Completion' Is The Key To Liquidated Damages: But What Is Completion?
Completion' Is The Key To Liquidated Damages: But What Is Completion?
Completion' Is The Key To Liquidated Damages: But What Is Completion?
LIQUIDATED DAMAGES:
BUT WHAT IS COMPLETION?
John Nestor
May 2004
www.scl.org.uk
‘COMPLETION’ IS THE KEY TO
LIQUIDATED DAMAGES:
BUT WHAT IS COMPLETION?
John Nestor
Introduction
If a party fails to complete by the date prescribed in a construction contract,
the party in breach is often liable to pay or allow a predetermined sum of
money to the other. If this sum is a genuine pre-estimate of the loss likely to
flow from the breach, it represents consensual pre-agreed or liquidated
damages, which are recoverable without having to prove any loss actually
suffered. Therefore, recovery of liquidated damages for delay to completion
depends on three (and only three) facts:
1. that the works are (or should have been) completed on a particular date;
2. that they should have been completed on an earlier date; and
3. that there is a pre-agreed stipulated sum of money that forms a genuine
pre-estimate of the loss that is likely to flow from the breach.
This paper concerns the first of these. It does so within the context of practical
completion under a standard form of building contract. However, its aim is
prescriptive of completion when completion – or more precisely a failure to
complete – is the trigger for liquidated damages. It goes on to suggest that a
taking-over certificate would be more appropriate than a certificate of practical
completion.
Clause 1.5 provides that: ‘… the Contractor shall remain wholly responsible
for carrying out and completing the Works in all respects in accordance with
the Conditions, whether or not … the Architect … issues the certificate of
Practical Completion …’
1 Standard Form of Contract, 1998 edition, The Joint Contracts Tribunal Ltd.
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meaning ascribed to it in clause 17.1, which provides that practical completion
occurs when:
1. in the opinion of the architect, practical completion of the works is
achieved;
2. the contractor has complied sufficiently with clause 6A.4 (health and
safety file); and
3. if relevant, the contractor has complied with clause 5.9 (supply of as-
built drawings for performance specified work).
The test is threefold, and the first limb has two parts. The first part requires
the architect to apply his or her professional judgment to the question of
practical completion. This implies that completion is a matter of observation,
and therefore interpretation. This has important consequences, because the
certifier is charged with creating certainty by applying professional judgment.
For that reason alone, a party seeking to challenge a certificate will have to
adduce convincing evidence of its incorrectness. Conversely, a party seeking
to challenge a refusal to issue the certificate will have to adduce convincing
evidence that it should in fact have been issued. But this paper is not
concerned with the existence or otherwise of the certifier and how the office
might affect the question of completion. By oversight or design, the parties to
a contract might do away with the certifier, and when the courts review a
certifier’s decision, or rule on a preliminary matter, the judges articulate
principles and standards that the certifier should take into account when
making his or her decision.
The second part imports the word ‘practical’, which suggests completion in a
sense other than (and necessarily lesser than) that envisaged by Article 1 and
clause 1.5. This must be the case, because the consideration plainly relates to
performing all contractual obligations, a point reinforced by the fact that the
contractor remains responsible for carrying out and completing the works in
all respects, including ensuring that the works are free from defects, even if
the architect issues a certificate of practical completion. In other standard
forms, the adjective ‘substantial’ is used, which might suggest something
different from ‘practical’, but the basic point is that, in both cases, something
less than utter completion is expected.
The second and third limbs introduce terms first appearing as Amendment 14
(March 1995) and Amendment 12 (July 1993) of the JCT 80 form.2
Conceivably, they provide that, even if the employer has taken full possession
and use of the works, and they are perfect, but the contractor has not complied
with clause 5.9 or not sufficiently complied with clause 6A.4, the conditions
for issuing a certificate of practical completion will not have been met, and
liquidated damages will apply or continue to apply. Without in any way
seeking to trivialise the importance of such terms, they do not sit comfortably
with the principles at play.
Authorities on completion
The general rule in contract is that a party to a contract must perform exactly
what he or she undertook to do,3 but the doctrine of substantial performance4
restrains the rigour of this rule.5
3 See Chitty on Contracts, 28th edition, Sweet & Maxwell, 1999, para 22-001.
4 See note 3, paras 22-032 and 22-033.
5 Notwithstanding the view of the learned editors of Chitty on Contracts relating to the
distinction between severable obligations and entire contracts – namely, that there ought
to be no room in English law for a doctrine of substantial performance – the authorities
support its existence: See Broom v Davis (1794) 7 East 480n; Mondel v Steel (1841)
8 M & W 858; Dakin v Oxley (1864) 15 CB(NS) 646; H Dakin & Co Ltd v Lee [1916] 1
KB 566, CA; Hoenig v Isaacs [1952] 2 All ER 176, CA; Kiely & Sons Ltd v Medcraft
(1965) 109 Sol Jo 829, CA; Bell v Automatic School of Motoring Ltd (1969) 113 Sol Jo
871, CA; Bolton v Mahadeva [1972] 2 All ER 1322, [1972] 1 WLR 1009, CA.
6 Bolton v Mahadeva [1972] 2 All ER 1322, at page 1327.
7 Greenberg and Millbrook, Stroud’s Judicial Dictionary of Words and Phrases,
6th edition, Sweet & Maxwell, 2000, page 463.
8 Emson Eastern Ltd v EME Developments Ltd 55 BLR 114, QBD(OR).
9 See note 2, private without quantities.
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architect had certified practical completion, the employer would not have been
obliged to pay the contractor anything more until someone else had rectified
such work, because the employer had determined the contractor’s employment
after it had gone into administrative receivership.
Judge Newey QC considered three tests previously put forward (one was his
own):
1. Completion means ‘… completion for all practical purposes, that is to
say for the purpose of allowing the employers to take possession of the
works and use them as intended’ per Salmon LJ in Jarvis v
Westminster.10
2. Completion means ‘… completion of all the construction work that has
to be done’ per Viscount Dilhorne in Jarvis v Westminster, on appeal in
the House of Lords.11
3. Completion means that ‘…the architect [had] a discretion to certify that
[the contractor] had fulfilled its obligation under clause 21(1), where
very minor de minimis work had not been carried out, but that if there
were any patent defects in what [the contractor] had done the architect
could not have given a certificate of practical completion’ per Judge
Newey QC in Nevill v William Press.1213
In terms of completeness, the second test demands more than the third, and the
third more than the first. But all three have the same objective, and presume
that completion ought to be measured by reference to the quantity and quality
of work carried out. They differ, though, on the criterion employed.
The first is purposive. The guiding tenet is whether the works are sufficiently
complete for the purpose for which they were designed, or whether they are
reasonably fit for possession and use by the employer. In this way, defects are
material if they affect possession and use. The second and third are
abstractive in the sense that completion is a matter of focussing on the quantity
and quality of the work carried out. The first is not pre-occupied with
classifying the work in terms of defects, but the second and third are. They
rely on elusive and troublesome distinctions, spawning qualifiers such as
patent, latent, major, minor and de minimis.
10 J Jarvis & Sons Ltd v Westminster City Council [1969] 3 AllER 1025, [1969] 1 WLR
1448, CA, at page 1458.
11 J Jarvis & Sons Ltd v Westminster City Council [1970] 1 AllER 943, [1970] 1 WLR 637,
HL, at page 646.
12 HW Nevill (Sunblest) Ltd v William Press & Son Ltd (1981) 20 BLR 78, QBD(OR),
at page 87.
13 Tests set out by Judge Newey in Emson (see note 8), at pages 120-121.
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being more stringent than the former. In William Press I seem to have
sought a position in between and I think that that is probably right.14
But unless one construes patent defects in William Press as excluding snags or
minor defects, the Emson test is less exacting than the test in William Press.
In Emson, Judge Newey QC went on to state that: ‘The construction industry
recognises a difference between the carrying out of new works and ‘snagging’,
that is to say dealing with minor defects in them.’15
That engendered another qualifier, because Judge Newey QC decided that the
existence of ‘snags’16 or ‘minor defects’ did not prevent completion, a
decision which is more in keeping with the purposive approach of Salmon LJ
rather than the abstractive approach of Lord Dilhorne. Even if it is not, the
references to the background context and to liquidated damages suggest that
the issue of completion is not solely about completion in the abstract, but
rather completion in the context of, amongst other things, liquidated damages.
In its latest edition, the Royal Institute of British Architects issues the
following guidance (or warning):
Issue certificate of practical completion in accordance with the
provisions of the contract. Certify practical completion only when, in
your opinion, this state has been attained. Be very wary of pressure from
the contractor or the client to certify practical completion early – the
consequences can be serious for all concerned.22
Wrong measure
The starting point for this proposition is that, in principle, liquidated damages
expressed by reference to time must be the wrong measure of damages for the
existence of defects in a building that may or may not impinge on availability.
21 Architect’s Job Book, 6th edition, RIBA Publications, 1995, page 251.
22 Architect’s Job Book, 7th edition, RIBA Publications, 2000, page 246.
23 See McGregor on Damages, 17th edition, Sweet & Maxwell, 2003, para 26-007.
24 See note 23, para 26-009. But if the cost of cure is out of all proportion to the benefit to
be obtained, the normal measure is the diminution in the value of the building occasioned
by the breach – see Ruxley Electronics & Construction Ltd v Forsyth [1996] AC 344,
[1995] 3 All ER 268, 73 BLR1, 45 ConLR 61, HL.
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The essence of pre-agreed damages is a genuine25 pre-estimate of the loss that
is likely to flow from a particular breach.26 This carries with it the implication
that, at the time the parties made their contract, they had regard to the range of
losses that the parties could reasonably anticipate arising from the breach,
which in turn involves issues of measure and quantification. When defects do
not impinge on availability, it cannot be appropriate to use a measure founded
on availability, because it could not (except by pure coincidence) correspond
with a sum that ought to be posited. Indeed, given that damages are invariably
a calculation founded on the employer gaining no useful benefit whatsoever
from the building during the period of delay, the stated sum cannot be justified
unless the particulars of breach do in fact impact on the employer in this way.
Further, the use of an inappropriate measure would in any event undermine the
genuineness of the estimate that must be made.
The second point is that the issue of whether a particular breach is covered by
a liquidated damages clause is a matter of construction. That being so, the
courts have held that such clauses should be construed so as to avoid the result
that they cover breaches of contract resulting in minor loss.
In Emson, but not in William Press, Judge Newey QC referred to this point
and stated:
If, contrary to my view, completion is something which occurs only after
all defects, shrinkages and other faults have been remedied in accordance
with clauses 17.2 and 17.3 … it would make the liquidated damages
provision in clause 24 unworkable ....29
More recently, the Court of Appeal considered the issue in the context of
shipbuilding in the case of Cenargo Ltd v Empresa Nacional Bazan de
25 The learned editors of Chitty (see note 3), para 27-104 state that this word has not been
interpreted in a reported case, but presumably it means ‘… a serious attempt to estimate
loss …’
26 See Dunlop Pneumatic Tyre Co Ltd v New Garage and Motor Co Ltd [1915] AC 79, HL;
Philips Hong Kong Ltd v A-G of Hong Kong (1993) 61 BLR 41, 9 ConstLJ 202, PC.
27 See note 23, para 13-011.
28 See note 10, at page 1458.
29 See note 8, at page 122.
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Construcciones Navales Militares SA.30 Here, the claimant contracted with
the defendant to construct and deliver two ‘ro-ro’ ferries. The contract
provided that each ferry was to have a freight capacity of at least 146 spaces
(each 13 metres long). The contract further provided for payment of
liquidated damages for each space by which the ferries were deficient in
freight capacity. The claimant argued that the defendant had provided only
140 spaces, since there were issues preventing the claimant from using six of
the spaces. The Court of Appeal held that there was no breach. The
obligation to deliver vessels with the requisite freight capacity meant
delivering vessels capable of providing the right number of spaces, and it was
only because of faulty design or work that the right number of spaces had not
been provided earlier – that is to say, on delivery. Further, the Court of
Appeal held that, even if the vessels had been incapable of providing the six
required spaces, the loss resulting from the breach was not intended to be
covered by the liquidated damages clause.
The terms
The third point is that availability is relatively consistent with the terms of the
standard form, and more so than the abstractive approach. Perhaps it would be
hopeless to search for some logically consistent and complete exposition of
the meaning and effect of a standard form, at least when such form is the
product of evolution by derivation from several predecessors, and subject to
numerous amendments along the way, thus creating ideal conditions for
introducing inconsistency, ambiguity and redundancy. To this one can add the
imperfect procedure of the legal process itself and the inherent risk of
choosing questionable paths that are rarely retraced, but from which deviations
frequently occur.
Looking further at the provisions of JCT 98,33 doubtless, there is force in the
argument that because clauses 17.2 and 17.3 expressly deal with defects that
appear within the defects liability period, it plausibly follows that the period is
not intended to address defects that cannot appear within it, such as defects
that are already apparent. Thus, as the defects liability period starts once
practical completion has been achieved, the implication is that practical
completion cannot be achieved until those defects which are apparent have
been rectified. Lord Dilhorne made this point in Jarvis,34 giving more weight
to the concept of a ‘defects liability period’ than to other terms, such as
clauses 18 or 24. Nonetheless, the case of Emson35 shows that clauses 17.2
and 17.3 do not have the effect suggested by Lord Dilhorne. Not only in
principle can minor patent defects be rectified during the defects liability
period, but also in practice they often are, minor or otherwise.
As to clause 18, this is plainly relevant, as it provides for the employer to take
possession of part of the works. If the employer does so, the contractor’s
liability for liquidated damages is expressly curtailed proportionately to the
32 See note 30, at page 1197G, Sir Guenter Treitel, The Law of Contract, 10th edition,
Sweet & Maxwell, 1999, at page 932 (11th edition published 2003, see pages 1001-2).
33 See note 1.
34 See note 11.
35 See note 8.
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value of such part when measured against the contract sum and the rate
specified in the contract for liquidated damages. Further, it would appear that
clause 18 operates when the employer has taken possession of all the works,
not just part of them: see Skanska Construction v Anglo-Amsterdam.36 Thus,
the consequences of taking possession of all the works relieves the contractor
thereafter from liquidated damages or further liquidated damages.
If the abstractive approach and the cases mentioned above are sound, the
resulting analysis seems to be this: ‘If the employer takes possession of the
works, liquidated damages cease; but if the employer does not take possession,
even though the works are reasonably available for such possession, liquidated
damages do not cease provided the existence of defects precludes the issue of
a practical completion certificate.’ This suggests that there is a distinction
between the act of taking possession, when liquidated damages cease, and
omitting to take possession, despite availability, when they do not. In this
way, liability for damages is at the election of the employer. However, this
distinction is not supported by the learned editors of Keating on Building
Contracts, who state that:
The Employer is not bound to take possession of a completed part of the
Works. But it is thought that where liquidated damages are running, an
Employer who, in all the circumstances, was unreasonable in refusing
the Contractor’s offer of possession of a completed part of the Works
might be open to arguments in favour of a proportional reduction in
liquidated damages for failing to mitigate his loss.37
This suggests that the resulting analysis is not correct. It suggests that if the
works are reasonably available for possession and for their intended use,
liquidated damages should cease. This in turn suggests that the test is, or
should be, availability.
Clearly, the courts have faced real difficulties grappling with a concept that
they did not create. This is partly because ‘completion’ is a misnomer, and
militating adjectives such as ‘practical’ and ‘substantial’ serve as a clear sign
of this. Indeed, the concept of practical completion has led some to suggest
that a construction contract is, in practice, two contracts. A prevalent and
counterproductive view seems to be that when practical completion has been
achieved, the contractor has all but discharged its obligations. In this way, the
contractor frequently focuses on achieving practical completion to the
detriment of what is ultimately required.
This all or nothing relationship creates plenty scope for dispute, confrontation,
posturing and lack of co-operation. Although the concept of taking-over
would not remove dispute, it could provide greater flexibility for the certifier,
allowing fairness and pragmatism to be dispensed when circumstances
demand. Another advantage is that, unlike practical completion in practice, it
would not seek to span the divide between availability and something less than
utter completion.
In the light of the Government’s desire to build better relationships within the
construction industry, engaging processes that promote that desire should be
encouraged. A conspicuous and direct link between availability for intended
use and liability for liquidated damages for delay to commencement of that
use can only strengthen the concept of liquidated damages and clearly
establish commencement of intended use as the initial goal of all the
contracting parties. This might help promote a better relationship between
employer, contractor and certifier, one where the parties seek to mitigate the
overall financial impact of construction delay. Additionally, the pre-
determination of the occupation charge payable by the contractor after taking
over would, if appropriate amounts are prescribed, help the contractor
understand the balance between delayed commencement of intended use and
disruption to that use after commencement. This might help the contractor
understand and manage the risks associated with construction delay.
The views expressed by the author in this paper are his alone, and do not necessarily
represent the views of the Society of Construction Law or the editor, neither of whom
can accept any liability in respect of any use to which this paper or any information
in it may be put, whether arising through negligence or otherwise.
12
‘The object of the Society
is to promote the study and understanding of
construction law amongst all those involved
in the construction industry’
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