McNeil v. McCormick, 2022 NSSC 394
Opinion
SUPREME COURT OF Nova Scotia Citation: McNeil v. McCormick , 2022 NSSC 394 Date: 20230112 Docket: 511569 Registry: Sydney Between: Paula McNeil and Bradley McNeil Applicants v.
Blair McCormick and Susan McCormick Respondents Judge: The Honourable Justice Patrick Murray Written Submission: June 29, 2022 Decision: January 12, 2023 Counsel: Alan Stanwick for Bradley and Paula McNeil Kelly O’Brien for Blair and Susan McCormick By the Court: Introduction [ 1 ] This is an Application in Court by the Applicants, Paula McNeil and Bradley McNeil, for specific performance compelling the Respondents, Blair McCormick and Susan McCormick, to complete the sale of the three properties located on Broughton Road, Birch Grove, Nova Scotia. [ 2 ] A Notice of Contest has been filed by the Respondents denying the grounds contained in the Application in Court.
Background- as stated by the Parties [ 3 ] The Applicants approached the Respondents regarding the purchase of the three lots of land located at Birch Grove and bearing PIDs 15535297; 15535289; and 15583818 (“the property”). [ 4 ] The Applicants submit the parties reached an oral agreement whereby the Applicants would purchase the property from the Respondents for the sum of $25,000.00, plus the Applicants would be responsible for the associated legal fees. [ 5 ] The Applicants made three separate deposits totalling $15,000. toward the purchase of the property.
An Agreement of Purchase and Sale was drafted by the Applicants’ lawyer. [ 6 ] The Respondents state there is no written agreement between the parties providing for the sale of properties located on Broughton Road, Birch Grove, and bearing PIDs 15535297; 15535289; and 15583818. [ 7 ] Further, the Respondents say the parties failed to reach a consensus as to the essential terms of the sale of the properties. [ 8 ] Upon reviewing a draft Agreement of Purchase and Sale from the Applicants, the Respondents informed the Applicants that
they no longer wished to proceed with the sale of the properties. Question of Law [9] At the outset of the hearing of this matter on May 18, 2022, counsel for the Respondents asked the Court to determine aquestion of law before the hearing of application, in accordance with Civil Procedure Rule 12. The parties agreed on two questions oflaw to be determined before the hearing of the Application. These are as follows: 1. What is the proper test for the doctrine of part performance? 2. If the test is the test set out by the Supreme Court of Canada in Deglman v.
Brunet Estate, (SCC), [1954] S.C.R. 725,[1954] 3 DLR 785, can the payment of money alone ever constitute a part performance? Question #1 - What is the proper test for the doctrine of part performance? [10] In Tabensky v. Hope, 2008 NSCA 116, the court held that a Deed and signed agreement were sufficient to satisfy therequirements of the Statute of Frauds. The memorandum itself need not be a contract or in any particular form, nor need it contain all ofthe agreed terms, but it must contain the essential terms by identifying: 1) the parties; 2) the property being conveyed; and 3) theconsideration. Deacon v.
Adams, (1982), (NS SC), 55 N.S.R. (2d) 218; Carvery v. Fletcher, (1987), (NS SC), 76 N.S.R. (2d) 307. [11] Hill v. The Attorney General of Nova Scotia, (SCC), [1997] 1 S.C.R. 69, involved the expropriation of afarm (owned by Hill) for the purpose of a highway. At issue was whether the Crown could rely on the absence of a written permit todeny that an interest was created to allow Hill to cross the highway which divided the farm into two parcels; and in particular, whetherthe province had granted an equitable interest in the lands permitting the movement of cattle and equipment across the highway.
TheCourt held that the doctrine of part performance prevented the Crown from relying on the legislation (Public Highways Act), finding theterms of the agreement had been carried out, as the province complied with its promise by building gates, fences and ramps andmaintained them for 27 years. Cory, J., held that “in this instance strict adherence to the liberal terms of the writing requirement wouldnot serve the purpose for which the statute was devised, to prevent fraud” (Page 74). [12] In Steadman v.
Steadman, [1974] 2 AII ER 977, the court considered the underlying purpose of the Statute of Frauds, toensure that it was not used as “a variant of unconscionable dealing”, or “to be used as an engine of fraud”, against a party who acted tohis/her detriment in carrying out their obligations, or some significant part of them, under an otherwise unenforceable contract. [13] Although the Court in Hill referred to Steadman, the reference was with respect to the intended remedial purpose of the statute,which is not in dispute in this proceeding. [14] In Steadman the House of Lords did not outright reject Deglman, so as to accept in its place a more relaxed test of what acts ofpart performance will be sufficient to prevent the other party from relying on the writing requirement. [15] The Court stated in Hill that “a verbal agreement that has been partly performed would be enforced”.
As noted by the Court,“Quite simply… equity recognizes as done, that which ought to have been done” [16] One can see there will be aspects of each case that will determine the outcome, such as proof that the Plaintiff acted to theirdetriment, or proof that there was an agreement, even if it is unenforceable. [17] In Self v. Brignoli Estate, 2012 NSSC 81, Justice Coady dealt directly with these issues.
After reviewing the competing tests,he identified the proper one as follows: One of the main differences between this test, and the test adopted in Deglman, is that acts of part performance need not beunequivocally referable to the contract asserted. Steadman only requires them to be consistent with an alleged oral agreement. [18] In his decision Justice Coady discussed the evolution of cases since Cartwright, J. interpreted the bedrock case Madison v.Alderson, (1883) 8 App.
Cas. 467, in Deglman, wherein he cited the comments of Lord Chancellor Sebourne, who stated that “all theacts done must be referred to the actual contract”. Further Lord O’Hogan, stated that the acts of part performance “must have relation tothe one agreement relied upon and the need for the acts to be ‘unequivocal’”, and then the words of Lord Hardwicke, such acts “as couldbe done with no other view or design that to perform the agreement”. [19] In Federal Savings Credit Union Ltd. v. Hessian, (1979), (NS SC), 36 N.S.R. (2d) 166, Glube, J., citedwith approval Lohnes v. Daw et al, [1968] N.S.J.
No. 19, in which the Court quoted Lord Hardwicke in Gunter v. Halsey, (1739), Amb.586, 27 E.R. 381, “as to the acts done with no other view.” [20] Justice Hallett’s decision in Carvery has been cited with approval. (in Tabensky, Self and Brekka v. 101252 P.E.I. Inc.,2015 NSCA 73) as a core decision in this area of law, an area described as “murky”. In Carvery, Justice Hallett discussed the “practicaldifficulty” in attempting to determine how evidence supporting an oral contract, or how evidence adding to the written terms of amemorandum, should be admitted at trial.
He stated that the problem had been already dealt with and resolved in the seminal case ofMcNeil v. Corbett, (1907), (SCC), 39 S.C.R. 608, and quoted Duff, J, who stated: … the plaintiff must first prove acts relied upon to support the existence of an oral contract and it is only after such acts thatunequivocally refer in their own nature to a dealing with the land which is alleged to have been the subject of the contract sued upon havebeen proven that the plaintiff can then adduce evidence of the oral agreement. An analysis of the method of adducing evidence iscontained in Steadman v.
Steadman (1974), 3 W.R. 56 and referred to by Di Castri as a footnote to paragraph 136. [21] Justice Coady provided a thorough analysis of the caselaw, in reaching the conclusion that the test in Deglman stands and is
still the law in Canada. It would not do justice for this Court to repeat his analysis. [22] In respect of his finding he referred to additional cases such as Neighbourhoods of Cornell Inc. v. 1440106 Ontario Ltd.,[2003] O.J. No. 21919, and Alvi v. Lal, [1990] O.J. N. No. 739.
In Alvi, Then, J. followed the “narrower view” that the “acts of partperformance must be unequivocally referrable to some such agreement as that alleged”. [23] Respectfully, Steadman has been referred to in numerous cases on the subject of what acts shall constitute sufficientperformance for equity to “play its hand”, and take the contract outside of the Statute of Frauds. [24] This led the Court in Self to state “While it may be argued that some Canadian Courts have adopted the ‘Steadman test’, I findthat the Deglman test is still the law in Canada” (Paragraph 17). [25] Of course, it must be remembered that the Nova Scotia Court of Appeal, as recently as 2015, approved this test, statingunequivocally in Brekka: [36] I respectfully disagree.
Ms. Brekka’s submissions do not accurately reflect settled law. The putative part performer doesn’t getto pick from a plethora of parts, ultimately choosing a favorite so as to avoid the Statute of Frauds. That is not how it works. In Deglmanv. Guaranty Trust Co. of Canada and Constantineau, (SCC), [1954] S.C.R. 725, Cartwright J. set out the test for partperformance: An
interpretation similar to that in McNeil v. Corbett was placed upon the decision in Maddison v. Alderson by Turgeon J.A., with whomHaultain C.J.S. and Lamont and McKay JJ.A. agreed, in Re Meston, Meston v. Gray et al.[ (SK CA), [1925] 4 D.L.R.887]. At page 888, Turgeon J.A. said:— …In order to exclude the operation of the Statute of Frauds, the part performance relied upon must be unequivocally referable to thecontract asserted.
The acts performed must speak for themselves, and must point unmistakably to a contract affecting the ownership orthe tenure of the land and to nothing else. [Underlining mine] [37] Similarly, in Maddison v. Alderson, [1881-85] All E.R. Rep 742 Lord O’Hagan: But there is no conflict of judicial opinion, and, in my mind, no ground for reasonable controversy as to the essential character of the actwhich shall amount to a part performance in one particular. It must be unequivocal. It must have relation to the one agreement reliedupon, and to no other. It must be such, in Lord Hardwicke's words in Gunter v.
Halsey (19) (West temp Hard at p 681): "as could be done with no other view or design than to perform that agreement." It must be sufficient of itself, and without any other information or evidence, to satisfy a court, from the circumstances it has created andthe relations it has formed, that they are only consistent with the assumption of the existence of a contract, the terms of which equityrequires, if possible, to be ascertained and enforced. [pp.752-53] [Underlining mine] [38] This passage from Lord O'Hagan was also cited with approval by Rand J. in Deglman at p. 727. [26] Without question “unequivocally referable” is the language used by the majority in Deglman, and adopted by the Court ofAppeal in Brekka, as they in fact said.
The minority decision stated “referrable only”. [27] One might ask, “referrable to what”? Cartwright, J. stated “unequivocally referrable in their own nature to, some dealing withthe land”. Rand, J. stated “referrable only to the contract alleged”. [28] In Brekka, Saunders J.A. concluded: 39. Thus the test for part performance and the meaning to be given to the phrase “unequivocally referable” is and remains that whichwas articulated by the Supreme Court of Canada in Deglman, and applied consistently by the courts of this province ever since.
See forexample, the analysis by Hallett J. (as he then was) in Carvery v. Fletcher (1987), (NS SC), 76 N.S.R. (2d) 307 (S.C.)and Coady J. in Self v. Brignoli Estate, 2012 NSSC 81. [29] Once again in Carvery and in Self the court held the essential character of the acts that amount to specific performance shall be“acts of part performance that are unequivocally referrable to the contract for land asserted by the Plaintiff”.
Both of these cases citedDuff, J. in MacNeil, who identified the part performance as “such acts that unequivocally refer in their own nature to a dealing with theland, which is alleged to have been the subject of the contract sued upon”. [30] Counsel for the Applicants, Mr. and Mrs. McNeil submits that it is the “Rand test” that has been applied in Nova Scotia, andnot the test of the majority, namely “referrable only to the contract alleged”. [31] The Applicants have provided additional authorities including Lensen v.
Lensen, (SCC), [1987], 2 S.C.R. 672,where the alleged acts of part performance, as described in Steadman were not rejected by Chief Justice Dickson: 11. Turning to the issue of whether the acts allegedly in part performance of the contract displaced the requirement of s. 4 of theStatute of Frauds, Tallis J.A. reviewed the relevant authorities and concluded: Learned counsel submits that the authorities do not go further and dictate that the acts must of necessity be referable to the interest in theland or the contract which is propounded.
I do not read the recent Supreme Court of Canada authorities as applying such a stringent testthat the acts must of necessity be referable to either the interest in the land or the contract which is being propounded. If the acts reliedupon are "unequivocally referable in their own nature to some dealing with the land" the requisite test is met. [32] The Applicants argue that in Lensen, the Supreme Court of Canada approved by “implication” the Steadman test. Further,
they submit that the House of Lords, formulated a new test which is different from that in Maddison v. Alderson, [1881-85] All E.R. Rep742. They say therefore the Court in Lensen in effect overruled Maddison, and as such it is no longer good law in Canada: It follows, therefore, that if Maddison v.
Alderson is no longer good law in England, it should no longer be good law in Canada, and assuch, the Deglman test for part performance should no longer be considered good law in Canada. [33] In Lensen, Dickson, J. held the test is not so “stringent” that the acts must of necessity be referrable to “either the interest in theland or the contract that is being propounded”.
The wording settled upon by the Chief Justice, is set out in the last sentence: If the acts relied upon are “unequivocally referrable in their own nature to some dealing with the land”, the requisite test is met. [34] Cartwright, J. concluded in Deglman that the correct
interpretation of Maddison was that given by Duff, J. in McNeil, statingin paragraph 21: … I have reached the conclusion that the correct
interpretation of the decision in Maddison v. Alderson is that adopted by this Court inMcNeil v. Corbett. In that case the unanimous judgment of the Court was delivered by Duff J., as he then was. The judgment turns on thequestion whether the acts relied upon as part performance were sufficient to take the contract sued on, which was for the purchase of aninterest in lands and of which there was no sufficient written memorandum, out of the operation of the Statute of Frauds.
At pages 611and 612 Duff J. says:— With great respect, moreover, I must disagree with the view of the court below that the plaintiff has made out a case enabling him to takeadvantage of the doctrine known as the doctrine of part performance. A condition of the application of that doctrine is thus stated byLord Selborne, in Maddison v.
Alderson. at page 479:— “All the authorities shew that the acts relied upon must be unequivocally, and in their own nature, referable to some such agreement asthat alleged;” i.e. to an agreement respecting the lands themselves; and, as further explained in that case, a plaintiff who relies upon acts of partperformance to excuse the non-production of a note or memorandum under the Statute of Frauds, should first prove the acts relied upon;it is only after such acts unequivocally referable in their own nature to some dealing with the land which is alleged to have been thesubject of the agreement sued upon have been proved that evidence of the oral agreement becomes admissible for the purpose ofexplaining those acts.
It is for this reason that a payment of purchase money alone can never be a sufficient act of performance withinthe rule. Here there is nothing in the nature of the acts proved which bears any necessary relation to the interest in land said to have been thesubject of the agreement in question. [35] In the case before me, I have reached the conclusion that the proper test for the doctrine of part performance is as set out byCartwright, J. in Deglman. [36] Clearly this is the test that was accepted by Saunders, J. in Brekka. There may be differences in the phraseology used on a caseby case basis.
Several things must be kept in mind: 1) In Brekka the Court considered Maddison, noting that the passage of LordO’Hagan was cited with approval by Rand J. in Deglman; 2) The articulation of the test follows the reasoning of Duff, J. in adding“which is alleged to be the subject of the agreement sued upon” following “land”; and 3) Saunders, J. considered Steadman in hisreasons, and those of Justice Wood (as he then was) who said : “In England, that standard had been relaxed somewhat since the decisionof the “House of Lords in Steadman v.
Steadman”. [37] I have found it instructive to look “within” the statute for guidance in determining what acts shall take matters “outside” of it.
Section 7 reads that “No action shall be brought” … (
d) upon any contract or sale of land or interest therein unless the “promiseagreement or contract, upon which the action is brought … is in writing”. [38] There is no dispute as to the intended purpose of the statute, which is to prevent it from being used as an instrument of fraud inreal estate transactions. Inevitably the Court turns its attention to the contract or agreement relied upon. The statute does not void suchcontracts but instead makes them unenforceable.
The Courts of Chancery responded to the threat that it would be used to the detrimentof someone having taken steps to perform their obligations, and this allows the contract to be enforceable. [39] There have been several Supreme Court of Canada cases that have accepted the doctrine in Maddison including McNeil v.Corbett, (1908), (SCC), 39 S.C.R. 608; Brownscombe v. Public Trustee, (SCC), [1969] 68 WWR 483;and Thompson v. Guaranty Trust, (1974), (SCC), 39 DLR (3d) 408. The issue was discussed in depth in a 1980 lawreview article: see William H. Hurlburt, “Part performance: Colberg v.
Braunberger’s Estate, 18-2 Alberta Law Review 277 (1980). Ihave also consulted and made use of a more recent
article by Jonnette Watson Hamilton, “Oral Promises of Land and ControversialIssues in the doctrine of Part Performance”, University of Calgary Faculty of Law Blog, July 29, 2016. [40] I acknowledge the Applicant has relied on cases that have taken time to consider the authorities in this area. In particular, thereis the decision in Erie Sand and Gravel Ltd. v. Seres’ Farms Ltd., 2009 ONCA 709, in which the Ontario Court of Appeal grappled withthe “connection” between acts of performance and “a dealing” versus “some dealing” with the land.
There is also the phrase “in theirown nature” referrable to some dealing with the land. Gillese, J.A. said in Erie Sand and Gravel: [88] Thus, the question becomes: are the acts of part performance as found by the trial judge "unequivocally referable in their own natureto some dealing with the [south side property]"? [41] In Erie, the Court held the doctrine of part performance is not limited to a consideration of the acts of the Plaintiff, but also theacts of the Defendant as per the decision in Hill. (Paragraph 75).
In Erie, the Ontario Court of Appeal endorsed the test as establishedby Cartwright, J. in Deglman.
[42] In Mountain v. TD Canada Trust Company, 2012 ONCA 806, the trial judge held that the acts of part performance must beconsistent “only with the alleged contract”.
Winkler C.J.O. held, referring to Erie: [81] Gillese J.A. made it clear, at para. 75, that the doctrine of part performance is not limited to a consideration of the acts of theplaintiff: In sum, it appears to me that given the decision of the Supreme Court in Hill, it is now settled law in Canada that the acts of both partiesto an alleged oral agreement may be considered when a court is called on to determine if sufficient acts of part performance take analleged agreement outside the operation of the Statute of Frauds. [82] Gillese J.A. also made it clear that the acts of part performance need not be "referable only to the contract alleged".
Rather, the testas established by the majority judgment of Cartwright J. in Deglman v. Brunet Estate, (SCC), [1954] S.C.R. 725, [1954]S.C.J.
No. 47, at p. 733 S.C.R., is that it is sufficient if the acts are "unequivocally referable in their own nature to some dealing with theland". [43] I conclude, as others have, that “unequivocally referable in their own nature” refers to acts to which the statute must “give way”in order to fulfil the very purpose of the writing requirement, “to diminish the opportunity” for fraud in dealing with land. [44] Whether the dealings are with respect to “some such agreement as that alleged or the land itself”, it is the purpose of the Actthat must be kept in mind when applying the test.
Both the land and the contract are inextricably bound together by the wording in theAct itself. Answer - Question #1 [45] Deglman remains the leading authority and is good law in Canada and in Nova Scotia. In answer to the first question, theproper test for the doctrine of part performance is that the acts of part performance must be unequivocally referrable to the contract forland asserted by the Plaintiff. Question #2 – If the test is the test set out by the Supreme Court of Canada in Deglman v.
Brunet Estate, (SCC), [1954] S.C.R. 725, [1954] 3 DLR 785, can the payment of money alone ever constitute part performance?[1] [46] The Respondents submit that under the Deglman test, the payment of money alone can never constitute part performance. [47] In 1907, Justice Duff, writing for the Supreme Court of Canada in McNeil v.
Corbett, (SCC), [1907] 39 S.C.R.608, wrote: … a plaintiff who relies upon acts of part performance to excuse the non-production of a note or memorandum under the Statute ofFrauds, should fist prove the acts relied upon; it is only after such acts unequivocally referable in their own nature to some dealing withthe land which is alleged to have been the subject of the agreement sued upon have been proved that evidence of the oral agreementbecomes admissible for the purpose of explaining those acts.
It is for this reason that a payment of purchase money alone can never be asufficient act of performance within the rule. (Emphasis added) [48] In Alvi v. Lal, [1990] O.J. No 739, 20 ACWS (3d) 1063, the Ontario Supreme Court – High Court of Justice, as it then was,addressed whether a $7,500. deposit was sufficient to constitute part performance of an alleged contract.
The Court found that thepayment of the deposit did not take the alleged contract outside the Statute of Frauds: Whatever may be the current judicial trend, it seems clear that until the Supreme Court of Canada accepts Steadman, supra, the paymentof money cannot constitute part performance of a contract with respect to a contract involving land. [49] The case of Kang Corporation v. KRTT Group Ltd, (2007) 56 R.P.R. (4th) 278 (Ct.
J) is instructive in some respects and inparticular the Court stated: [20] While under the “strict” approach established in Deglman mere payments of money cannot amount to part performance, thesepayments are different: they were directed to the lawyer handling the purchase of the subject property just days before the closing, andone of the cheques by its notation, was earmarked specifically for this property. It defies logic to suggest this was merely coincidence,or, as defence counsel suggest, that these payments could be referable to some other business arrangement between the parties.
Thecontext and timing surrounding the payments suggest to me they were unequivocally referable to this transaction, and thereforeconstitute further acts of part performance. [50] The Applicants submit that in Kang, Baltman, J. discusses the conflicting lines of authority as to whether the payment ofmoney can constitute
an act of part performance. In doing so the Applicants refer to paragraphs 13 and 14 where 1) payment of purchasemoney alone cannot take the contract out of the operation of the Statute and 2) the payment of money may, in itself, amount to specificperformance. In the former the reason is because mere payment is not indicative of the alleged contract.
In the latter the reason isbecause the conduct need only point to the existence of some agreement for a sale of land but not the very agreement alleged. [51] The Applicants further submit that in Kang, after finding that the Plaintiffs had shown sufficient indicia of part performance(Paragraph 16), the Court addressed the issue of whether the payment of $180,000. toward the deposit (Paragraph 18) constituted an actof part performance. Referring to paragraph 20 above, the Applicants submit that Kang stands for the proposition that the payment ofmoney as a deposit can constitute
an act of part performance in light of all of the surrounding circumstances. [52] The Respondents submit that in Kang, in finding that the “context and timing surrounding the payments suggest they wereunequivocally referable to this transaction, and therefore constitute further acts of part performance”, Justice Baltman was actuallyrelying on the fact that the transaction for the purchase of the commercial plaza closed as
an act of part performance. They say thisdistinguishes Kang from the case at hand.
[ 53 ] The Court is not deciding the Application at this point. Rather, it is attempting to answer the question of law placed before it. [ 54 ] The Applicant has submitted that in Steadman , Lord Salmon stated his view that if the payment of money, in part or in whole, can never be considered
an act of part performance, then the circumstances surrounding its payment would be irrelevant (page 1007): …I think, however, that the Court of Appeal were bound to accept this proposition by the authorities referred to with approval by the Earl of Selborne LC in Maddison v. Alderson . On this basis, the reasons given by Edmund Davies LJ for reluctantly dismissing the appeal appear to me to be impeccable. The proposition has, however, never yet been debated before his House.
In Maddison v Alderson it was assumed, without argument, to be correct: in any event it was wholly unnecessary for the decision of that appeal. This house is, therefore, not bound to accept the proposition and, for my part, I am unable to do so. I believe that the analysis of the proposition which I have attempted demonstrates that the proposition is fundamentally unsound and would lead to grave injustice. [ 55 ] The question before this Court is can the payment of money “alone” constitute part performance?
There are cases that have considered admissible evidence of surrounding circumstances to show that the payment of money can, in light of those circumstances, constitute
an act of part performance. [ 56 ] The answers to these questions continue to relate back to the views expressed in Deglman and Steadman . Given that this Court accepts Deglman as the leading authority, I accept the view provided by Duff, in MacNeil and Corbett , writing for the Supreme Court of Canada, that the payment of purchase money alone is not sufficient to constitute part performance that would “excuse the non- production of a note or memorandum under the Statute of Frauds”. Answer – Question #2. [ 57 ] The Court therefore finds the answer to the second question to be “No”.
The payment of money alone cannot constitute part performance. [ 58 ] In terms of avoiding the “grave injustice” referred to above, the note or memorandum required by the statute, and the relevance such documents will vary on a case by case basis. Murray, J
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