INTERLOCUTORY DISPUTE
19 Before dealing with the plaintiff's application, it is necessary to consider the defendant's application for orders pursuant to r 13.01(c) of the Federal Court Rules 2011 (Cth) in which it argues that the plaintiff's application to set aside the defendant's statutory demand filed at Court on 29 September 2016 has not been duly served and the requirements of s 459G(3) of the Act have not been satisfied. The defendant seeks orders that the plaintiff's application be dismissed for want of jurisdiction due to the failure on the part of the plaintiff to serve the plaintiff's application within the strict 21 day time period provided in s 459G(3) of the Act and costs on an indemnity basis pursuant to r 40.02(a) of the Rules.
20 The evidence reveals that the defendant served the statutory demand on the plaintiff on 9 September 2016 by hand, delivering the creditors' statutory demand to the plaintiff's registered office. It follows that the 21 day period for compliance for the purpose of s 459G(2) of the Act ended on 30 September 2016 (the expiry date). The defendant's position is that the plaintiff purported to serve its application to set aside the statutory demand on 29 September 2016, but failed in substance to do so. The plaintiff's application to set aside was emailed to Mr Di Menna. The defendant makes the point that the application to set aside did not bear the seal of the Court or the registrar's signature, any Court stamp, the Court proceeding number or the return date for the plaintiff's application.
21 The defendant contends that the plaintiff has failed to comply with the requirements of s 459G(2) of the Act which provides that an application to set aside a creditor's statutory demand must be filed at Court within 21 days after the demand is served, accompanied by a supporting affidavit pursuant to s 459G(3)(a) of the Act and served on the person that served the statutory demand within 21 days after it has been served pursuant to s 459G(3)(b) of the Act.
22 The requirements for service under s 459G(3)(b) of the Act are that the application and supporting affidavit purportedly being served must have:
(a) the seal of the Court, the registrar's signature or some other authenticating mark, such as the Court stamp;
(b) the Court proceeding number; and
(c) the return date for the application, that is, the date and time which the application will be heard by the Court.
23 The defendant relies on Cooloola Dairys Pty Ltd v National Foods Milk Ltd [2005] 1 Qd R 12 and Opensoft Australia Pty Limited v Miller Street Pty Limited [2011] FCA 653 (at [31]) where Jagot J said:
As the plaintiff acknowledged, there is a long line of authority which stands for the proposition that the requirement of s 459G(3)(b) of the Corporations Act is for a copy of the application and supporting affidavit to be served as filed; or, otherwise put, that copies of the originating process and supporting affidavit as sealed by the Court, bearing a proceeding number and a return date, are required to be served by the terms of s 459G(3)(b). …
(emphasis added)
24 In the absence of strict compliance with s 459G of the Act, the application to set aside the statutory demand is not validly on foot and should be dismissed. See, for example, Accommodation West Pty Ltd v Innis [2009] WASC 337 (at [4]-[7]) where Master Sanderson said:
4 The defendant argues that the document which was served was not a copy of the application for the purposes of s 459G of the Corporations Act. It was submitted that the omission of the first return date was fatal and simply could not be rectified by any subsequent actions of the plaintiff's solicitor.
5 That argument must be accepted. There is now a line of decisions dealing with this question. It begins with the decision in Benonyx Pty Ltd v Fetrona Pty Ltd [1999] NSWSC 1181 and two decisions of mine, Chelring Pty Ltd v Coombs [2000] WASC 60 and Universal Trade Exchange Pty Ltd v Westpac Banking Corp [2002] WASC 36; (2002) 20 ACLC 1302. The Supreme Court of Queensland has considered the matter on at least two occasions and come to the same conclusion: see LJAW Enterprises Pty Ltd v RJK Enterprises Pty Ltd [2004] QSC 134 and Cooloola Dairys Pty Ltd v National Foods Milk Ltd [2004] QSC 308; [2005] 1 Qd R 12.
6 In addition to these decisions, reference should be made to the decision of the Full Court of this court in Robowash Pty Ltd v Robowash Finance Pty Ltd [2000] WASCA 409; (2000) 158 FLR 338. This decision was not squarely on point. In that case the plaintiff had served on the defendant a copy of the affidavit lodged in support of the application but the copy of the affidavit was missing four pages from an annexure. The court held that the requirement was that the copy served should be an 'exact copy'. As that requirement had not been complied with the demand ought be set aside.
7 I think all of these cases indicate there must be strict compliance with the requirements of s 459G. In this case there has not been strict compliance with the requirements of the section and the application to set aside the demand is not properly on foot.
25 As to the 21 day period, it is apparent from David Grant & Co Pty Ltd v Westpac Banking Corporation (1995) 184 CLR 265 that there is no source of power which would permit the 21 day time period in s 459G of the Act to be extended. In particular, there is no scope for reliance on ss 1322, 467A or 70 of the Act, all of which were considered in David Grant & Co. Specifically, reliance on s 1322 of the Act to supplement or qualify the 21 day timeframe would not assist because, as a rule of statutory interpretation, when one provision of legislation provides a strict set of requirements, such as s 459G of the Act, a more general provision of the same legislation, such as s 1322 of the Act, cannot be relied upon to relax the operation of the strict provision. Further, the defendant says s 467 of the Act would not be available because in order to cure the plaintiff's failure to comply with s 459G, unless the application is validly served, it cannot be said that there is an application on foot that would enliven the power under s 467 of the Act. Finally, the defendant also submits that s 70 of the Act would not enable the plaintiff to proceed with the application out of time because the Act does not confer a power to extend the time limit contained in s 459G of the Act. It follows, the defendant says, that as the plaintiff's application has not been served within the 21 day time period set out in s 459G of the Act, it must be dismissed for want of jurisdiction: see Gusdote Pty Ltd v Ashley (2011) 193 FCR 227 where Foster J said (at [56] and [91]):
56 Therefore, if the evidence before me is insufficient to cast doubt upon the presumption raised by s 160 of the Evidence Act and also insufficient to overcome the deeming effect of the second limb of s 29 of the Acts Interpretation Act, I will be obliged to hold that, for the purposes of ss 459E, 459F and 459G of the Act, the four Statutory Demands were all served on Thursday 31 December 2009. Taking into account weekend days and public holidays immediately after 23 December 2009, 31 December 2009 was the fourth working day after 23 December 2009 within the meaning of s 160(3) of the Evidence Act. Friday 25 December 2009 and Monday 28 December 2009 were both public holidays in New South Wales and Queensland. If I were to hold that the Demands were served on 31 December 2009, the proceedings brought by Gusdote and Madeas will have been commenced more than 21 days after 31 December 2009 and thus outside the time limited by s 459G(2) of the Act. In that event, both applications would have to be dismissed for want of jurisdiction.
…
91 Adopting the approach of the Full Court of the Supreme Court of South Australia in Derma Pharmaceuticals Pty Ltd and of White J in Scope Data Systems Pty Ltd and applying the principles laid down by the High Court in David Grant & Company Pty Ltd, I find that both Gusdote and Madeas have failed to prove that they made their applications to set aside the Demetrious' Statutory Demands within 21 days after those Demands were served as required by s 459G(2) of the Act. Gusdote and Madeas have failed to prove that those Demands were delivered to Hunter Partners' letterbox on 1 January 2010. For these reasons, their applications in respect of the Demetrious' Statutory Demands must be dismissed for want of jurisdiction.
26 The plaintiff, however, takes the position that as receipt of the relevant email was acknowledged by Mr Di Menna, the question of whether the material had been brought to the attention of the defendant's solicitors Murfett Legal at the address contained on the statutory demand was answered affirmatively so that service was effected. In particular, the plaintiff relies upon the decision in Austar Finance Group Pty Ltd v Campbell (2007) 215 FLR 464 where Austin J said (at [55]):
In my opinion the reasoning in these cases also applies to e-mail transmission, provided there is evidence that the document came to the notice of the person to be served, and the document was in readable form.
27 Further, it is common ground that the defendant filed its notice of address for service and an interlocutory application on 20 October 2016, appeared before a registrar of the Court six days later, 26 October 2016, and acceded to programming orders in relation to this matter. In other words, it is argued by the plaintiff that there was no equivalent of a conditional appearance filed and, rather, the defendant had acceded to the jurisdiction of the Court.
28 The defendant is not precluded from taking this substantive jurisdictional point. There are no longer 'appearances' required under the Rules so that equally, there is no longer a procedure for conditional appearances. What has been substituted, is a procedure under Pt 13 to allow a party to apply to set aside the originating application or set aside service, for the sorts of reasons that would have been available to a party or to a respondent under the process of a conditional appearance. The application which is to be made must be made at the time that the responding party files its notice of address for service, so in that respect it equates to the procedure for conditional appearances. That is what occurred here. Both documents were filed together. The defendant has not abandoned its assertions as to service.
29 The plaintiff's contention is that cases on disputed service of documents look to the object of service, which was set out over 160 years ago in Hope v Hope (1854) 43 ER 534 (at 539-540) where it was observed:
The object of all service is of course only to give notice to the party on whom it is made, so that he may be made aware of and may be able to resist that which is sought against him; and when that has been substantially done, so that the Court may feel perfectly confident that service has reached him, everything has been done that is required.
30 Hope v Hope has been applied in this Court in relation to conditional appearances entered in a proceeding and in the Full Court of the Supreme Court of Western Australia in Briggs v Deputy Commissioner of Taxation (Cth) (1986) 88 FLR 235 per Kennedy J, Burt CJ and Brinsden J agreeing (at 240), a case that was applied in the Full Court of this Court in Kocharyan v Commissioner of Taxation [2015] FCAFC 196 (at [47]).
31 The plaintiff takes the position that the defendant has deposed to receipt of the email attaching the application and affidavits, filed papers and appeared in court to 'resist that which is sought against him'. The plaintiff contends that such conduct establishes clearly that the object of the service was achieved and avoids a situation which would be 'remarkable to the point of seeming absurdity, in that the defendant who, on his own affidavit admits that he received the writ … should be held not to have been served': citing a passage from Pino v Prosser [1967] VR 835 per McInerney J (at 837) and also relying on my decision in United Group Resources Pty Ltd v Calabro (No 4) [2010] FCA 791 where I observed (at [29]-[30]):
29 In Howship Holdings Pty Ltd v Leslie [No 2] (1996) 41 NSWLR 542 (at 544) Young J said observed:
… personal service merely means that the document in question must come to the notice of the person for whom it is intended. The means by which that person obtains the document are usually immaterial. This is clear in cases that have been considered good law over the centuries, including Hope v Hope (1854) 4 De GM & G 328 at 341-345; 43 ER 534 at 539-540; R v Heron; Ex parte Mulder (1884) 10 VLR 314 at 315; Pino v Prosser [1967] VR 835 at 838. Some of those cases were complicated by the requirement in the former statutes that a person serving initiating process had to endorse the initiating process, but the principle is clear from them.
If this were not so, one would get the absurd situation referred to by McInerney J in Pino v Prosser (at 837), that the conclusion would be one which is:
"... remarkable to the point of seeming absurdity, in that the defendant who, on his own affidavit admits that he received the writ ... should be held not to have been served."
30 Recently in Metacorp Pty Ltd v Andeco Construction Group Pty Ltd [2010] VSC 199 Vickery J said (footnotes omitted):
84 As was pointed out by the Lord Chancellor in Hope v Hope:
The object of all service is of course only to give notice to the party to whom it is made, so that he may be made aware of and may be able to resist that which is sought against him; and when that has been substantially done, so that the court may feel perfectly confident that service has reached him, everything has been done as required.
85 To like effect were the observations of Holroyd J in Rudd v John Griffiths Cycle Co Ltd where his Honour, in the course of delivering a dissenting judgment of the Full Court, after referring to the common law history of personal service, went on to say:
Before the Common Law Procedure Act 1852, 15 and 16 Vict., c. 76, came into operation the Courts of England were in general very strict in their interpretation of what constituted personal service, but still on several occasions they declined to set aside the service where the copy of the writ had been delivered at the party's residence to a servant or relative of his and from the facts the Judge thought it fair to infer that it came into his hands or to his knowledge so that he did or could, if he pleased, become acquainted with its contents.
…
32 As a further point, the plaintiff observes that service by email meant that although Mr McAlister was the sole director and shareholder of both the plaintiff and the defendant, there was no need to deal with service under s 109X(1)(b) of the Act as the appointment of a liquidator did not remove Mr McAlister from office.
33 A presumption of insolvency arises under s 459C(2)(a) of the Act if during or after the three months ending on the day in which the application was made the company failed to comply with the statutory demand. The plaintiff raised a point orally, although not in written submissions, that if a person wants to rely upon the failure to comply with a statutory demand to seek orders for the winding up of a company, they must commence that winding up application within three months. The plaintiff argues that as there have been various negotiations between the parties, the three month period has already expired, such that the presumption of insolvency could not be relied upon. The plaintiff's point is that the presumption of insolvency could not be relied upon in any event without issuing a 'fresh' statutory demand, which in turn makes, as the plaintiff suggests, the defendant's application ultimately futile. The defendant pressed its interlocutory application, having received no notice of the argument. The plaintiff's point (and I need make no comment on its correctness or otherwise), does not arise on this application, nor was it a ground of the application. (That said, on this point which is entirely obiter, I note the observations of Santow J in Pinn v Barroleg Pty Ltd (1997) 138 FLR 417 (at 420-421). However there have been other views expressed.)