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England and Wales High Court (Technology and Construction Court) Decisions


You are here: BAILII >> Databases >> England and Wales High Court (Technology and Construction Court) Decisions >> Oxford University Fixed Assets Ltd v. Architects Design Partnership (a firm), Tarmac Construction (Contracts) Ltd (formerly Wimpey COnstruction Ltd) [1999] EWHC Technology 271 (13th January, 1999)
URL: http://www.bailii.org/ew/cases/EWHC/TCC/1999/271.html
Cite as: [1999] EWHC Technology 271

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Oxford University Fixed Assets Ltd v. Architects Design Partnership (a firm), Tarmac Construction (Contracts) Ltd (formerly Wimpey COnstruction Ltd) [1999] EWHC Technology 271 (13th January, 1999)

IN THE HIGH COURT OF JUSTICE

TECHNOLOGY AND CONSTRUCTION COURT

Before: HIS HONOUR JUDGE HUMPHREY LLOYD QC

 

B E T W E E N :

OXFORD UNIVERSITY FIXED ASSETS LIMITED

Plaintiff

- and -

ARCHITECTS DESIGN PARTNERSHIP (a firm)

Defendant

- and -

TARMAC CONSTRUCTION (CONTRACTS) LIMITED

(formerly WIMPEY CONSTRUCTION LIMITED)

Third Party

 

Case Number: 1998 ORB 62

Date of Judgment: 13 January 1999

 

The plaintiff made a contract in 1989 with the third party incorporating the conditions of the 1980 edition of the JCT Standard Form of Building Contract with Quantities for the construction of a building in Mansfield Road, Oxford to house the Department of Pharmacology and the Anatomical Neurapharmacology Unit, the Contract Sum being £8,881,936. The architect named in the contract was the defendant. Defects were found and instructions were given to put them right. A Final Certificate was issued by the defendant under clause 30.9.1 of the JCT Conditions which constituted conclusive evidence that the work was in accordance with the contract. The plaintiff maintained that the defects had not been eradicated and sued the defendant for breach of contract. The defendant denied liability but claimed that the third party was liable to the plaintiff and under the Civil Liability (Contribution) Act 1978 was liable to make a contribution to any damage for which the defendant might be held liable. The third party defended the claim on the grounds, amongst others, that it was not in law liable under the Act as the issue of the Final Certificate prevented it being held liable to pay the plaintiff any damages. On the trial on certain preliminary issues as to whether the third party was right in this defence it was held that the third party could have no liability to the plaintiff and that it could not be liable to the defendant as claimed. The reasons appear from the judgment. The third party proceedings were dismissed with costs. Leave to appeal was granted.

 

Bruce Mauleverer QC appeared for the defendant, instructed by Squire & Co.
Marcus Taverner appeared for the third party, instructed by Trowers & Hamlins.

The text of the judgment approved by His Honour Judge Humphrey LLoyd QC is as follows:

JUDGMENT

1. On 13 November 1998, I ordered that there should be a preliminary issue on certain questions of law raised by the defence of the third party (which I shall call Wimpey even though the company has now changed its name to Tarmac Construction (Contracts) Limited). The central point of law is both interesting and of potential general importance. It concerns the availability of the right of contribution from a contractor who has had the benefit of a Final Certificate issued under clause 30.9 of the 1980 edition of the JCT Standard Form of Building Contract. I first set out some of the background facts, as they are found in the pleadings, before turning to the issue and to the arguments.

2. The plaintiff, OUFA, entered into a contract with Wimpey dated 30 November 1989 for the construction of a building in Mansfield Road, Oxford to house the Department of Pharmacology and the Anatomical Neurapharmacology Unit, the Contract Sum being £8,881,936. The architect named in the contract was the first defendant, Architects Design Partnership (the Architects). The contract incorporated the Standard Form of Building Contract 1980 Edition, incorporating Amendments 1, 2, 4 and 5 (ie revised up until 1988), Private With Quantities. Clause 30 contained the following provisions:

30.9.1 Except as provided in clauses 30.9.2 and 30.9.3 (and save in respect of fraud), the Final Certificate shall have effect in any proceedings arising out of or in connection with this Contract (whether by arbitration under article 5 or otherwise) as

.1 .1 conclusive evidence that where and to the extent that the quality of materials or the standard of workmanship are to be to the reasonable satisfaction of the Architect the same are to such satisfaction, and

.1 .2 conclusive evidence that any necessary effect has been given to all the terms of this Contract which require that an amount is to be added to or deducted from the Contract Sum or an adjustment is to be made of the Contract Sum save where there had been any accidental inclusion or exclusion of any work, materials, good or figure in an computation or any arithmetical error in any computation, in which event the Final Certificate shall have effect as conclusive evidence as to all other computations, and

.1 .3 conclusive evidence that all and only such extensions of time, if any, as are due under clause 25 have been given, and

.1 .4 conclusive evidence that the reimbursement of direct loss and/or expense, if any, to the Contractor pursuant to clause 26.1 is in Final settlement of all and any claims which the Contractor has or may have arising out of and the occurrence of any of the matters referred to in clause 26.2 whether such claim be for breach of contract, duty of care, statutory duty or otherwise.

30.9 .2 If any arbitration or other proceedings have been commenced by either party before the Final Certificate has been issued the Final Certificate shall have effect as conclusive evidence as provided in clause 30.9.1 after either:

.2 .1 such proceedings have been concluded, whereupon the Final Certificate shall be subject to the terms of any award or judgment in or settlement of such proceedings, or

.2 .2 a period of 12 months during which neither party has taken any further step in such proceedings, whereupon the Final Certificate shall be subject to any terms agreed in partial settlement.

whichever shall be the earlier.

30.9 .3 If any arbitration or other proceedings have been commenced by either party within 28 days after the Final Certificate has been issued, the Final Certificate shall have effect as conclusive evidence as provided in clause 30.9.1 save only in respect of all matters to which those proceedings relate.

30.10 Save as aforesaid no certificate of the Architect shall of itself be conclusive evidence that any works, materials or goods to which it relates are in accordance with this Contract.

3. Partition walls of blockwork were constructed during 1990. OUFA allege that they were abnormally and unacceptably wet or were not protected from weather and kept dry so that when they dried out widespread cracking was caused, particularly to the plasterwork which had been applied to the blockwork. On 29 July 1991 the Architects certified that practical completion of the works had been achieved. On 16 August 1992 the Architects sent Wimpey lists of defects in the works which had to be made good before the Defects Liability Period ended. The list included cracking to the plaster. Wimpey carried out remedial work to repair the plaster cracking but evidently unsuccessfully for by 21 December 1992 the Architects issued a further list of defects which required attention. OUFA brought further areas of cracking to the Architects' attention about a year later in November 1993. Further remedial work was done by Wimpey in early 1994. On 7 June 1994 the Architects issued a certificate of the completion of making good defects. They followed up that certificate by issuing a Final Certificate under clause 30.9 of the building contract on 18 July 1994. It was in standard form: it certified the adjusted contract sum of £9,613,813.29 and the amount previously certified for payment and expressed the difference as a sum payable by OUFA to Wimpey.

4. OUFA issued the writ in these proceedings on 25 July 1997 claiming damages for negligence and breach of contractual duty of care owed by the architect to the plaintiff. (OUFA also joined another defendant but that claim has been withdrawn.) The grounds relied on by OUFA are set out in paragraph 27 of the amended statement of claim: failure to inspect the blockwork to see that it was not wet; failure to require Wimpey to rectify the blockwork; negligently certifying practical completion; failing to see that the remedial works were properly executed; failing to investigate the causes of the cracking; negligently issuing the certificates of making good defects and the Final Certificate; and failing to recommend enforcement of the contract. The damages claimed by OUFA are primarily the cost of rectifying the problem after the Final Certificate so its issue is the culmination of the complaints. But for its issue OUFA could have held Wimpey liable so in reality the claim against the Architects also boils down to one for loss of that opportunity.

5. The Architects denied liability and furthermore issued a third party notice against Wimpey in which they claimed that Wimpey was liable to OUFA as the defects in the building (which also included other defects to which I have not referred) arose out of breaches of clauses 2.1, 4.1 or 8.1 of the JCT Conditions (or of implied terms) and accordingly the Architects sought contribution and an indemnity pursuant to the Civil Liability (Contribution) Act 1978. The relevant sections of that Act are as follows:

1. "1 Entitlement to contribution

2. (1) Subject to the following provisions of this section, any person liable in respect of any damage suffered by another person may recover contribution from any other person liable in respect of the same damage (whether jointly with him or otherwise).

3. (2) A person shall be entitled to recover contribution by virtue of subsection (1) above notwithstanding that he has ceased to be liable in respect of the damage in question since the time when the damage occurred, provided that he was so liable immediately before he made or was ordered or agreed to make the payment in respect of which the contribution is sought.

4. (3) A person shall be liable to make contribution by virtue of subsection (1) above notwithstanding that he has ceased to be liable in respect of the damage in question since the time when the damage occurred, unless he ceased to be liable by virtue of the expiry of a period of limitation or prescription which extinguished the right on which the claim against him in respect of the damage was based.

5. (4) A person who has made or agreed to make any payment in bona fide settlement or compromise of any claim made against him in respect of any damage (including a payment into court which has been accepted) shall be entitled to recover contribution in accordance with this section without regard to whether or not he himself is or ever was liable in respect of the damage, provided, however, that he would have been liable assuming that the factual basis of the claim against him could be established.

6. (5) A judgment given in any action brought in any part of United Kingdom by or on behalf of the person who suffered the damage in question against any person from whom contribution is sought under this section shall be conclusive in the proceedings for contribution as to any issue determined by that judgment in favour of the person from whom the contribution is sought.

7. (6) Reference in this section to a person's liability in respect of any damage are references to any such liability which has been or could be established in an action brought against him in England and Wales by or on behalf of the person who suffered the damage; but it is immaterial whether any issue arising in any such action was or would be determined (in accordance with the rules of private international law) by reference to the law of a country outside England and Wales.

8. 2 Assessment of contribution

9. (1) Subject to subsection (3) below, in any proceedings for contribution under section 1 above the amount of the contribution recoverable from any person shall be such as may be found by the court to be just and equitable having regard to the extent of that person's responsibility for the damage in question.

10. (2) Subject to subsection (3) below, the court shall have power in any such proceedings to exempt any person from liability to make contribution, or to direct that the contribution to be recovered from any person shall amount to a complete indemnity.

11. (3) Where the amount of the damages which have or might have been awarded in respect of the damage in question in any action brought in England and Wales by or on behalf of the person who suffered it against the person from whom the contribution is sought was or would have been subject to -

12. (a) any limit imposed by or owner any enactment or by any agreement made before the damage occurred;

(b) any reduction by virtue of section 1 of the Law Reform (Contributory Negligence) Act 1945 or section 5 of the Fatal Accidents Act 1976; or

13. (c) any corresponding limit or reduction under the law of a country outside England and Wales;

14. the person from whom the contribution is sought shall not by virtue of any contribution awarded under section 1 above be required to pay in respect of the damage a greater amount that the amount of those damages as so limited or reduced."

15. In addition section 6(1) of the Act states:

16. "A person is liable in respect of any damages for the purposes of this Act if the person who suffered it ... is entitled to recover compensation from him in respect of that damage (whatever the legal basis of his liability, whether tort, breach of contract, breach of trust or otherwise)."

17. Section 7(3) of the Act states:

18. "The right to recover contribution in accordance with section 1 above supersedes any right, other than an expressed contractual right, to recover contribution (as distinct from indemnity) otherwise than under this Act in corresponding circumstances; but nothing in this Act shall affect -

19. (a) any express or implied contractual or other right to indemnity; or

20. (b) any express contractual provision regulating or excluding contribution;

21. which would be enforceable apart from this Act (or render enforceable any agreement for indemnity or contribution which would not be enforceable apart from this Act)."

 

6. The issue or issues which are to be decided stem from paragraphs 10 to 13 of the defence of Wimpey to the third party notice:

22. "10. In the premises and in any event the Final Certificate is conclusive evidence that the quality of materials or the standard of workmanship were at all times and are to the reasonable satisfaction of the Architect and the Third Party claim thereby fails.

23. 11. Further, and in the alternative, the damage for which the First Defendant claims to be entitled to be indemnified by the Third Party or to a contribution from the Third Party did not occur until after the Final Certificate was issued and the Third Party is therefore not liable under the provisions of the Civil Liability (Contribution) Act 1978.

24. 12. Furthermore, and in any event upon the Plaintiff and the Third Party entering into the Building Contract they provided for the issuance of the Final Certificate therefore the Third Party did not cease to be liable within the provisions of the Civil Liability (Contribution) Act 1978.

25. 13. Furthermore, and in the alternative, the First Defendant is estopped from relying upon the Civil Liability (Contribution) Act 1978 as the First Defendant issued the said Final Certificate."

7. The issues agreed between the parties were therefore as follows:

26. "On the following facts and/or assumption, namely that

27. (1) the Plaintiff ("OUFA") entered into a Building Contract with the Third Party. ("Wimpey") on or about 30th November 1989 for the construction by Wimpey of the Pharmacology Building;

28. (2) the Building Contract, which was based upon the JCT 1980 Standard Form with Quantities Edition, contained the terms as are set out

29. (a) at paragraphs 9 and 10 of the Amended Statement of Claim.

30. (b) at paragraph 2(ii) of the Third Party Notice.

31. (c) at paragraph 2 (ii) of the Defence of the Third Party;

32. the Building Contract and relevant parts of the specification are appended hereto at A;

33. (3) Wimpey carried out works under the contract; on 29th July 1991, the Defendants ("the Architects") certified that Practical Completion thereof had been achieved by Wimpey on 26th July 1991; the certificate (and the certificates at recital 6) are appended hereto marked B;

34. (4) on the 7th June 1994, the Architects issued a certificate of completion of making good defects, and on 18th July 1994, the Architects issued the Final Certificate under clause 30.9 of the Building Contract;

35. (5) on 25th July 1997, OUFA commenced proceeding against the Architects alleging professional negligence in respect of the defective works; the Architects have commenced contribution proceedings against Wimpey seeking an indemnity or contribution in respect of the claim by OUFA;

36. (6) the basis upon which the Architects seek an indemnity or contribution from Wimpey is pleaded in paragraphs 4 and 5 of the Third Party Notice:

37. upon the true construction of clause 30.9.1 of the Building Contract, does the Final Certificate have effect as conclusive evidence and thus afford Wimpey a defence in contribution proceedings brought by the Architects:

38. (A) as contended in paragraphs 10, 11 and 12 of the Defence of the Third Party?

39. (B) by way of an estoppel solely based upon the facts and matters pleaded in paragraph 13 of the Defence of the Third Party?

40. I should make it clear that in answering issue (A) I have assumed that the defects in the block-work constitute damage which occurred prior to the issue of the Final Certificate. Paragraph 11 of Wimpey's defence would require an inquiry into the facts. I accept Mr Mauleverer's submission that it would not be desirable to do so. At the time when the preliminary issues were ordered I thought that it might have been possible to have made an assumption as to paragraph 11 so as to provide some guidance. Similarly the issue as to estoppel is not to be decided on this occasion.

8. In the present situation the commercial interests of a contractor and an architect appointed under the JCT form are diametrically opposed. A contractor in the position of Wimpey has entered into a form of contract incorporating model standard conditions which have been unanimously approved by bodies representing all sectors of the building industry, including the RIBA for architects and the former BEC for contractors. The conditions envisage that within a specific period from practical completion of the works finality should be achieved both as regards the final account and also as to the contractor's liability for the extent and quality of the work, material and services which it undertook to provide. On the issue of the Final Certificate the parties to the contract know where they stand and each has the same opportunity to challenge the finality of the certificate as to any matter in respect of which it is conclusive evidence within 28 days (assuming that an arbitration or other proceedings have not already been commenced). On the other hand the architect under the contract if accused of professional negligence for failing to hold the contractor to its contract naturally wishes that, if held liable, the party who is primarily responsible, namely the contractor, should be required to contribute to any damages which the architect may be obliged to pay to the common client for otherwise the architect would find itself responsible for the default of the contractor even though it was not physically in a position to have avoided the occurrence of the defects or to have secured their rectification. The contractor equally wishes to retain the benefit of the bargain made with the common employer and to preserve the exemption granted by the Final Certificate. One might have thought that such a conflict would already have been the subject of a number of decisions since, stripped to its essentials, it could arise in a variety of commercial situations. Perhaps the answer has long been self-evident to others although if that were the case then one might have expected it to have been clearly set out in the Civil Liability (Contribution) Act 1978, for in certain places that Act is reasonably clear.

9. The submissions made by Mr Mauleverer for the Architects were to the effect that the answer was indeed clear since, first, section 1 of the Act provides:

41. "Any person liable in respect of any damage suffered by another person may recover contribution from any other person liable in respect of the same damage"

and, secondly, section 1(3) provides:

42. "A person shall be liable to make contribution by virtue of subsection (1) above notwithstanding that he has ceased to be liable in respect of the damage in question since the time when the damage occurred, unless he ceased to be liable by virtue of the expiry of a period of limitation or prescription which extinguished the right on which the claim against him in respect of the damage was based ...".

43. Although section 1(3) was intended to reverse the decision in Wimpey v BOAC [1955] AC 169 (according to Clerk and Lindsell on Torts, 17th ed. paragraph 4-61), the Court of Appeal held in Logan v Uttlesford District Council (1986) 136 New LJ 541, that for the purposes of section (1(3) a person does not cease to be liable by reason of the settlement of the claim against him but remains liable to a claim to contribution by another person liable in respect of the same damage. Auld LJ said much the same in Friends' Provident Life Office v Hillier Parker [1997] QB 85 at page 104A-B:

44. "I should add that Hillier Parker's third party claim against the developers is permissible notwithstanding that Friends Provident has settled its contractual claim against them in an action for essentially the same sum: see section 1(3) of the Act 1978."

45. The subsection is apparently not confined to cases where liability ceases because the original claim would have been barred by limitation. I shall revert to Logan later.

10. Mr Marcus Taverner, for Wimpey, submitted that section 1(3) was irrelevant. In essence his submission was that there was no liability once the Final Certificate has been issued, and Wimpey was not a person liable within section 1 of the Act. There were a number of stages in his submissions. First, he contended that the effect of the Final Certificate is that it constituted conclusive evidence that the work was not defective at the time of its issue. The work was either never defective or, if it had once been defective, the defect had been put right. The certificate moreover granted retrospective "absolution" to the contractor so that it was as if there never had been any liability for defective work. Mr Taverner referred to P & M Kaye Limited v Hosier & Dickinson Limited [1972] 1 WLR 146, the decision in which led to a revision of clause 30(7) of the 1963 Edition of the RIBA/JCT Standard Form (which was the form used in that case) and to the policy now found in clause 30.9 of the 1980 Edition of the JCT Form. The facts of that well-known case are striking since the Final Certificate had been issued after litigation had started. The House of Lords held that it had the effect of extinguishing the rights the subject of the litigation although Lord Diplock dissented on the grounds that the language of the contract in question did not have the effect of making the certificate conclusive evidence that the work had never been defective. Lord Diplock's opinion was that which had been adopted by counsel in the course of argument. The majority held that it had been suggested to counsel too late for submission and consideration by the House. Mr Taverner however referred to Lord Pearson's speech at page 163B:

46. "There are certain points in favour of meaning no 1. First, the certificate is conclusive evidence not only that the works have been properly completed but also that they have been properly carried out, and therefore the certificate might not unreasonably be regarded as conveying approval and absolution not only in respect of the Final result but also in respect of the series of operations leading up to the Final result."

47. Mr Taverner relied particularly on the word "absolution".

11. I consider that this case merely provides the historical background to the contract used by OUFA. Whilst it is permissible when deciding what a standard form contract means to look at the supposed "mischief" that may have been corrected ultimately the decision has to be taken on the words actually used. Since clause 30.9 plainly only requires the architect to form an opinion about the state of the works at the time of the Final Certificate is to be issued it is not necessary to refer to Kaye especially since clause 30.9 deals now with the effects which were not the subject of a Final Certificate under pre-1980 editions or revisions. Mr Mauleverer in another context referred to Lord Bridge's observations in Mitsui v Attorney General of Hong Kong (1986) 33 BLR 1 at page 18:

48. "Their Lordships cannot help thinking that much of the difficulty felt by Courts below in construing the contract before them arose from the attention they devoted to reported decisions on the construction of other contracts containing purportedly similar provisions ...

49. But comparison of one contract with another can seldom be a useful aid to construction and may be, as their Lordships think it was in this case, positively misleading."

50. However that observation was perhaps more concerned with comparing different standard forms and in practice for most judges of first instance and arbitrators it is usually helpful to be informed about how similar problems have been resolved under other contracts and indeed not to do so could lead to more apparently conflicting decisions After this judgment was issued in draft Mr Mauleverer drew my attention to a decision on the effect on a final certificate issued under the I Chem E Model Form for Process Plants (a "Red Book"): Matthew Hall Ortech Ltd v Tarmac Roadstone Ltd (1997) 87 BLR 96. However I agree that it is not really of assistance to the present issues..

12. The wording of clause 30.9 of the 1980 edition of the JCT form was however considered by the Court of Appeal in Crown Estate Commissioners v John Mowlem & Co Ltd (1994) 70 BLR 1. In that case the Court had to consider whether the employer, Crown Estate, could obtain leave under section 27 of the Arbitration Act 1950 for an order extending the time within which a notice of arbitration might be given. The Final Certificate had been issued in December 1992 but the application under section 27 was not made until April 1993. It was held that clause 30.9 did not in fact provide any time limit within which arbitration proceedings were to be commenced so that there was no jurisdiction to accede to the application as section 27 of the Act only applied where there was a provision for the contract for the time within which arbitration proceedings could be commenced. It held that clause 30.9 in referring to "conclusive evidence" permitted proceedings to be commenced at any time but the effect of the Final Certificate would lead to the dismissal of the proceedings. Stuart-Smith LJ said at page 11C:

51. "Further, Mr Seymour submits that clause 30.9.1 of the contract does not in any way inhibit the commencement of arbitration proceedings. Indeed, the introductory words of clause 30.9.1 expressly contemplate the possibility of such proceedings. All clause 30.9 is concerned with is the evidential effect of the Final Certificate in any proceedings which may be commenced. There is, he argues, nothing in this contract which provides for the barring of any claim under, or for damages for breach of, the contract, unless some step to commence proceedings is taken within some particular time."

52. He said later (at page 12G):

53. "In this case the bar is an evidential bar to the claims and the proceedings and is effected by clause 30.9.1. Clauses 30.9.2 and clause 30.9.3 do not impose a bar; on the contrary, they afford a relief from what would otherwise be an evidential bar."

54. Sir John Megaw said at page 24B-C:

55. "Where the Final Certificate thus becomes conclusive evidence, the effect is that any claim in an arbitration which seeks to support some provision of the Final Certificate is bound to succeed, and any claim which seeks to challenge a provision of the Final Certificate is bound to fail, without any hearing on the merits."

56. Mr Taverner therefore submitted that, for the purposes of, for example, section 1(3) there was no "cessation of liability" since the effect of the Final Certificate was that there was and had been no liability. He drew attention to the effect of a "conclusive evidence" certificate as it was considered in the House of Lords in Beaufort Developments (NI) Limited v Gilbert Ash (NI) Limited [1998] 2 WLR 860. Lord Hoffman said at page 868F:

57. "On the other hand, to make the certificate conclusive could easily cause injustice. It may have been given when the knowledge of the architect about the state of the work or the effect of external causes was incomplete. Furthermore, the architect is the agent of the employer. He is a professional man but can hardly be called independent. One would not readily assume that the contractor would submit himself to be bound by his decisions, subject only to a challenge on the grounds of bad faith or excess of power. It must be said that there are instances in the nineteenth century and the early part of this one in which contracts were construed as doing precisely this. There are also contracts which provided that in case of dispute, the architect was to be arbitrator. But the notion of what amounted to a conflict of interest was not then as well understood as it is now. And of course the inclusion of such clauses is a matter for negotiation between the parties or, in a standard form, the two sides of the industry, so that what is acceptable will to some extent depend upon the bargaining strength of one side or the other. At all events, I think that today one should require very clear words before construing a contract as giving an architect such powers.

58. The language and practical background of the JCT contract does not therefore suggest that any certificates other than the Final Certificate were intended to have conclusive effect...."

59. Lord Hope said at page 877E:

60. "Then there are the provisions about the certificates. In the present case the contractor seeks payment of the sums certified as due for payment under six interim certificates. It appears that it will also seek to maintain a claim against the employer for additional costs which are not the subject of any certificate by the architect. The employer for its part claims, by way of set-off against any sums due to the contractor, amounts in respect of delay in completion of the construction and fitting out works and damages for breach of its obligation to provide materials and workmanship to the standard which the contract required. These are matters about which the contract provides for decisions to be taken or opinions to be given by the architect. But there is no express contractual provision to which one can point which has the effect of giving finality to the various decisions and opinions which he has made. We are not concerned in this case with any question as to the conclusive effect of the Final Certificate because, although a certificate of practical completion was issued in June 1996, the Final Certificate has not yet been issued. It is made quite clear by cl 30.10 that the interim certificates which the architect has issued are not of themselves to be conclusive evidence."

61. Lord Hope later referred to Kaye at page 883A:

62. "It seems to me that the discussion in the Hosier & Dickinson case put the matter on the correct basis. On the one hand there is the principle which was expressed by Lord Diplock in Gilbert-Ash (Northern) Ltd v Modern Engineering (Bristol) Ltd, by which clear unequivocal words must be used to deprive a party to a contract of recourse to the court for the ordinary exercise of its powers and the granting of the ordinary remedies. On the other there is the principle that the court must give effect to the contract which the parties have made for themselves. If the contract provides that the sole means of establishing the facts is the expression of opinion in an architect's certificate, that provision must be given effect to by the court. But in all other respects, where a party comes to the court in the search of an ordinary remedy under the contract or for a remedy in respect of an alleged breach of it, the court is entitled to examine the facts and to form its own opinion upon them in the light of the evidence. The fact that the architect has formed an opinion on the matter will be part of the evidence. But, as it will not be conclusive evidence, the court can disregard his opinion if it does not agree with it."

13. Mr Mauleverer accepted that Crown Estate might be a relevant authority but, mindful that it had been criticised by Mr I. N. Duncan Wallace QC (amongst others) (see (1995) 11 Con LJ 184 and (1997) 13 Con LJ 15) and no doubt also of the endorsement of the House of Lords in Beaufort Developments of the criticisms of that eminent commentator of another decision of the Court of Appeal, understandably reserved the right to contend that Crown Estate had been wrongly decided. Mr Mauleverer submitted that Crown Estate had held that the Final Certificate was conclusive evidence not merely as to whether or not materials and workmanship had been provided to the satisfaction of the Architect but also as to whether all the provisions of the contract relied upon by the plaintiff (eg 2.1, 4.1 and 8.1) had been correctly observed. Any failure by the contractor to comply with these provisions (including also any implied term, as relied on by OUFA) amounted to a breach of contract and liability to OUFA. It was not as if the Final Certificate related only to attaining the satisfaction of the architect. There was the customary dual obligation (see National Coal Board v Wm Neill & Son (St Helens) Ltd [1985] QB 300) - Wimpey might have done the works to the satisfaction of the Architects but had not done them otherwise in accordance with the contract. The effect of the Final Certificate was not that Wimpey had no liability but that Wimpey ceased to be liable. Mr Mauleverer also referred to Guinness Plc v CMD Property Development Limited (1995) 46 Con LR 48 in which His Honour Judge Havery QC had considered Kaye v Hosier & Dickinson and the 1978 Act. The facts of that case were similar to those of the present case. The architect had claimed contribution from the contractor in respect of defective work. The contractor did not have the benefit of a Final Certificate but relied upon a settlement agreement between himself and the employer. The contract had incorporated the 1963 Edition of the JCT Form, 1977 revision. Judge Havery concluded (at page 60):

63. "Before the settlement agreement was made on 9 September 1988, Taylor Woodrow were, or at least could have been, liable to pay damages to CMD in respect of the defects in the building. It follows that on that hypothesis, CMD were or could have been entitled to recover compensation from Taylor Woodrow in respect of damage arising from those defects in the building."

14. Accordingly, Mr Mauleverer submitted that the effect of the Final Certificate was to bring to an end the contractor's liability to OUFA so that there was therefore a "cessation" for the purposes of section 1(3). Mr Mauleverer also submitted that although Kaye v Hosier & Dickinson had been concerned with a different contract even Lord Diplock had contemplated that at the time of the issue of the certificate there might not have been a liability by the contract to the employer (see for example, page 167D-E):

64. "In their natural meaning, it seems to me that these words are dealing not primarily with the activities of the contractor but with the state of the works as a result of the activities of the contractor, and are dealing with their state at the time of issue of the certificate. They mean no more than that the works are in accordance with the contract drawings and contract bills, subject to any variations authorised by the architect under cl 11, and that the workmanship and materials are of the quality required by the contract. They do not mean that at no time previously to the issue of the Final Certificate were there defects in the works which required remedying and had been remedied, for sub-cl (6) expressly contemplates that the Final Certificate must be issued notwithstanding this; and the parties should not lightly be held to have intended the Final Certificate to be conclusive evidence of the truth of anything that the certifier knew to be a lie."

65. However this part of the speech formed part of Lord Diplock's dissenting reasoning.

15. In my judgment, the effect of the certificate is not that it leaves the contractor with no liability in law but that, as Stuart-Smith LJ said in Crown Estate Commissioners v John Mowlem & Co Ltd, it operates only as an evidential bar which would preclude an employer from being able to prove the facts necessary to establish such liability. As regards the obligations of the contractor it supposes that the employer claims damages for breach of contract. As Lord Diplock said in Photo Production Limited v Securicor Transport Limited [1980] AC 827 at page 849: "there is substituted by implication of law for the primary obligations of the party in default which remain unperformed a secondary obligation to pay money compensation to the other party for the loss sustained by him in consequence of their non-performance in the future". Judge Havery's decision in Guinness v CMD is also that liability exists until brought to an end. A settlement agreement extinguishes liability because by the agreement the secondary obligation is satisfied. According to Logan the Act requires it to be ignored if it was made after the damage occurred. I certainly accept that if Wimpey had broken the contract and had caused loss and damage to OUFA, apart from the direct cost of putting the work right, then Wimpey would have had some residual liability to OUFA and, indeed, possibly to third parties in respect of whose losses the employer might have a claim for an indemnity under clause 20.2 of the JCT Form. The issue of the Final Certificate would not dispose of those accrued rights since, as in Kaye v Hosier & Dickinson, the Final Certificate merely operates to express the state of affairs at the date of its issue and not to provide conclusive evidence that the works had always been "perfect". Accordingly, even though a Final Certificate had been issued an employer may claim from the contractor damages for a prior breach of contract which had not been made good either physically, eg by the contractor putting work right, or metaphysically, by the contractor paying damages for the breach. Of course once the damages are paid then the liability is discharged. I return later to the nature of the Final Certificate and to its effect.

16. Mr Taverner's next principal point was that in any event there still could be no liability to contribute under section 1(1) of the Act. In order for Wimpey to be liable to contribute pursuant to section 1(1) it had to be a "person liable in respect of the same damage". Section 1(6) stated that a reference "to a person's liability in respect of any damage" is a reference "to any such liability which has been or could be established in an action brought against him in England and Wales by or on behalf of the person who suffered the damage ...". Clearly no liability had been established in an action brought against Wimpey. Mr Taverner submitted that if OUFA had brought an action against Wimpey it would not have been able to establish liability since it would have defeated the claim by relying upon the Final Certificate so that, as Sir John Megaw said at page 25C in Crown Estates:

66. "It would seem that if an arbitration were brought ... the claims would inevitably be dismissed by the arbitrator without any hearing on the merits."

67. Mr Taverner relied also upon section 2 of the Act in which in subsection (3) there is to be a limit on the contribution recoverable from a person liable under section 1 where that person has the benefit of, for example, "any limit imposed ... by any agreement made before the damage occurred" (section 1(3)(a)). Mr Taverner's submissions therefore posed the following question. Suppose the contract between Wimpey and OUFA had contained a provision limiting the damage recoverable by OUFA for the breaches of contract now in issue to, say, £5. So long as there was no Final Certificate or if the Final Certificate did not affect liability then by virtue of section 2(3) the Architects could not recover a contribution exceeding £5 in any proceedings brought under section 1. If on the other hand there was a Final Certificate OUFA could recover nothing yet, if the Architects were right, Wimpeys would now be liable to make a contribution limited only by the proportion considered to be "just and equitable" under section 2(1). Mr Taverner submitted that such an anomaly and injustice would be avoided if section 1(6) were read as entitling a person to an exemption from liability under section 1(1) if they would be completely exonerated in an action brought against them.

17. In addition, Mr Taverner argued that even for the purposes of section 1(3) the cessation of liability that might have been achieved by a Final Certificate arose because under the JCT Contract the Architects were obliged to issue a Final Certificate within a given period. That therefore constituted a "period of limitation or prescription" which extinguished the right upon which a claim made by OUFA would have been based. Accordingly Wimpeys have the benefit of the proviso to section 1(3). In Nottingham Health Authority v Nottingham City Council [1988] 1 WLR 903 the Court of Appeal held that the effect of the proviso to section 1(3) was that a tortfeasor against whom contribution is claimed who has been sued to judgment and found not liable because of a successful plea of limitation is nevertheless liable to contribute since limitation barred the remedy and not the right: see Balcombe LJ at page 906F-H. Since the Final Certificate barred the right the proviso did not apply.

18. Mr Mauleverer submitted that the words of section 1(3) were clear and in effect dealt with the situation in which no liability could be established (as contemplated by section 1(6)) because of a cessation of liability and thus section 1(3) took effect, not withstanding section 1(6). He also submitted that section 2 was concerned only with the assessment of the amount of contribution and not with liability and that the arguments raised by Wimpey might be a factor to be taken into account by the Court in deciding the amount recoverable pursuant to section 2(1). The provisions of section 2 were otherwise irrelevant to the interpretation of section 1. Mr Mauleverer also submitted that Nottingham Health Authority v Nottingham City Council was concerned only with the reversal of Wimpey v BOAC and not with any contractual limitations.

19. In my judgment, in construing the 1978 Act it is necessary to bear in mind that the Act needs to be read in a sensible manner. In Birse Construction v Haiste Limited [1996] 1 WLR 674, Sir John May said at Page 680C:

68. "I remind myself, first, that the statute which has to be construed is concerned with contribution, that is the help the law requires one party to give to another to satisfy their common obligations to a third person. The Act is in my opinion concerned with the simple sharing of existing liability. I would be surprised if against this background the Act created potentially complicated and some might say tortuous legal relationships."

...

69. "I see no reason to construe section 1(1) otherwise than directly and simply as it stands."

70. In my judgment section 1(6) is concerned with defining liability for the purposes of every part of section 1. A person will not be "liable in respect of any damage" unless that liability "has been or could be established in an action brought against him in England and Wales by or on behalf of the person who suffered the damage". In other words, as Sir John May put it, is there an obligation or an existing liability? In section 1(1) contribution may be recovered from a person "liable in respect of the same damage" if and only if, in my judgment, that person has a liability which has been or could be established in respect of that damage. It does not apply if it has been decided that the person has no liability or if liability could not in fact or in law be established. In my view it would be absurd if the right to contribution depended on whether or not there had been an award or judgment that Wimpey had no liability because of the existence of the Final Certificate when clause 30.9 is so clear. In Crown Estate Sir John Megaw said that the claim would be dismissed which means that OUFA could not have established liability. Sub-section (2) is concerned with the position where there has been a cessation of liability by the person entitled to recover contribution. Sub-section (3) is concerned with the cessation of liability by the person who might be liable to make contribution. In both cases the sub-sections pre-suppose that liability has been or could have been established but for the cessation. In my judgment once the Final Certificate had been issued no liability could have been established by OUFA against Wimpey since a claim by OUFA in respect of the same damage for which the Architects seek contribution from Wimpey, ie the defects in the blockwork would have been defeated so that in any ordinary and natural meaning of the word liability could not have been established. The real nature of the Final Certificate can be seen from the recent case of Beaufort. To the extent that an existing dispute has not been made the subject of proceedings the parties to the JCT contract appoint the architect as their decision-maker to decide, amongst other things, whether the works have been carried out not merely to his satisfaction but also in accordance with the contract and whether the rights of the parties to adjustments to the contract sum have been correctly recognised. The parties each have 28 days to consider that decision. If either were thereafter to commence proceedings in which in effect that decision is challenged the parties further agree that it is to be binding as it will be conclusive evidence that the correct decision was made and accordingly the issue can no longer be determined by the court or arbitrator: see the extracts from the speeches set out above and Lord Hoffmann at page 865G:

71. "The powers of the architect or arbitrator, whatever they may be, are conferred by the contract. It seems to me more accurate to say that the parties have agreed that their contractual obligations are to be whatever the architect or arbitrator interprets them to be. In such a case, the opinion of the court or anyone else as to what the contract requires is simply irrelevant. To enforce such an interpretation of the contract would be something different from what the parties had agreed. Provisions of this kind are common in contracts for the sale of property at a valuation or goods which comply with a specified description. The contract may say that the value of the property or the question of whether the goods comply with the description shall be determined by a named person as an expert. In such a case, the agreement is to sell at what the expert considers to be the value or to buy goods which the expert considers to be in accordance with the description. The court's view on these questions is irrelevant."

72. Thus in clause 41.4 of the JCT conditions the arbitrator's power to open up, review and revise are expressly subject to clause 30.9 (amongst other conditions). The Final Certificate if not questioned within 28 days therefore operates as a decision by the person appointed by the parties that the work is then in accordance with the contract. The issue of the Final Certificate is thus tantamount to a decision discharging the liability of the contractor (which is not the same as a cessation of a liability). It is linked to the settlement of the final accounts and thus of the claims which each party might have had against the other and is equivalent to discharge by performance or by satisfaction.

20. A conclusion that a contractor might be liable to contribute would be wholly unacceptable. The facts and assumptions which I have to make include the supposition that the Architects have been held liable for negligence in not securing that Wimpey erected the blockwork properly or that Wimpey did not properly put right defects created by the damp blockwork but above all for issuing a Final Certificate when they knew or ought to have known the building was still defective as a result of which OUFA has had or will have to put right the defects at its own cost as in any proceedings OUFA would have been unable to establish that Wimpey was liable. The reason why OUFA would have failed is the issue of the Final Certificate by the Architects. Without going as far as section 1(5) I am unable to accept that the Act is to be read as to permit the person who by its own negligence to the common client procured that liability could not be established by that client can then claim to contribution as if that act had not occurred and as if the client could have done so. That is rank injustice. I do not consider that section 1(6) as applied to section 1 is to be read as to deprive Wimpey of the protection which it and its contract provides. Furthermore it seems inevitable on the facts and assumptions made for the preliminary issue that it will have been established that at the time when the Final Certificate was issued Wimpey was liable to OUFA (for otherwise the Architects could not be held liable to OUFA) but nevertheless that the Final Certificate constituted conclusive evidence in Wimpey's favour and precluded proof of those facts. Under section 1(5) these findings would also be conclusive in the contribution proceedings in Wimpey's favour. I do not consider that the Act is to be read as requiring a person in the position of Wimpey to be subjected to such a convoluted way of re-establishing its lack of liability when there is a better route available and particularly when the contract itself provided decision-making machinery designed to avoid further proceedings in which the outcome would be inevitable.

21. Mr Taverner's telling comparison of section 2 with section 1 provides another compelling reason for answering the issue in Wimpey's favour. It would be absurd if a contractor could be liable to contribute an indeterminate amount to an architect pursuant to section 1(1) notwithstanding the issue of a Final Certificate by which there was no further liability to the employer but would be technically liable to contribute a set amount where there was a contractual "cap" of a nominal figure by section 2(3). It would mean that the JCT and many other forms of contract ought therefore to have been written on the basis that the contractor was deemed to pay damages of a nominal amount for any breaches might have been established rather than providing for the "clean break" by means of a Final Certificate. That would be not only extremely cumbersome but quite unnecessary unless the Final Certificate did not have the effect which I consider that it has. I see nothing in the Act which supposes that it is intended to deprive a party of its rights under a contract (which is the purpose of the Architects' case); indeed section 2(3)(a) of the Act affirms that a person shall not be liable to make a contribution in circumstances where there would be no liability under the contract which is the source of that person's supposed liability and that policy is reflected in section 7(3).

22. Any other conclusion would also mean that, notwithstanding the issue of the Final Certificate an employer who found himself in the position of OUFA would be able to circumvent the practical effect of clause 30.9 by suing the architect who would in turn be able to claim contribution from the contractor. In commercial terms the contractor would then be vulnerable and would almost certainly offer to pay the architect so that in turn the architect (who might well be under-insured) would be better able to pay the employer more than might have obtained had the architect not been able to lean on the contractor. That therefore would drive the proverbial coach and horses through the structure of the JCT conditions which has been negotiated over many years and is thus to be taken as representing a fair balance between competing interests. In my judgment it would be wrong to read those conditions and the Act in a way which would negative such a policy so carefully set out in the conditions and, in my judgment, in the Act.

23. I am unable to accept that the Final Certificate constitutes a cessation of liability under section 1(3) but for reasons which in my judgment support Mr Taverner's case. The purpose of the sub-section was evidently to reverse the effect of Wimpey v BOAC, ie a person who has been sued to judgment and found not liable may still be required to contribute unless the right to require contribution is itself barred by limitation or prescription: see Nottingham Health Authority. Sub-section (3) is thus dealing solely with a technical point: a person cannot resist being called upon to contribute simply because liability has ceased. The person claiming contribution must nevertheless still establish that prior to the cessation the person was liable, as defined by section 1(6). If the liability is in contract the question will be whether a breach of contract can be established. All the facts and all the terms of the contract have to be examined. If the contract were to say that no action shall be brought in respect of a certain default which is otherwise recognised as a breach of contract then liability for that breach could not be established. It would be perverse to describe that situation as one where liability has ceased. I can see no material distinction between that situation and the present one. The contract contemplates that liability to the employer will depend on whether or not a Final Certificate has or has not been issued. If it has not been issued because the contractor has satisfactorily rectified a breach of contract then liability can be established; if it has not been issued because it has wrongly been withheld but otherwise the work is in accordance with contract liability will not be established; if it has been issued but the work is not in accordance with the contract then it is not that liability exists and has ceased it is that liability cannot be established.

24. However for the reasons that I have given I do not accept Mr Taverner's submission that in the proviso to section 1(3) "period of limitation" means anything other than a time-bar applicable to the proceedings brought by the person claiming contribution, see also Logan v Uttlesford DC. Logan may need to be reconsidered in the light of the decision of the House of Lords in Jameson v CEGB, 16 December 1998, unreported, as it concerned joint tortfeasors. In Jameson Lord Hope drew attention to the injustice of exposing a person who had settled to paying damages twice for the same harm (see pages 8 and 9 of the print of the speeches). The decision removes that injustice, and in terms of contribution proceedings may have the practical effect that a settlement agreement with one joint tortfeasor may be as good as an agreement entered into before the damage occurred (see section 2(3)(a)). It would be surprising if those liable in contract for the same damage were treated differently. However I have not had any submissions on the effect of Jameson since the decision was given after argument finished. In cases of contract there is in my view a material distinction between the JCT form and a settlement agreement which is reflected in section 2(3)(a). A settlement agreement is entered into after the damage has occurred and at a time when provision may be made to deal with the possibility of claims for contribution. It is by no means uncommon for a settlement agreement between an employer and a contractor to require the employer to indemnify the contractor should a third party make a claim against the contractor (such as the architect) the effect of which would be disturb the basis of the settlement but it is indeed good practice to seek to do so, just to avoid the possibility of liability for a claim such as the one currently being made being visited on a party who ought not to bear it. Given the complexity of the JCT form it could be said that it would have been easy to have amended the conditions to that effect, but it would not be necessary if the effect of the Final Certificate is that there is no such liability.

25. For these reasons my answer to the issue is: the Final Certificate affords a defence to Wimpey as contended in paragraphs 10 and 12 of its defence to the third party notice.

 

Orders: The answer to Preliminary Issue (A) is: the Final Certificate affords a defence to Wimpey as contended in paragraphs 10 and 12 of its defence to the third party notice. Third Party Proceedings dismissed with costs. Leave to appeal granted.


© 1999 Crown Copyright


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