duty to see that the
Applicants' needs are met and if necessary to re-assess them. It remains under
an obligation to ensure that the arrangements which it has made continue to be
sufficient to meet the needs of those qualified for such community care
provision.
It is the effect of Section 26 which lies at the heart of the crucial issue as
to whether the court has jurisdiction to impose public law standards upon a
private provider of community care services. Beckwith highlights the
problem. Now that a local authority, like Wandsworth, can make all its
arrangements indirectly through a private service provider, the question as to
whether the court can impose public law obligations upon that private law
provider, becomes all the more acute.
THE SIGNIFICANCE OF THE ISSUE OF WHETHER SERVITE IS AMENABLE TO
REVIEW
Both Servite and Wandsworth contend that this court has no jurisdiction to
impose public law standards upon a private sector service provider such as
Servite. Servite lawfully terminated the arrangements it had made with
Wandsworth under Clause 17 of the Placement Agreements. Accordingly the
Applicants can only enforce any promise made by Servite in private law. If the
Applicants had no legal contractual relationship with Servite, they have no
redress. Moreover, Wandsworth discharged its obligation under Section 21 in
making arrangements with Servite. Once those arrangements lawfully came to an
end, Wandsworth cannot compel Servite to make provision for accommodation at
Mary Court. It is powerless to do anything more in relation to a private
service provider who has lawfully terminated existing arrangements and is
unwilling to make fresh arrangements. It remains under a continuing
obligation, pursuant to Section 47 of the NHSCCA, to re-assess the needs of the
Applicants and meet those needs by making any arrangements under its power.
But it cannot be compelled to make arrangements with Servite which has lawfully
ceased to make provision of residential accommodation in Mary Court.
Even if the Applicants can establish that Wandsworth has breached its public
law obligations, that will be of no avail if Servite is unwilling to continue
to make provision for residential accommodation at Mary Court. If Servite is
entitled to rely upon its private law rights to terminate the contract, both
Wandsworth and the Applicants are unable to compel a change of heart. Although
Mr. Gordon QC on behalf of the Applicants suggested that there might be a
prospect of keeping Mary Court open if Wandsworth offered more money, a
suggestion to which I shall return later, it is small wonder that the
Applicants attempts to demonstrate that Servite was amenable to judicial review
formed the substantial part of the argument before me. This case raises one
of the most significant issues in public law today. It is an issue which will
continue to raise its head as courts grapple with the problem as to how they
should respond to the increasing contractualisation of Government. The court
must decide whether Servite is performing a public function in providing a
community care service, pursuant to arrangements under Section 26 so that it is
subject to public law standards.
A PROMISE MADE BY A LOCAL AUTHORITY
The starting point of the Applicants' argument is that if the promises had been
given by Wandsworth, then the court would have required Wandsworth to honour
those promises unless the court itself judged that there was an overriding
public interest that the home be closed. The foundation for this argument lies
in the decision of the Court of Appeal in R -v- North & East
Devon Health Authority ex parte Coughlan [1999] 2 CCLR 285. In that
case the applicant and a few others who were severely disabled had been
persuaded to move from a hospital, which the health authority wished to close,
to another purpose built hospital. They were assured that the new hospital
would be their new home for life. After consultation and taking into account
the promise, the health authority decided to close that new hospital. The
Court of Appeal held that the express assurance by the health authority that
the applicant and the others could live at the hospital for as long as they
chose, raised a substantive legitimate expectation. Once that legitimate
expectation had been established, it was for the court to decide whether to
frustrate that expectation was so unfair as to amount to an abuse of power.
Further, it was for the court to weigh the requirements of fairness against any
overriding interest relied upon to justify breaking the promise. The court
identified three possible categories into which the promise relied upon fell.
The assurances fell into the third category:-
"Where the court considers that a lawful promise or practice has induced a
legitimate expectation of a benefit which is substantive, not simply
procedural, authority now establishes that here to the court will, in a proper
case, decide whether to frustrate the expectation is so unfair that to take a
new and different course will amount to an abuse of power. Here, once the
legitimacy of the expectation is established, the court will have the task of
weighing the requirements of fairness against any overriding interest relied
upon for the change of policy." (See paragraph 57, page 307).
The court continued:
"In the case of the third (category), the court has when necessary to
determine whether there is a sufficient overriding interest to justify a
departure from what has been previously promised." (Paragraph 58, page
307).
The court said:-
"The court's task in all these cases is not to impede the executive
activity, but to reconcile its continuing need to initiate or respond to change
with the legitimate interests or expectations of citizens or strangers who have
relied, and have been justified in relying, on a current policy or an extant
promise."
"....The court is there to ensure that the power to make and alter policy
has not been abused by unfairly frustrating legitimate individual expectations.
In such a situation a bare rationality test would constitute the public
authority to judge in its own courts, for a decision to prioritise a policy
change over legitimate expectations will almost always be rational from where
the authority stands, even if objectively it is arbitrary or unfair. It is in
response to this dilemma that two distinct but related approaches have
developed in the modern cases." (Paragraph 65, pages 309 and 310).
The court ruled that the proper approach was to insist upon the
"adjudicative role of the court to ensure fairness of the individual"
(paragraph 70, page 311). The court continued by distinguishing R -v- Home
Secretary ex parte Hargreaves [1997] 1WLR 906 and rejecting the notion that
the decision of the health authority could only be challenged on Wednesbury
grounds. In Hargreaves the sole legitimate expectation of the prisoners
was to be treated in accordance with whatever policy was in force at the time.
In this case, fairness in the statutory context required the health authority
not to resile from their promise unless there was an overriding justification
for doing so. It was for the court to decide whether there was such an
overriding public interest (see paragraph 76, pages 313 to 314). On this point
the court concluded:-
"The fact that the court will only give effect to a legitimate expectation
within the statutory context in which it has arisen should avoid jeopardising
the important principle that the executives policy making powers should not be
trammelled by the courts......policy being (within the law) for the public
authority alone, both it and the reasons for adopting or changing it be
accepted by the courts as part of the factual data - in other words is not
ordinarily open to judicial review. The court's task - and this is not always
understood - is then limited to asking whether the application of the policy to
enable the individual who has been led to expect something different, is a
just exercise of power" (see paragraph 82).
Mr. Gordon Q.C. asserts that the assurances given by Servite must have the same
legal effect against Servite as the assurances given by the health authority
had in ex parte Coughlan.
SERVITE AND WANDSWORTH'S CENTRAL ARGUMENT
Servite submits it is a private body. Its relationship to Wandsworth was
commercial and its relationship to those for whom it provides care services is
purely private. Its powers arise out of its private contract with Wandsworth
and any remedy, if any, available to the Applicants lies only in private law.
Wandsworth echoes those submissions. Wandsworth accepts that it continues to
owe public law obligations to the Applicants. It remains under a duty to
assess the Applicants' needs and to meet such needs determined under the
assessment. Wandsworth has made no decision to withdraw the provision of
residential accommodation from the Applicants and it remains under a duty to
provide such accommodation. But Servite's decision to terminate was made
lawfully under the placement arrangements and involves no breach of any public
law obligation, either on the part of Servite or on the part of Wandsworth.
AGENCY
At the outset I should consider the argument that Servite was the agent of
Wandsworth, discharging functions on behalf of Wandsworth. In my judgment
Servite was not acting as agent of Wandsworth in providing community care
services. Wandsworth had no power to delegate its obligations under Section 21
of the 1948 Act or its duty to meet assessed needs under Section 47 of the
N.H.S.C.C. Act 1990. Wandsworth could not lawfully arrange the discharge of its
function by another person save by means of arrangements made under Section 101
of the Local Government Act 1972 or by virtue of an order made under Section 70
of the Deregulation and Contracting Out Act 1994. In Credit Suisse -v-
Allerdale Borough Council 1997 QB 306, Hobhouse L.J. said:
"If (Section 101(1) of The Local Government Act 1972) authorises the local
authority to arrange for the discharge of any of its functions by a committee,
sub-committee or an officer of the Authority or by any other authority. Save
for immaterial exceptions this de-limits how a local authority may discharge
its functions. Any delegation beyond those prescribed limits is unlawful".
(359E-F).
Mr. Gordon Q.C. on behalf of the Applicants sought to argue that Section 26 of
the 1948 Act had the effect of authorising a local authority to delegate its
obligation under Section 21 to provide residential accommodation to those in
need. He drew attention to what he described as an analogous provision in
Section 30(1) of the 1948 Act which provides:-
"A local authority may, in accordance with arrangements made under Section
29 of this Act, employ as their agent for the purposes of that section, any
voluntary organisation or any person carrying on.....activities which consist
of or includes the provision of services for any of the persons to whom Section
29 above applies".
Section 29 refers to welfare arrangements for those under particular
disabilities.
The existence of Section 30 seems to me to demonstrate the distinction to be
drawn between arrangements made under Section 26 and the employment of certain
private persons as agents. Section 26 does not provide that a local authority
continues to discharge its duty through those with whom is makes arrangements.
On the contrary, once it has made arrangements for the provision of residential
accommodation with a voluntary organisation or other person, it has discharged
its obligation under Section 21. As Lord Hoffman said in ex parte
Beckwith (q.v. supra):-
"Any arrangements which fall within the extended definition will satisfy the
Council's duty."
THE BASIS FOR REVIEW: STATUTE OR FUNCTION
The Applicants contend that the provision of community care by a private person
in pursuance of arrangements which discharge a public authority's public law
obligations is sufficient to impose public law obligations upon the private
service provider. In order to establish that contention the applicants assert
they have no need to rely upon any statutory underpinning. But Mr. Gordon Q.C.
contends that in any event, he can establish on their behalf that there is a
sufficient statutory underpinning or, as he put it, more graphically, that
Servite and Wandsworth are locked together in a statutory embrace.
In considering the susceptibility of a body to the imposition of public law
standards, the court is concerned to decide where a case lies in the spectrum
between, at one end, a body whose source of power is statutory and, at the
other end, a body whose source of power is contractual. Thus, both ends of
the spectrum require the courts to determine the issue of amenability by
reference to the source of power, statutory on the one hand and contractual on
the other. Between those two extremes lie many cases where the source of power
test no longer provides an answer to the question of amenability. In cases
where the source of power is statutory, the constitutional justification for
judicial intervention is the ultra vires doctrine (see Lord Steyn in "The
Constitutionalisation of Public Law" (May 1999) at page 6). But, as Lord Steyn
points out:-
"The ultra vires principle cannot be the explanation of the judicial review
of non statutory powers. The importance of R v Panel on Take-overs and Mergers
ex parte Datafin Plc (1987) QB 815 is that it represents a change from a
"source of power" test for amenability to a test depending upon the nature of
the function of the body, the exercise of whose powers the court will
judicially review".
Datafin concerned the exercise of a de facto monopoly power by a
self-regulatory body. The court was prepared to intervene, not by reference to
the source of this power, but rather because of the nature of its function.
Sir John Donaldson M.R. said of the Take-over Panel:-
"It has no statutory, prerogative or common law powers and it is not in
contractual relationship with the financial market or with those who deal in
that market" (825C).
The argument in that case had centred upon whether the court's jurisdiction was
limited to bodies whose power was derived from statute or the exercise of the
prerogative. The Applicants succeeded because, as they submitted:-
"This is too narrow a view and that regard has to be had not only to the
source of the bodies power, but also to whether it operates as an integral part
of a system which has a public law character, is supported by public law in
that public law sanctions are applied if its edicts are ignored and performs
what might be described as public law functions." (836C).
Sir John Donaldson referred to the judgment of Lord Parker C.J. in R -v-
Criminal Injuries Compensation Board ex party Lain [1967] 2 QB 864 at 882
when he said:-
"The only constant limits (to the remedy of certiorari) throughout were that
it was performing a public duty" (836E)"
He concluded:-
"In all the reports it is possible to find enumerations of factors giving
rise to the jurisdiction, but it is a fatal error to regard the presence of all
those factors as essential or as being exclusive of other factors. Possibly
the only essential elements are what can be described as a public element,
which can take many different forms, and the exclusion from the jurisdiction of
the bodies whose sole source of power is a consensual submission to its
jurisdiction."
(838E-F).
Lloyd L.J. concluded:-
"I do not agree that the source of the power is the sole test whether a body
is subject to judicial review, .....of course the source of the power will
often, perhaps usually be decisive. If the source of power is a statute, or
subordinate legislation under a statute, the clearly the body in question will
be subject to judicial review. If, at the other end of the scale, the source
of power is contractual, as in the case of private arbitration, then clearly
the arbitrator is not subject to judicial review: see R v
National Joint Council for the Craft of Dental Technicians Ex parte Neate
[1953] 1 QB 704
But in between these extremes, there is an area in which it is helpful to
look not just at the source of the power, but at the nature of the power. If
the body in question is exercising public law functions, or if the exercise of
its functions have public law consequences, then that may.....be sufficient to
bring the body within the reach of judicial review. It may be said that to
refer to "public law" in this context is to beg the question. But I do not
think it does. The essential distinction, which runs through all the cases to
which we referred, it between a domestic or private tribunal on the one hand
and a body of persons who are under some public duty on the other."
(847A-D).
He later repeated that it was not just the source of power that matters, but
also the nature of the duty (848H).
Thus, Datafin is authority for the proposition that a body which
performs a public duty is amenable to judicial review. This, however, exposes
the difficulty, present in this and many other cases, in identifying whether a
body is forming a public duty. The ability of the courts to grapple with
problems derived from the increasing privatisation of governmental functions,
has, as it seems to many, been inhibited by the court's approach to identifying
a public function following Datafin. As Murray Hunt has pointed out in
his Chapter entitled "Constitutionalism and the contractualisation of
Government in the United Kingdom" (Chapter 2 - The Province of Administrative
Law edited by Michael Taggart 1997), the courts continue to rely upon
references to a statutory source or statutory support in order to justify
intervention and secondly, continue to rely on the fact that a particular power
has a contractual source to justify a refusal to intervene (see page 30).
The historic reliance by the courts upon the ultra vires doctrine as the
justification for judicial intervention has led to a continuing search for
statutory underpinning. It has also led courts to pose the question whether, if
the organisation did not exist, or in terms of the instant case, the services
were not provided by the private body, the State would have had to intervene,
either to create such a body or to provide such services.
The application of this test can be found in R -v- Advertising Standards
Authority ex parte the Insurance Service Plc [1990] 2 Admin L.R. 77 in
which it was held that the authority was exercising a public law function
because if it did not exist, its function would be exercised by the Director
General of Fair Trading. (See page 86). In R -v- Chief Rabbi of the United
Hebrew Congregations of Great Britain and the Commonwealth ex parte Wachman
[1993] 2 All E.R. 249), Simon Brown J. observed that cases where
non-governmental bodies were held to be reviewable were those in which it could
be said:-
"Were there no self regulatory body in existence, Parliament would almost
inevitably intervene to control the activity in question."
The application of the test led to the decision that the Football Association
was not amenable to review; there was no sign of any statutory underpinning,
nor could it be said that if it did not exist, the State would intervene. R
-v- Football Association Ltd ex parte Football League Ltd. [1993] 2 All E.R.
833.
The test has been heavily criticised. (See Mr. Pannick Q.C. 1992 Public Law
5-6, Lord Steyn in the article to which I have referred to above and Mr. Murray
Hunt at page 32).
In the instant case, the test provides no assistance whatever. Although Mr.
Gordon Q.C. contended that it was satisfied in the because if Servite did not
provide the services, Wandsworth would have to make other arrangements, that
advances the case of the Applicants no further. Wandsworth remained under a
duty to provide arrangements for residential accommodation once Servite
terminated the placement arrangements made with Wandsworth. But the
arrangements which Wandsworth were empowered to make in discharge of its duty
continued to be arrangements which could be made with a private person pursuant
to Section 26 of the 1948 Act. There is no warrant for the assumption that
Wandsworth would itself have to provide residential accommodation; for the
future they may make arrangements for another private person or voluntary
organisation to make the provision. Thus what was called the "but for"
test can have no application in a case such as this.
THE BASIS FOR DECLINING JURISDICTION : CONTRACTUAL POWERS
Datafin also preserved the principle that if the source of a power lies
only in contract, the court has no public law jurisdiction (see the passages
already cited at 838F and 847B). R -v- Disciplinary Committee of the Jockey
Club ex parte Aga Khan [1993] 1 WLR 909 demonstrates that principle.
The Jockey Club's functions were not public because they derived purely
from the contractual relationship between the club and those who agreed to be
bound by the rules of racing. Thus even if, as Sir Thomas Bingham M.R.
suggested (at page 923G), the government would have created a public body to
exercise the Jockey Club's functions if the Jockey Club were not to do so,
nevertheless, its functions were not governmental because its powers derive
only from agreement between the parties (see 924C). Hoffman L.J. said:-
"....ex parte Datafin....shows that the absence of a formal public
source of power, such as statute or prerogative, is not conclusive.
Governmental power may be exercised de facto as well as de jure.......what one
has here is a privatisation of the business of government itself." (Page
931 D and H)
Later he said, in a passage of particular resonance in this case:-
"All this leaves is the fact that The Jockey Club has power. But the mere
fact of power, even over a substantial area of economic activity, is not
enough. In a mixed economy, power may be private as well as public. Private
power may affect the public interest and the livelihoods of many individuals.
But that does not subject it to the rules of law. If control is needed, it
must be found in the law of contract, the doctrine of restraint of trade....and
to the other instruments available in law for curbing the excesses of private
power.
It may be that in some cases the remedies available in private law are
inadequate.....I do not think that one should try and patch up the remedies
available against domestic bodies by pretending that they are organs of
government." (Page 932-933).
Thus the Jockey Club was not amenable to judicial review because the source of
its powers were purely contractual.
STATUTORY UNDERPINNING
However, both Sir Thomas Bingham M.R. and Hoffman L.J. referred additionally to
the feature that The Jockey Club's functions were not integrated into a system
of statutory regulation. Sir Thomas Bingham M.R. said:-
"It has not been woven into any system of governmental control of
horseracing, perhaps because it is itself controlled horseracing so
successfully that there has been no need for any such governmental system and
such does not therefore exist. This has the result that while the Jockey
Club's powers may be described as, in many ways, public, they are in no sense
governmental." (See Page 923H and Hoffman L.J. at 931H-932A).
This reference to the integration of a private body into a system of statutory
regulation has proved a fruitful basis for the extension of the court's
jurisdiction over private bodies. In
R -v- Code of Practice Committee of the Association of the British
Pharmaceutical Industry ex parte Professional Counselling Aids Ltd. [1991] COD
228, the court held that the Committee, a voluntary self-regulating body,
was part of the Department of Health and Social Security's public control of
advertising.
The distinction between a private body whose functions are woven into a system
of statutory regulation and private functions can most clearly be seen in the
distinction the court has drawn in exercising jurisdiction over the provision
of education. In R -v- Governors of Haberdashers Aske's Hatcham College
Trust ex parte T [1995] ELR 350, Dyson J. ruled that a city technology
college was amenable to the jurisdiction of the court. The college was set up
pursuant to the exercise of the Secretary of State's power under Section 105(1)
of The Education & Reform Act 1988. Moreover, the provision of education
by such colleges was the subject of detailed regulations made by statutory
instrument. Their existence and the manner in which they provided education
derived from the exercise of statutory power. The decision in that case
concerned a refusal to admit a pupil. Dyson J. drew the contrast between CTCs
and private schools where the source of power is not statute but consensual and
the decisions were not made in the exercise of any public law duty or function
(see page 357F). He pointed out that the mere fact that the Education Act 1944
provided machinery for complaints in relation to independent schools and
conferred power upon the Secretary of State to strike such schools off the
register, was insufficient to render private schools susceptible to judicial
review (see Brooke J. in R -v- Fernhill Manor School ex parte A [1993] FLR
623 cited at 360-361). It must be pointed out that Haberdasher Aske's owed
its existence to the exercise of a statutory power. But Dyson J. subsequently
made clear that that was not an essential factor for the exercise of judicial
control.
It is important to appreciate that a private body may be amenable to judicial
review in respect of some, but by no means all, of its functions. R -v-
Cobham Hall School ex parte S [1998] ELR 389 is an example of the
jurisdiction of the court being exercised in relation to only some of the
functions of a private body. Cobham Hall School was a private independent
school. But it provided assisted places pursuant to the statutory assisted
place scheme governed by Sections 479-481 of The Education Act 1996 and The
Education (Assisted Places) Regulations 1995 (see pages 394-395). Dyson J.
said:-
"Mr. Clark accepts that in most contexts, the private independent schools
such as Cobham Hall School would properly be said not to be exercising a public
law function: see R v Fernhill Manor School ex parte A....in the
particular context of the administration of the assisted places scheme,
however, the school is exercising a public law function and is, therefore,
amenable to judicial review. In selecting pupils for assisted places and in
purporting to reallocate an assisted place, the school is exercising a public
function, with the statutory underpinning of the Act and the regulation. In
selecting a pupil for an assisted place, a participating school is exercising
the public function of distributing state funding for education."
Dyson J. continued by citing with approval a significant passage at para 3-031
in de Smith Judicial Review of Administrative Action:
"Conversely not all the activities of private bodies (such as
private companies) are subject only to private law. For example, the
activities of a private body (such as a recently privatised company) may be
governed by the standards of public law when its decisions are subject to
duties conferred by statute or when, by virtue of the function it is
performing, or possibly its dominant position in the market, it is under an
implied duty to act in the public interest. A private company selected to run
a prison, for example, although motivated by considerations of commercial
profit, should be regarded, at least in relation to some of its activities, as
subject to public law because of the nature of the function it is performing.
This is because the prisoners, for whose custody and care it is responsible,
are in the prison in consequence of an order of the court, and the purpose and
nature of their detention is a matter of public concern and interest."
(397-398A-C).
Dyson J. regarded as key factors the following points:-
"(i) Parliament has empowered the Secretary of State to fund free education
in independent schools;
(ii) Parliament has provided the means by which this is to be done, namely
by the Secretary of State entering into participation agreements with
independent schools;
(iii) The Act and the Regulations define the criteria for the admission of
pupils to the scheme;
(iv) The Act and the Regulations together with the terms of participation
agreements give the Secretary of State the power to control important aspects
of the running of schools generally...." (398C-E).
That statutory underpinning and penetration formed the basis of the court's
jurisdiction in Cobham Hall is confirmed by the decision of Richards J.
to decline jurisdiction in R -v- Muntham House School ex parte R (29 October
1999 unreported). Although a non-maintained residential special school was
subject to a strict regime of statutory control which involved conditions for
approval of a large number of matters concerning the manner in which the school
was run, Richards J. formed the view that that general regime of statutory
control was no different in principle from the registration regime applicable
to all independent schools (see page 8). He contrasted that regime with the
regime in Cobham School where:-
"In relation to assisted places, Parliament had made express provision for
the funding of free education in independent schools by the means of
participation agreements between the Secretary of State and the schools. Not
only was the Secretary of State given extensive powers of control, but the
legislative provisions define the criteria for admission of pupils to the
scheme and limited power of withdrawal of such places. That last point, which
was the basis of the decision that the school had acted ultra vires in
purporting to withdraw a place, reveals the true extent of the statutory
underpinning or penetration. There is nothing equivalent in the present case.
There are no regulations governing the admission or exclusion of pupils. The
source of the power to admit or exclude is the school's trust deed. When a
Local Education Authority places a child in a non maintained special school,
pursuant to a statement of special education needs or an order of the Tribunal,
it enters into a purely contractual relationship with the school."
Thus, while Cobham demonstrates that it is not necessary to establish
that the body owes its existence to the exercise of a statutory power, that
case and Muntham House School are authorities for the proposition that a
general regime of statutory control over the manner in which a service is
provided, will not be sufficient to provide a basis for the court's
intervention. Both Dyson J. and Richards J. sought to identify a statutory
source for the provision of the service. Statutory underpinning or penetration
meant more than statutory control over the manner of provision, it required
statutory control over the circumstances in which the services were provided or
withdrawn.
If I am to follow the principles established by the education cases to which I
have referred, I must be able to identify sufficient statutory penetration
which goes beyond the statutory regulation of the manner in which the service
is provided. It seems to me that the resolution of the question as to whether
there is sufficient statutory penetration turns on the effect of Section 26 of
The 1948 Act. Does Section 26 enmesh provision of residential accommodation by
Servite into a statutory system of community care for those in need of such
accommodation? Servite and Wandsworth argue that Section 26 has precisely the
contrary effect. It empowers a local authority to make arrangements which
divorce a private service provider from the public law obligations to which the
local authority is subject when making arrangements under that section. It has
the effect, in short, of disentangling Servite from any statutory embrace with
Wandsworth. Section 26 has the effect of permitting a local authority to
discharge its public duty by entering into a private arrangements, Section 26
was introduced for the purpose of creating what Miss Laing on behalf of
Wandsworth described as a `mixed economy' provision of community care services.
Section 26 has the consequence that both the public and private sector provide
such services. It follows that not only is the relationship between Servite
and Wandsworth governed solely by the terms of the contract between them, but
the relationship between Servite and the Applicants is solely a matter of
private law. Servite, so it is argued, provides accommodation as a matter of
private law and that accommodation is paid for by Wandsworth at the rates for
which the arrangements provide (see Section 26(ii) of the 1948 Act). In short,
the provision of residential accommodation is taken outside the scope of the
public function by virtue of Section 26.
In my judgment, Wandsworth and Servite are correct. The Applicants cannot rely
upon Section 26 as the foundation for submitting that Servite's function is a
public function. In most, if not all cases of "privatisation", legislation is
necessary to enable that which had hitherto been provided by government or
local authority to be provided by the private sector. It does not seem to me
that reliance can be placed upon the very legislation which enables
privatisation to take place. It is likely that when the powers of local
authorities to make private arrangements pursuant to Section 26 were introduced
in 1993, no-one gave thought to the question of whether the private service
provider was to be subject to public law standards. Certainly I have had no
evidence of any announcement to that effect. Moreover those in receipt of such
services by a private body have no choice in the matter. A local authority is
perfectly entitled to make arrangements for residential needs to be met
by a private body. The role of Section 26 is limited to ensuring that such
arrangements are made and that they are satisfactory. Its effect is to permit
community care to be provided by a person for profit whereas previously, it
could only be provided by a local authority. Accordingly, I conclude that the
Applicants cannot rely upon the very legislation which permits privatisation as
a basis for contending that Servite's function is a public function, the
exercise of which is to be controlled by public law standards.
Servite is a private body which does not owe its existence to Section 26. Its
power to enter into a contract with Wandsworth does not depend upon Section 26,
but upon its own private rules. Wandsworth's power to enter into
contractual arrangements with Servite does depend upon Section 26. But that
feature highlights the distinction between the instant case and the case of
Cobham Hall School. Cobham Hall School was susceptible to judicial review
because its power to admit or remove under the assisted places scheme derived
from statute. Legislation added to the public function of admission to an
assisted place otherwise to the school's private function. By way of contrast
in the instant case, Section 26 has nothing to say as to the provision by
Servite of residential accommodation. It merely permits Wandsworth to make an
arrangement for such provision. In my judgment that is a crucial distinction.
It is the distinction between legislation which adds a public function to the
private functions of a private body and legislation which permits a public law
duty to be discharged by entry into private law arrangements. It does not seem
to me that the Applicants can successfully contend that because
legislation permits a public authority to enter into arrangements with a
private body, the functions of the private body are, by dint of that
legislation, to be regarded as public functions. I conclude that the
Applicants cannot rely upon Section 26 as establishing a sufficient statutory
underpinning of Servite's functions to enable their functions to be identified
as "public functions".
CAN SERVITE'S FUNCTIONS BE REGARDED AS PUBLIC ABSENT ANY STATUTORY
UNDERPINNING?
The Applicants' alternative contention is that the identification of Servite's
public function does not depend upon any statutory underpinning. Mr. Gordon
Q.C.'s core submission is that the provider of health and community care
services to those in need is "the very essence of the business of
government".
In support of that submission he relies upon the passage I have already cited
from De Smith at paragraph 3-031. The running of prisons by a private company
is merely one example of a function which is public because of its very nature
and because it is "a matter of public concern and interest".
Further support for that proposition can be found in Lord Steyn's quest for the
correct constitutional basis for judicial intervention in his paper "the
Constitutionalisation of Public Law" (May 1999). In that article, he describes
part of Murray Hunt's Chapter in the Province of Administrative Law as:
"The true basis of the court's jurisdiction over the exercise of non
statutory powers" (Page 8).
Murray Hunt commented upon the failure of the courts to respond to increasing
privatisation by government. He argues for a test which no longer seeks to
identify the source of a body's power:-
"The test for whether a body is "public", and therefore whether
administrative law principles presumptively apply to its decision making,
should not depend on the fictional attribution of derivative status to the
body's powers. The relative factors should include the nature of the interests
affected by the body's decisions, the seriousness of the impact of those
decisions on those interests, whether the affected interests have any real
choice but to submit to the body's jurisdiction, and the nature of the context
in which the body operates. Parliament's non involvement or would-be
involvement, or whether the body is woven into a network of regulation with
state underpinning, ought not to be relevant to answering these questions. The
very existence of institutional power capable of effecting rights and interests
should itself be a sufficient reason for subjecting exercises of that power to
the supervisory jurisdiction of the High Court, regardless of its actual or
would-be source." (See page 32-33).
Lord Steyn comments:-
"In an era when government policy is to privatise public services, to
contract out activities formally carried out directly by public bodies and to
put its faith in self regulation, it is essential that the courts should apply
a functional test of reviewability."
(See page 8).
If this court is to follow that approach, there is no need for any reliance
upon Section 26. Two features present in the instant case will provide a
sufficient basis for the intervention of the court. Since the case has
proceeded on the basis that there is no contractual relationship between
Servite and the Applicants, absent the imposition of public law standards, they
are without remedy. They had no choice as to whether to enter an establishment
provided by Wandsworth or by a private body, since Wandsworth makes no such
provision itself; all such residential accommodation is provided privately. If
Wandsworth is correct, they are compelled, without any choice, to subject
themselves to private law arrangements which permit Servite to terminate those
arrangements without any consultation or any knowledge of the details of those
arrangements. The situation in which they find themselves is underlined by the
fact that they would not be in receipt of such services if accommodation was
otherwise available to them (see Section 21(1)(a) of the 1948 Act). But I bear
in mind Simon Brown J's explanation in ex parte Wachman of what was
meant by "public law consequences". Such consequences mean:-
"Something more than their decisions which may be of great interest or
concern to the public or....which may have consequences with the public."
(page 254),