IN THE HIGH COURT OF LESOTHO
Held at Maseru
Constitutional Case No.08/2014
In the matter between:
‘MOPE MALEFANE 1ST APPLICANT
RETSELISITSOE MABETHA 2ND APPLICANT
MOKOMA TSEETSANE 3RD APPLICANT
And
LETŠENG DIAMOND (PTY) LTD RESPONDENT
_____________________________________________________________
JUDGMENT
_____________________________________________________________
CORAM: T.E. MONAPATHI ACJ
S.P. SAKOANE AJ
K.L. MOAHLOLI AJ
HEARD: 29 JULY 2014
DELIVERED: 25 AUGUST 2014
SUMMARY
Disciplinary Proceedings – right to a fair determination of civil
rights and obligations, right against self-incrimination, right to
equality before the law and equal protection of the law, freedom
from torture, cruel, inhuman and degrading treatment – sections
4(h), 12(7), 12(8) 8 and 19 of the Constitution – relevance scope
and ambit of the rights and freedoms – exclusion of legal
representation at disciplinary proceedings per Disciplinary Code
– whether this constitutes violation of the right to fair trial –
propriety of such exclusion is determinative with reference to the
complexity of the matter – held that the confinement of
representation to a fellow employee does not by itself infringe
upon the rights guaranteed by section 12(8) – administering
polygraph examination on an employee – whether such procedure
violates right against self-incrimination and freedom from cruel,
inhuman or degrading treatment – not shown that there was any
compulsion in administration of polygraph examination – held to
infringe the constitutional rights guaranteed by sections 12(8)
and 8. There be proof of compulsion or chicanery on the part of
the employer.
Fundamental rights – infringements – remedies – access to court
in terms of section 22 of the Constitution – prima facie proof of
threatened infringements of a right or freedom – test thereof – it
be shown the existence of a realistic or appreciable probability of
infringement and not a mere reasonable possibility – held that
there is no prima facie right proof of a probable infringement of
the rights and freedom guaranteed by sections 12(8), (8) and 19
of the Constitution – Court granting testimonial immunity for
polygraph tests but no transactional immunity for information or
material discovered subsequent to the tests.
ANNOTATIONS
CITED CASES:
Attorney-General And Another v Swissbourgh Diamond Mines (Pty) Ltd
And Others (No.1) LAC (1995-1999) 87
Attorney-General v ‘Mopa LAC (2000-2004) 427
Lerotholi Polytechnic v Lisene LAC/CIV/05/2008
British Columbia (Attorney-General) v Christie (2008) 24 BHRC 357
2
Gafgen v Germany (2010) 28 BHRC 463
Selvi & Ors v State of Karnataka And Another 5 May 2010
MEC: Department of Finance, Economic Affairs & Tourism, Northern
Province v Mahumani [2005]2 All SA 479 (SCA)
Mustek Ltd v Tsabadi NO and Others Case No. JR 2732/2010 (LC) 2 March
2012
Safcor Forwarding Johannesburg (Pty) Ltd v National Transport
Commission 1982 (3) SA 654 (A)
Truworths Ltd v CCMA [2008] ZALC 115
United Parties v Minister of Justice, Legal and Parliamentary Affairs and
Others 1998 (2) BCLR 224 (ZS)
STATUTES:
The Constitution of Lesotho, 1993
The High Court (Amendment) Act No.34 of 1984
Labour Code (Amendment) Act No.3 of 2000
Labour Code (Codes of Good Practice) Legal Notice No.4 of 2003
Public Service (Amendment) Act No.3 of 2007
BOOKS:
Allen and Crasnow (2002) Employment Law & Human Rights (Oxford
University Press)
Jan Zonderman (1999) Beyond The Crime Lab (John Wiley & Sons)
Joubert (ed) LAWSA 2nd Edition Vol. 13 Part 1
Palmer & Poulter (1972) The Legal System of Lesotho (Mitchie: Virginia)
3
SAKOANE AJ:
A. INTRODUCTION
[1] The applicants are employees of the respondent. The applicants were
due to face disciplinary charges starting from 30 July 2014, when a
day before, on 29 July 2014, they brought an urgent constitutional
motion seeking:
“1. An order dispensing with the forms and service provided for in
the constitutional litigation rules and disposing of the matter at
such time and place and in such manner and in accordance with
such procedure as this Honourable Court may deem fit.
2. Rule nisi be issued on a date and time determined by the above
Honourable Court calling upon respondents (sic) to show cause,
if any, why an order in the following terms shall not be made
final:-
3. That the respondent be interdicted from holding disciplinary
hearings against the applicants scheduled to take place on the
4
30th July 2014 for 2nd and 3rd applicant and 31st July for the 1st
applicant pending final determination of this application.
4. That it be declared that polygraph testing examination of the
applicants pursuant to respondent’s policy is unconstitutional in
that it violates the following constitutional rights of the
applicants:
(a) Right to a fair determination of their civil rights and
obligations contrary to section 4(h) and section 12(8) of
the Constitution.
(b) Right against self-incrimination in contravention of
section 12(7) of the Constitution.
(c) Right to freedom from cruel, inhuman and degrading
treatment contrary to section 8 of the Constitution.
(d) Right to equality before the law and equal protection of
the law contrary to section 19 of the Constitution.
5. That it be declared that the pre-hearing interviews of applicants
flowing from polygraph examination and leading to the
disciplinary hearing referred to in prayer 3 above were
unlawful.
5
6. That in the unlikely event that the Honourable Court finds the
polygraph test does not violate the constitutional rights of the
applicants as envisaged in prayer 4 above, that Article/Section
1.3.4.1.2.2 of respondent’s Disciplinary Code and Procedure
is unconstitutional to the extent that it vitiates applicants’ right
to fair determination of civil rights and obligations by denying
them legal representation of their choice.
7. Granting applicants further and/or alternative relief.”
Prayers 2 and 3 were to operate with immediate effect as interim relief
pending the finalization of the matter.
[2] The respondent was served with the application on the very day it was
to be moved (29th July 2014). Mr. Rasekoai appeared on behalf of the
applicants while Mr. Woker appeared on behalf of the respondent.
[3] The Court took the view that the matter was indeed urgent and
proceeded to hear oral argument by both sides on the propriety of
issuance of a rule nisi and interim interdictory relief.
6
B. ISSUES FOR DETERMINATION
[4] The issues raised in this matter are the following:
1. Whether disciplinary proceedings in which external legal
representation is prohibited per a disciplinary Code constitute
an unfair hearing violative of sections 4(h) and 12(8) of the
Constitution.
2. The legal propriety of interdicting, pendente lite, disciplinary
proceedings under a code of conduct subscribed to by the
employer and employee in compliance with the Labour Code
(Codes of Good Practice) Legal Notice No.4 of 2003.
3. Whether the submission of the employees to polygraph tests by
the employer for the purpose of investigating a disciplinary
misconduct constitutes torture or inhuman or degrading
treatment contrary to section 8 of the Constitution.
4. Whether the evidence yielded by polygraph tests constitutes an
infringement of freedom of self-incrimination contrary to
section 12(7) of the Constitution.
7
C. SUBMISSIONS
[5] Mr. Rasekoai, who appeared on behalf of the applicants, contended:
(a) that disciplinary proceedings were scheduled to proceed the
following day (30th July 2014) whereat there was a real danger
that the applicants would be denied legal representation in view
of notices of hearing which restricted their right to legal
representation to “internal representation” and were thereby in
violation of section 12(8) of the Constitution;
(b) there was a danger that reliance would be put on the evidence of
results of polygraph tests to which applicants were subjected to
without their own volition;
(c) that by being subjected to the polygraph examination without
their consent and/or by enforcement of the respondent’s policy,
this constituted a violation of sections 8 and 12(7) of the
Constitution.
[6] Mr. Woker, who appeared on behalf of the respondent, countered the
above arguments by contending:
8
(a) that the case concerns the right of the employer to discipline
employees pursuant to the disciplinary code;
(b) applicants, on their own papers, say that they signed “consent
forms” in terms of which they consented to being subjected to
polygraph examinations – an acceptable practice per
Truworths Ltd. v. CCMA [2008] ZALC 115;
(c) that as a general rule courts will not readily interfere in
domestic hearings;
(d) that both issues of permissibility and need of legal
representation from “outside” and inadmissibility of evidence
of polygraph tests were matters that can competently be raised
before and dealt with by the disciplinary tribunal.
[7] After hearing these submissions, the Court dismissed the application
with costs being - persuaded that the applicants had not shown any
prima facie realistic or appreciable probability of violation of
constitutionally protected rights.
9
D. ANALYSIS
Likelihood of Violation of Constitutional Rights : Procedure And
Remedies
[8] The applicants have approached this Court, as they are entitled to do,
in terms of section 22 of the Constitution. This section reads in
material parts:
“(1) If any person alleges that any of the provisions of
section 4 to 21 (inclusive) of this Constitution has been, is
being or is likely to be contravened in relation to him ….
Then, without prejudice to any other action in that respect
to the same matter which is lawfully available, that person
…. may apply to the High Court for redress.”
[9] In interpreting section 24(1) of the Constitution of Zimbabwe which is
in pari materia with section 22(1) of the Lesotho Constitution, the
Supreme Court held that:
“The applicant must be able to show a likelihood of itself
being affected by the law impugned before it can invoke a
constitutional right to invalidate that law.”
And further that:
“Much turns on the meaning of the phrase ‘likely to be
contravened’. Certainly it does not embrace any fanciful
or remote prospect of the Declaration of Rights being
contravened. Nor does it refer to the Declaration of Rights
being liable to contravention…. Rather it means a
‘reasonable probability’ of such a contravention
occurring… There must exist a realistic or appreciable
probability – and not merely a reasonable possibility – for
10
there to be the requisite basis to invoke a constitutional
challenge.” (United Parties v. Minister of Justice, Legal
And Parliamentary Affairs And Others 1998(2) BCLR
224 (ZS) at 227F, 228 I-J and 229A).
[10] Writing on for runner of this section in the 1966 Lesotho
Constitution Palmer and Poulter state that:
“Under section 20 a party may complain not only of past
and completed contraventions of his fundamental rights
but of contraventions “likely” to infringe his rights as well.
Consequently an individual may seek preventive remedy
against threatened or imminent violation. The degree of
proximity between the threat and the foreseen
infringements described by the term “likely” is redolent of
the “probable” cause standard for obtention of a warrant in
search and seizure questions. It seems to convey the
notion that the infringement, given a set purpose of
enforcement by the Government and motions in that
direction, will on average take place more times than not.
In coping with their mandate to protect against likely
infringement the courts may be expected to employ a
repertoire of remedies, not the least of which are interdict
and declaratory relief. It may be added here that the
benefit of declaratory relief lies not merely in the
prevention of enforcement of an unconstitutional law but
in extricating the individual from the dilemmatic choice
between the perils of his own interpretation of his
fundamental rights and the abandonment of those rights
out of fear of incurring serious injury, e.g. a term of
imprisonment or loss of employment.” (See Legal
System of Lesotho 1972 (Virginia: Mitchie) pp 366-367)
[11] The procedure of rule nisi then becomes proper if the exigencies of a
situation calls for urgent judicial protection. This is a procedure of
11
urgency whose utility is to protect immediate interests which would
be in risk if the normal procedures are resorted to. As put in Safcor
Forwarding Johannesburg (Pty) Ltd v. National Transport
Commission 1982 (3) SA 654 (A) @ 674 H – 675A:
“The procedure of a rule nisi is usually resorted to in
matters of urgency and where the applicant seeks interim
relief in order adequately to protect his immediate interests.
It is a useful procedure and ….to be encouraged rather than
disparaged in circumstances where the applicant can show,
prima facie, that his rights have been infringed and that he
will suffer real loss or disadvantage if he is compelled to
rely solely on the normal procedures for bringing disputes
to Court by way of notice of motion or summons”
[Emphasis added]
[12] To preserve the status quo and protect immediate interests, interim
interdictory relief is often the remedy to effectuate such protection.
The requirements of such a remedy have been summarized by the
Court of Appeal as follows:
(a) A prima facie right;
(b) A well grounded apprehension of irreparable harm;
(c) A balance of convenience in favour of the granting of
interim relief; and
(d) The absence of any other satisfactory remedy (Attorney-
General And Another v. Swissbourgh Diamond Mines
12
(Pty) Ltd And Others (No.1) LAC (1995-1999) 87 @
99F-H)
The Court of Appeal has further held that:
“… there can be doubt as to the overriding
discretionary nature of the remedy. Whilst such
discretion must always be exercisable judicially, no
comprehensive strictures can be laid down which can
exclude this discretion … That delay, on the part of
the applicant is a consideration to which regard can
be had in exercising the court’s discretion is also
clear …” (op cit. @ 100 C-E)
I will, in due course, show that in the circumstances in casu, the
invocation of the rule nisi procedure and attendant prayer for interim
interdict were not predicated on any shown prima facie right and its
threatened infringement and that where any such rights existed, if at
all, the Disciplinary Procedure Code was adequate to safeguard them.
[13] The applicants’ complaint is in connection with the manner in which
the disciplinary process is likely to be conducted and not how it is
being conducted. In that sense, theirs is at best a reasonable
possibility, and not a realistic or appreciable probability, of
anticipatory violation of their constitutional rights. But even
assuming in their favour that there exists such an appreciable risk, I
13
cannot discern any reason to doubt the ability and competence of the
disciplinary tribunal to conduct proceedings in a manner which will
not be protective of the constitutional and labour law rights of the
applicants. Nothing to the contrary has been suggested. The
expectation must then be that the disciplinary process will unfold in
compliance with the constitutional imperatives of a fair hearing before
an independent and impartial disciplinary tribunal per section 12(8)
and the panoply of procedural protections of due process provided for
in the Respondent’s Disciplinary Code and Procedure.
[14] A declarator sought pursuant section 22 constitutional access to this
Court is mandatorily issued if the Court finds that there is a violation
of the provisions in the Bill of Rights. This is different from a
declarator sought at common law or under section 2(1)(c) of the High
Court (Amendment) Act No.34 of 1984 which is issued on a
discretionary basis. The difference in approach lies in the subjective
and objective positions of the litigants. In constitutional litigation the
Court determines the validity of the law or conduct on an objective
basis in disregard to the subjective positions of the parties. But when
making a determination of the existence of a right at common law or
14
per the Act referred to, the subjective positions of the parties are
controlling because a declaratory in this regard serves the purpose of
binding the parties and rendering the matter as res judicata between
them. (National Director of Public Prosecutions v. Mohamed NO.
2003 (4) SA 1 (CC) paras [54] – [59])
Minimum Standards For Fairness In Disciplinary Proceedings
[15] The holding of a disciplinary hearing is regarded as a pre-dismissal or
pre-sanctioning procedure which serves the purpose of affording the
employee a fair and proper hearing. It is on this basis that “The courts
of law will only in highly exceptional instances issue an interdict to
restrain disciplinary hearings” (LAWSA 2nd Edition Vol.13 Part 1
para 722).
[16] For the disciplinary procedure to be fair, it must generally meet a ten-
point test (otherwise known as the ten golden rules) as follows:
(a) The employee must be fully informed about the charges
brought against him or her prior to the hearing, that is, he
15
must be provided with all relevant facts and dates relating
to the alleged misconduct.
(b) He or she must be informed about the charges timeously
and also when and where the hearing will take place; this
means that he or she must be afforded a fair opportunity
to reflect on the charges and to prepare his or her case;
(c) The hearing must be held within a reasonable time after
the commission of the alleged misconduct;
(d) The hearing must be conducted in the employee’s
presence unless he or she refuses to attend the hearing; if
necessary, he or she must be provided with an interpreter;
(e) The employee is entitled to be represented at the hearing
by a co-employee such as a trade union official, an
employee may only be assisted by a legal representative
in serious and/or complex cases;
16
(e) The employee must be afforded a fair opportunity to state his or
her case to a disciplinary tribunal after the employer has
presented his or her case; in other words, the employee is
entitled:
(i) to full discovery of and access to all
evidence (including documents) to be used
against him or her;
(ii) to cross-examine witnesses testifying against
him or her;
(iii) to give evidence and put forward his or her
defence;
(iv) to call witnesses to substantiate his or her
defence; and
(v) to make concluding representations to the
disciplinary tribunal.
17
(g) The disciplinary tribunal must be unbiased and must
consider all relevant circumstances and facts relating to
the charges objectively with a just and open mind;
(h) After a finding of guilty, but before the imposition of a
penalty, the employee must be afforded the opportunity
to adduce evidence in mitigation of sentence; similarly
the employer may adduce aggravating circumstances,
previous warning, disciplinary record, and so forth;
(i) The decision and the reasons for the decision must be
made known to the employee; and
(j) The employee must be reminded that he or she is entitled
to appeal against the decision to the Labour Court in
terms of section 4(5) of the Public Service
(Amendment) Act No. 3 of 2007 if a public servant, or if
a private sector employee, that he or she may refer the
dispute to the Directorate of Dispute Prevention and
Resolution (DDPR) terms of Section 226 (2) (d) of the
18
Labour Code (Amendment) Act No. 3 of 2000 (See
also LAWSA (ante) para 724)
[17] All the above standards are codified in the respondent’s Disciplinary
Code and Procedure. But for the insistence of legal representation,
there is nothing in the papers to suggest that the disciplinary
proceedings will be conducted in a manner contrary to the Code.
Constitutional Imperatives for Fair Hearing
[18] The ten-point standards mirror the constitutional right to a fair trial as
guaranteed in section 12(8) of the Constitution of Lesotho. Section
12(8) reads:
“Any court or other adjudicating authority prescribed by
law for the determination of the existence or extent of any
civil right or obligation shall be established by law and
shall be independent and impartial; and where proceedings
for such a determination are instituted by any person
before such a court or other adjudicating authority, the
case shall be given a fair hearing within a reasonable
time”.
[19] In interpreting section 12(8) with regard to the extent of the
entitlement to legal representation in civil proceedings, the Court of
Appeal has held:
19
[22] … The question, however, now arises as to whether the
Constitution, quite apart from not abrogating the common law
right to legal representation in civil proceedings in the way it
does in relation to criminal proceedings, nonetheless itself
provides a foundation for claiming an entitlement to legal
representation in civil proceedings, either generally or in
appropriate circumstances.
In my view it does so, in appropriate circumstances. The
protection has not been created by entrenching such right per
se. The protection lies in the provision for a right to a fair
hearing in civil proceedings. That entitlement will not
automatically found a claim under the Constitution to legal
representation in all cases. It will however do so when the
requirements of a fair hearing in turn make legal representation
appropriate. It follows that such a claim will not lie in all civil
proceedings, in the way it exists (by virtue of the specific
stipulation in section 12(2) (d) in all criminal proceedings.
20
[24] The distinction may be simply illustrated. A statute may
conceivably provide for the determination of a civil dispute of a
very simple kind and with minimal consequences. Examples
might include labour legislation providing for the determination
of minor disciplinary matters and excluding an entitlement to
legal representation, or legislation regulating the adjudication of
minor disputes between neighbours, or even property claims of
very low value. Sound policy considerations, balancing
concerns of cost, fairness, expedition and lack of formality, may
in appropriate circumstance justify that approach, and not
trench upon the right to a fair trial. Whether or not a particular
provision excluding an entitlement to legal representation
infringes upon the right to a fair trial would have to be
examined on each instance on its own terms.” (Attorney-
General v. ‘Mopa LAC (2000-2004) 427 paras [22] – [24].)
[20] The respondent’s Disciplinary Code and Procedure provides, inter
alia, for the participation of an accused employee and “A
representative of an accused employee who must also be an employee
of Letšeng”. It is pursuant to this paragraph of the Code that the
21
notices of hearing written to the applicants remind them of “The right
to internal representation”. Mr. Rasekoai’s attack on this reminder
and the relevant paragraph of the Code whence it is sourced is that
this constitutes a violation of the right to a fair determination of
applicants’ civil rights and obligations guaranteed under sections 4(h)
and 12(8) of the Constitution. Is it so? I think not as expounded
hereafter.
[21] In their own terms, and as interpreted by the Court of Appeal in the
‘Mopa case (supra), these sections do not provide expressis verbis for
the right to legal representation in civil proceedings. Any need for
legal representation can only be fact-driven and case-specific. So it
does not follow as a matter of course that in civil proceedings there is
necessarily a need for legal representation in all circumstances or
there cannot be such a need at all. It is the gravity or complexity of a
case that will yield an answer for the cry for such a need. (British
Columbia (Attorney General) v Christie (2008) 24 BHRC 357
paras 24-27)
22
[22] This is the approach that the Labour Appeal Court has also adopted in
those cases in which the question of a prior exclusion of participation
by external lawyers in disciplinary proceedings has arisen. In
Lerotholi Polytechnic v. Lisene LAC/CIV/05/2008 para 25 (dated
20 January 2009 (as yet unreported), the Court held as follows:
“The fact that a member of staff’s entitlement to
representation has not been qualified is in itself a strong
indication of an intention not to exclude a residual
discretion to allow representation of a different kind in
appropriate circumstances. That does not mean, of course,
that permission to be represented by lawyer who is neither
a student nor a member of the staff of the Lerotholi
Polytechnic is to be had simply for the asking. It will be
for the Staff Disciplinary Committee to consider any such
request in the light of the circumstances which prevail in
the particular case. As Chaskalson CJ once put it in
Minister of Public Works and Others v. Kyalami Ridge
Environmental Association and Another (Mukhwevho
Intervening) 2001(3) SA 1151 (CC) at 1184 E,
ultimately, procedural fairness depends in each case upon
the balancing of various relevant factors, including the
nature of the decision, the “rights” affected by it, the
circumstances in which it is made, and the consequences
resulting from it. In doing so, the Lerotholi Polytechnic’s
legitimate interest in keeping disciplinary proceeding
‘within the family’ is of course also to be given due
weight, but cannot be allowed to transcend all else no
matter how weighty the factors in favour of allowing of
‘outside’ legal representation may be.”
23
Similar sentiments have been expressed in South Africa by the
Supreme Court of Appeal in MEC: Department of Finance,
Economic Affairs and Tourism, Northern Province v. Mahumani
[2005]2 All SA 479.
[23] The need for legal representation in disciplinary proceedings comes
into sharp focus where the employer’s case is marshaled by a lawyer.
In this context the principle of equality of arms become important and
relevant. According to this principle, fairness and the constitutional
imperatives of equality before the law and equal protection of the law
in section 19 of the Constitution dictate that the employee also be
legally represented if he/she so wishes and has the means to afford a
lawyer. The motivation for this commendable approach made by
Allen and Crasnow (2002) Employment Law & Human Rights
(OUP) p. 85 is that:
“Care will need to be taken in relation to equality of arms in
all cases in which there is a represented and unrepresented
party. Issues could arise in relation to any of the following :
(a) The time needed to comply with direction to
prepare written documents.
24
(b) The consideration given to a witness’ statement
which has been written by an individual rather than
by a lawyer.
(c) The way in which examination of witnesses takes
place.
(d) Knowledge of, or access to, the relevant law.
(e) The length of time given to each party to adduce
evidence, cross-examine or make speeches or
representations.”
[24] It was contended on behalf of the applicants that theirs is a case
which cried for ‘outside legal representation’ because the respondent
had subjected them to polygraph tests under compulsion. They feared
that the results of such tests would be tendered in evidence before the
disciplinary tribunal. Shortly stated, the compulsory polygraph
examination constituted evidence which had been procured in
violation of their freedom from cruel, inhuman and degrading
treatment guaranteed in section 8 of the Constitution as well as their
right against self-incrimination as guaranteed in section 12(7) of the
Constitution. In other words legal representation is warranted by the
unconstitutional conduct on the part of the employer.
25
[25] One issue that must be cleared out of the way is that the applicants
cannot rely on a section 12(7) right against self-incrimination as that
is a right that belongs to persons who are tried for criminal offences.
Any supportable basis for such a right would be section 12(8) as a
constitutional imperative for fair procedures. It is settled law that this
right has symbiotic nexus with the right to silence and freedom from
torture or to inhuman or degrading punishment. They form the
corpus of rights and freedoms serving the critically important purpose
of ensuring fair procedures in criminal and civil proceedings and
protecting the bodily integrity of the accused persons and litigants. As
held by the European Court of Human Rights:
“167. As to the use of at the trial of real evidence obtained
as a direct result of ill-treatment in breach of art 3, the court
has considered that incriminating real evidence obtained as
a result of acts of violence, at least if those acts had to be
characterized as torture, should never be relied on as proof
of the victims guilt, irrespective of its probative value.
Any other conclusion would only serve to legitimize,
indirectly, the sort of morally reprehensible conduct which
the authors of art 3 of the convention sought to proscribe or,
in other words, to ‘afford brutality the cloak of law’ ….
168. As regards the use of evidence obtained in breach of
the right to silence and the privilege against self-
incrimination, the court reiterates that these are generally
26
recognized international standards which lie at the heart of
the notion of fair procedures under art 6. Their rationale
lies, inter alia, in the protection of the accused against
improper compulsion by the authorities, thereby
contributing to the avoidance of miscarriages of justice and
to the fulfillment of the aims of art 6. The right not to
incriminate oneself, in particular, presupposes that the
prosecution in a criminal case seek to prove their case
against the accused without resort to evidence obtained
through methods of coercion or oppression in defiance of
the of the accused…” (Gafgen v. Germany (2010) 28
BHRC 463)
[26] The question is whether by the employer subjecting an employee to a
polygraph test, the parties are in a position comparable to that of a
criminal suspect who is ill-treated or coerced by an investigator of a
criminal offence so that the rights of silence and self-incrimination
and freedom from torture or ill-treatment are engaged. To answer this
question, it must firstly be found out what a polygraph test is and how
it is conducted.
[27] In Jon Zonderman (1999) Beyond The Crime Lab, Revised Edition
(John Wiley and Sons) pp 184-185 the author writes:
“The polygraph or so-called lie-detector usually measures three
physiological indicators as a subject is put through a series of
27
questions. The indicators are a rate and depth of respiration,
measures by straps placed around the abdomen and chest;
cardiovascular activity as it is reflected in blood pressure,
measured by a cuff around the bicep; and the electrodermal
response, an indication of perspiration, measured by electrodes
on the fingertips.
Although these three indicators show changes brought about by
increases in certain kinds of stress, most scientific examinations
of polygraphs have come to the conclusion that they are not
good at determining whether someone is telling the truth. One
reason is that a person’s level of anxiety can be changed by the
interaction with the polygraph examiner; by the way in which
questions are phrased, the speed at which they are put, and the
order in which they are presented; and by a host of other
factors. In addition, one can train oneself to ‘beat’ a polygraph
in the same way that one can train oneself to endure physical or
emotional duress and torture. In short, skilled lairs can beat
polygraphs, producing what scientifically is termed a false
negative. At the other hand, many truth-telling people who are
28
emotionally charged can be shown by a polygraph to be lying, a
false positive.”
[28] From the aforegoing description of the methodology of administering
a polygraph test, there can be no denying that it is an investigative
technique which is exacted on the body of a person for the purpose of
extracting usable information or statements from which the
truthfulness or falsity can be determined. Prima facie, therefore,
administering of a polygraph tests without consent affects the
constitutional rights against silence and self-incrimination and the
freedom from torture or inhuman or degrading punishment or other
treatment.
[29] In the context of criminal proceedings, the Supreme Court of India has
held as follows regarding the administration of polygraph and Brain
Electrical Activation Profile (BEAP) tests:
(a) The consequences of undergoing a polygraph or a BEAP
test are similar to making an oral and written statement.
By making inferences from the result of these tests, the
examiner is able to derive knowledge from the subject’s
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mind which otherwise would not have become available
to the investigators through lie-detection or gauging a
subject’s familiarity with stimuli, personal knowledge is
conveyed in respect of a relevant fact. It is also
significant that unlike the case of documents, the
investigators cannot possibly have any prior knowledge
of the tested person’s thoughts and memories, either in
the actual or constructive sense. Therefore, even if a
highly strained analogy were to be made between the
results obtained from the impugned tests and the
production of documents, the weight of precedent leans
towards restrictions on the extraction of personal
knowledge through such means.
(b) The compulsory administration of polygraph test
impedes the person’s right to choose between remaining
silent and offering substantive information. The
requirement of a positive volitional act becomes
irrelevant since the person is compelled to convey
personal knowledge irrespective of his/her own volition.
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(c) The results obtained from the tests should be treated as
personal testimony since they are means of imparting
knowledge about relevant facts. Thus, if obtained
through involuntary administration, the polygraph
examination results come within the scope of testimonial
compulsion, thereby attracting the right not to be
compelled to be a witness against oneself.
(d) However, the right against self-incrimination is not
implicated where:
(i) a person gives his/her informed consent to undergo
a polygraph test,
(ii) where compulsion to undergo the tests is in the
course of administrative proceedings or any other
proceedings which may result in civil liability;
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(iii) where the test results could become the basis of
non-penal consequences for the person such as
custodial abuse, police surveillance and
harassment among others.
(e) Compulsory administration of the polygraph test
constitutes cruel, inhuman or degrading treatment. The
law disapproves of involuntary testimony, irrespective of
the nature and degree of coercion, threats, fraud or
inducement used to elicit the same. Although popular
perceptions of terms such as torture and cruel and
inhuman or degrading treatment are associated with gory
images of blood-letting and broken bones, it must be
recognized that a forcible intrusion into a person’s mental
processes is also an affront to human dignity and liberty,
often with grave and long-lasting consequences.
(f) No individual should be forcibly subjected to any of the
techniques in question, whether in the context of
investigation in criminal cases or otherwise. Doing so
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would amount to unwarranted intrusion into personal
liberty.
(g) Even where a person has given consent to undergo any of
these examinations, the tests results by themselves cannot
be admitted as evidence because the person does not
exercise conscious control over the responses during the
administration of the techniques. But any information or
material that is subsequently discovered with the help of
voluntary administered test results can be admitted.
(Selvi & Ors v. State of Karnataka & Anor 5 May
2010 paras 160, 161, 166, 205 and 223)
[30] The golden thread that runs through the above principles is that
voluntariness or consent of the person subjected to a polygraph test is
dispositive of the question of impropriety of use of polygraph tests
and the admissibility of information or material subsequently
discovered.
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[31] The answer, therefore, to the question posed earlier as to whether the
positions of employer versus employee and police investigator versus
criminal suspect are comparable vis-à-vis the administration of
polygraph tests must, in my judgment, be answered in the positive.
The Selvi principles govern both relationships.
[30] Thus, to succeed the attack Mr. Rasekoai directed against the
administration of polygraph tests on the applicants and the possible
use of test results in the disciplinary proceedings, applicants would
have to show prima facie, that there was no consent given. In their
own affidavits, the applicants aver that they singed consent forms
before being subjected to polygraph tests; (Affidavits paras 4.10(b)
4.11(b) and 4.11(c) respectively.) They go further to state that they
signed the forms “as a measure of keeping my work and out of my
free and voluntary volition” and that “the resulting testimony cannot
be readily characterized as voluntary in nature.”
[31] What the applicants do not disclose is whether they expressed their
fears of loosing their jobs if they refused to sign the forms to the
respondent’s personnel at whose instance they were subjected to the
34
polygraph examination. Their silence on this crucial aspect disables
the Court from determining whether their consent was negatived by
any conscious act on the part of the respondent. I am, therefore, not
persuaded that the polygraphs tests were conducted on the basis of
compulsion, deception or chicanery from the respondent. Prima
facie, no right to silence or self-incrimination has been, or is being
threatened.
[32] Regarding the contention that “the resulting testimony cannot be
readily characterized as voluntary in nature,” the validity thereof finds
support in the Selvi principles. But this support only applies to the
extent that such testimony is a product of an involuntary
administration of polygraph test. Where the polygraph test is
administered voluntarily, the force of the contention lies on the basis
of the inadmissibility of the test results on the ground that the
applicants did not exercise conscious control over the responses
during the administration of the test. What is admissible however is,
any information or material that is subsequently discovered with the
help of voluntary administered test results.
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[33] In short testimonial immunity is granted to the test results and not the
transactional testimony about information or material discovered
subsequently. This approach differs from the evolving jurisprudence
in South African courts which holds that polygraph test results are
usable testimony corroborative of the employer’s evidence and can be
dispositive of the employee’s guilt (See Truworths Limited v.
CCMA (supra); Mustek Ltd v. Tsabadi NO & Others Case No. JR
2732/2010 (LC) dated 2 March 2012 (as yet unreported).
[34] I hold the view that the testimonial immunity if polygraph tests as
propounded in Selvi case should be the preferred approach in Lesotho
as it talks to the protection of guaranteed rights and freedoms. These
rights and freedoms bind both state-actors and non-state actors in
terms of section 4(2) of the Constitution. (See Palmer and Poulter
Legal System of Lesotho (supra) p.339) The non-penal
consequences which might flow from the use of such tests in
disciplinary proceedings to prove the guilt of an employee might be
too drastic for the rights of the employee. The constitutional
protection is effectuated by not granting testimonial immunity to the
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polygraph test results in disciplinary proceedings except transactional
immunity for information or material subsequently discovered.
DISPOSITION
[35] It is for the aforegoing reasons that the Court refused to issue a rule
nisi and interim reliefs.
__________________
S.P. SAKOANE
ACTING JUDGE
__________________
I agree T.E. MONAPATHI
ACTING CHIEF JUSTICE
__________________
I agree K.L. MOAHLOLI
ACTING JUDGE
For the Applicant : Adv. M.S. Rasekoai
For the Respondents : Adv. H.H.T. Woker
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