OPINION OF THE COURT
(January 8, 2015)
Per Curiam.
Alicia “Chucky” Hansen appeals from the December 24, 2014 opinion of the Superior Court of the Virgin Islands, which granted [501]*501a petition for writ of mandamus filed by Nereida Rivera O’Reilly directing the St. Croix District Board of Elections, its members, and the Government of the Virgin Islands to immediately cease a recount of votes cast for Hansen in the 2014 general election in the District of St. Croix for the office of senator. Specifically, the Superior Court granted mandamus relief based on a finding that Hansen, as a write-in candidate, lacked standing to petition for a recount, but held that it would have denied O’Reilly’s petition on the other grounds asserted. O’Reilly has also filed a cross-appeal with this Court, in which she alleges, on numerous grounds, that mandamus relief would nevertheless be warranted even if this Court were to agree that Hansen possessed standing to seek a recount.
For the reasons that follow, we agree with Hansen that the Superior Court erred when it held that she lacked standing to petition the Board of Elections for a recount. However, we also agree with O’Reilly that the Superior Court erred when it implicitly rejected her claim that elections officials unilaterally commenced a recount of Hansen’s votes in the 2014 general election without first obtaining authorization from a majority of the Board of Elections, and when it explicitly held that the Board could waive statutory timeliness requirements governing recount petitions. As such, while the reasoning of the December 24, 2014 opinion is rejected for the reasons explained, the judgment and decision reached by the Superior Court in granting the writ of mandamus is affirmed.
I. BACKGROUND
The 2014 general election took place on November 4, 2014. In May 2014, Hansen filed nomination papers to run as a no-party candidate for a position in the 31st Legislature representing the District of St. Croix. However, for reasons set forth in prior opinions of this Court, her name was removed from the ballot. See Bryan v. Fawkes (Bryan I), 61 V.I. 201 (V.I. 2014); Bryan v. Fawkes (Bryan II), 61 V.I. 416 (V.I. 2014). As a result, Hansen chose to conduct a write-in campaign for the position.
The Board of Elections certified the general election results for the St. Croix District on November 15, 2014. The certified results3 reflected that [502]*502the 7th-place finisher in the senate election — O’Reilly — had received 4,755 votes, while Hansen finished in 13th place with 2,089 votes.4 On November 21, 2014, Hansen petitioned the Board of Elections to order a recount of the senate election pursuant to section 629(a) of title 18 of the Virgin Islands Code. However, while section 629(b) of title 18 of the Virgin Islands Code required it to rule on the recount petition within three days, the Board of Elections did not do so. Instead, the Board of Elections attempted to hold a meeting on the morning of November 26,2014, which quickly adjourned for lack of a quorum. While another meeting was held later that day to consider the recount petitions of three other individuals,5 no vote was taken as to whether to grant Hansen’s petition for a recount. Instead, the only votes the Board of Elections took that pertained to Hansen were on (1) a motion to allow Hansen, who was present at the meeting, to express her position to the Board on whether she preferred to forego legal action while the Board sought guidance from the Attorney General on whether it retained the authority to act on the petition outside of the three-day requirement, and (2) a motion to obtain an opinion letter from the Attorney General to provide guidance to the Board as to whether it could vote on her recount petition even though the three-day statutory deadline set forth in section 629(b) had lapsed. At its next meeting, held on December 3, 2014, the Board of Elections also did not vote on Hansen’s recount petition, but only voted to follow a prior decision of the Joint Board of Elections on how to determine voter intent. (S.A. 135; [503]*503293-94.) Nevertheless, the recount of Hansen’s write-in votes commenced on December 4, 2014.6
O’Reilly filed a complaint in the Superior Court against the St. Croix District Board of Elections, its members acting in their official capacities, and the Government of the Virgin Islands on December 8, 2014. In her complaint, O’Reilly requested that the Superior Court issue a writ of mandamus to stop the recount, on grounds that it was being conducted in violation of Virgin Islands law. Most pertinent to this appeal, O’Reilly alleged that Hansen lacked standing to file a recount petition under 18 V.I.C. § 629(a) because she was purportedly not a “candidate,” and that in any case the Board of Elections had never voted to grant her recount petition pursuant to 18 V.I.C. § 629(b). Hansen filed a motion to intervene on December 10, 2014 — which the Superior Court promptly granted — and the Board of Elections and the other defendants filed an opposition to O’Reilly’s petition on December 11, 2014.7
The Superior Court set the matter for a hearing at 9:00 a.m. on December 15, 2014. At 9:05 a.m., the Superior Court noted that Hansen’s counsel was not present despite being served with notice of the hearing, and that an order to show cause would issue but that the hearing would proceed in her absence. The Superior Court began to hear testimony from Genevieve Whitaker — the Deputy Supervisor of Elections for the St. Croix District — but shortly after questioning began the Superior Court announced that Hansen’s counsel had filed a notice of removal with the United States District Court of the Virgin Islands. After discovering that counsel for neither O’Reilly nor the defendants had seen the removal [504]*504document, the Superior Court declared a recess. When the hearing reconvened, the Superior Court provided counsel for the parties present an opportunity to be heard as to whether the hearing should proceed. None of the parties objected to proceeding with the hearing as scheduled, and the Superior Court stated that it believed this Court’s opinion in Bryan II, as well as an earlier District Court opinion denying removal in that case,8 provided support for holding the hearing because it held that the local court system possessed jurisdiction to hear local election cases.
At approximately 9:37 a.m., while Whitaker was still testifying on direct examination, Hansen’s counsel entered the courtroom, and the Superior Court advised her of its earlier ruling to proceed with the hearing despite the notice of removal. Hansen objected on grounds that the federal removal statute prohibits a court from continuing to proceed after a notice of removal has been filed until and unless the District Court remands the matter, and the defendants then joined in that objection. When questioned as to the basis for invoking the federal removal statute, Hansen cited to language in O’Reilly’s complaint that could be construed as raising due process and equal protection claims. O’Reilly, however, promptly withdrew any such claims. Thus, the Superior Court stood by its earlier decision, and Whitaker’s testimony resumed, with Hansen’s counsel participating.
The Superior Court also heard testimony from two members of the Board of Elections — Lilliana Belardo de O’Neal and Lisa HarrisMoorhead — before adjourning until December 17, 2014. Through O’Neal’s testimony, O’Reilly introduced numerous documents into evidence, including the agendas of the St. Croix District Board of Elections meetings held on November 26, 2014, and December 3, 2014, as well as the roll-call sheets for those meetings indicating which members were present, what motions were brought, and how each member voted. O’Reilly also introduced into evidence a letter that the Board of Elections, through O’Neal in her capacity as the Board’s Vice-Chair, sent to the Attorney General after the meeting concluded on November 26, 2014 — in which the Board asked for an advisory opinion as to whether the Board could act on Hansen’s petition even though the three-day deadline to act had passed — as well as the Attorney General’s [505]*505December 5, 2014 response stating that it was his opinion that the Board could vote on the petition out of time.9
After the hearing adjourned, Hansen filed a written motion for the Superior Court to reconsider its oral ruling declining to suspend all proceedings in light of the notice of removal, which was ultimately denied. When the hearing resumed on December 17, 2014, the Superior Court heard testimony from several other witnesses, including Board members Raymond Williams and Rupert Ross.10 However, the various Board members provided conflicting testimony as to whether the roll-call sheets accurately reflected that no vote — whether timely or untimely — had ever been taken on Hansen’s recount petition, and the Superior Court ordered the Board to file transcripts of its November 26, 2014 and December 3,2014 meetings. Ultimately, those transcripts reflected that no vote had been taken on Hansen’s recount petition. (S.A. 185-346.)
The Superior Court held another hearing on December 22, 2014, where it heard testimony from Supervisor of Elections Caroline Fawkes,11 and permitted the parties to file post-hearing briefs. On December 23, 2014, the District Court issued an order sua sponte rejecting Hansen’s notice of removal and remanding the matter back to the Superior Court; while it reasoned that it possessed jurisdiction, the District Court, relying on the abstention doctrine articulated in Railroad Commission of Texas v. Pullman Co., 312 U.S. 496, 61 S. Ct. 643, 85 L. Ed. 971 (1941), held that the Superior Court was the appropriate forum to consider the claims raised in O’Reilly’s lawsuit. O’Reilly v. Bd. of Elections (O’Reilly I), Civ. [506]*506No. 2014-0107, 2014 U.S. Dist. LEXIS 176531, *9-17 (D.V.I. Dec. 23, 2014) (unpublished).
The Superior Court issued its decision the following day, December 24, 2014. First, the Superior Court agreed with O’Reilly that Hansen lacked standing to file a recount petition because she did not fall within the definition of a “candidate.” O’Reilly v. Bd. of Elections (O’Reilly II), 61 V.I. 118, 128-135 (V.I. Super. Ct. 2014). As such, the Superior Court issued a writ of mandamus, reasoning that the recount had been illegal. Id. at 141. Nevertheless, the Superior Court also addressed the other issues raised in O’Reilly’s petition, and concluded that if Hansen had standing, O’Reilly’s remaining claims would fail, and thus not warrant mandamus relief. Id. at 140.
Hansen filed a notice of appeal with this Court five days later on December 29, 2014. On December 31, 2014, this Court took judicial notice of the fact that the 31st Legislature is scheduled to be swom-in on January 12, 2015, and that the Court would be closed from January 1 through January 6, 2015, due to various government holidays and administrative leave days. Because only three working days were available to render a decision, this Court expedited Hansen’s appeal sua sponte and issued an expedited briefing schedule. Later on December 31, 2014, O’Reilly filed a notice of cross-appeal with this Court, noting that she was appealing from the portions of the Superior Court’s December 24, 2014 opinion that were adverse to her so that she could challenge them in the event that this Court agreed with Hansen that she possessed standing to seek a recount. Pursuant to the expedited briefing schedule, all of the parties filed their principal briefs on January 5, 2015,12 while Hansen and O’Reilly filed their reply briefs on January 7, 2015.13
[507]*507II. DISCUSSION
A. Jurisdiction and Standard of Review
“The Supreme Court [has] jurisdiction over all appeals arising from final judgments, final decrees or final orders of the Superior Court.” 4 V.I.C. § 32(a). Because the Superior Court’s December 24, 2014 opinion and order granted O’Reilly’s petition for a writ of mandamus, it constitutes a final appealable judgment within the meaning of section 32(a). See V.I. Gov’t Hosps. & Health Facilities Corp. v. Gov’t of the V.I., 50 V.I. 276, 279 (V.I. 2008) (“A final judgment, decision, or order is one that ends the litigation on the merits and leaves nothing to do but execute the judgment.”).
“[T]his Court exercises plenary review over questions relating to the Superior Court’s subject matter jurisdiction.” Brunn v. Dowdye, 59 V.I. 899, 904 (V.I. 2013) (citing Judi’s of St. Croix Car Rental v. Weston, 49 V.I. 396, 399 (V.I. 2008)). Likewise, this Court exercises plenary review over all issues of statutory construction. V.I. Conservation Soc’y, Inc. v. Golden Resorts, LLLP, 55 V.I. 613, 619 (V.I. 2011) (citing V.I. Pub. Serv. Comm’n v. V.I. Water & Power Auth., 49 V.I. 478, 483 (V.I. 2008)).
B. The Notice of Removal
In her appellate brief, Hansen alleges that the Superior Court lacked jurisdiction to proceed to trial because she had filed a notice of removal with the District Court minutes before the start of the December 15, 2014 hearing. According to Hansen, she possessed a right to remove O’Reilly’s complaint from the Superior Court to District Court pursuant to the federal removal statute, 28 U.S.C. § 1441. Section 1441 — which only authorizes removal of cases from “State courts” to “district courts of the United States,” see 28 U.S.C. § 1441(a) — does not itself provide for removal from the Superior Court to the District Court of the Virgin Islands, which are both Article IV courts, Bryan II, 61 V.I. at 438 (collecting cases). Nevertheless, Hansen alleges that the Revised Organic Act of 1954 extends section 1441 to the Virgin Islands, in that it provides that
The relations between the courts established by the Constitution or laws of the United States and the courts established by local law with respect to appeals, certiorari, removal of causes, the issuance of writs [508]*508of habeas corpus, and other matters or proceedings shall be governed by the laws of the United States pertaining to the relations between the courts of the United States, including the Supreme Court of the United States, and the courts of the several States in such matters and proceedings.
48 U.S.C. § 1613 (emphasis added). Moreover, Hansen contends that there is absolutely no basis in this Court’s Bryan II decision for the Superior Court to conclude that it could simply ignore a valid notice of removal. O’Reilly does not dispute that the federal removal statute applies with equal force to the Virgin Islands, nor does she attempt to defend the Superior Court’s reasoning for its decision. However, O’Reilly alleges that Hansen’s notice of removal was not a valid notice, in that 28 U.S.C. § 1446(a) unambiguously limits the right to remove a case only to a defendant, and that Hansen, as an intervenor, lacked the authority to unilaterally remove the case.14
We agree with Hansen that the Superior Court lacked the authority to disregard the notice of removal. Section 1613 unquestionably extends the federal removal statute to the Superior Court and the District Court. Bryan II, 61 V.I. at 438 (recognizing that Congress, acting pursuant to its powers under Article IV of the United States Constitution, defined the jurisdiction of the District Court and the Superior Court to mirror a federal-state court relationship); see also Brown v. Francis, 75 F.3d 860, 864, 33 V.I. 385 (3d Cir. 1996) (holding that 28 U.S.C. § 1441 is applicable to Virgin Islands courts pursuant to 48 U.S.C. § 1613). And although this Court held in its Bryan II decision that it was not bound to follow a permanent injunction of the District Court issued in a second case involving some of the same parties and the same issues as the Bryan proceeding, see Payne v. Fawkes, Civ. Nos. 2014-053 & 2014-055, 2014 U.S. Dist. LEXIS 134451 (D.V.I. Sept. 24, 2014) (unpublished), there is no second case here. While at one point the Bryan case had itself been removed to the District Court, at no point did the Superior Court conduct any proceedings while that removal was in effect. Rather, the [509]*509Superior Court suspended all proceedings once it became aware of the notice of removal, and did not resume those proceedings until the District Court eventually remanded the case back to the Superior Court. See Bryan II, 61 Y.I. at 432 (summarizing the procedural history of the Bryan litigation). Thus, there is nothing in the Bryan II opinion that authorized the Superior Court to ignore a notice of removal.
The federal removal statute unquestionably provides that once a notice of removal is filed and notice is provided to the clerk of the state court, “the State court shall proceed no further unless and until the case is remanded” by the district court. 28 U.S.C. § 1446(d). As such, the Superior Court committed error when, despite being advised that a notice of removal had been filed, it nevertheless chose to proceed with the scheduled hearing.
We also conclude that it is irrelevant whether Hansen possessed standing to file a notice of removal. Despite the plain language of section 1446 providing that only a defendant may file a notice of removal, several federal courts have held that an intervenor may remove a case if the intervenor’s interests are aligned with the defendants. See Tucker v. Equifirst Corp., 57 F. Supp. 3d 1347, 1349 (S.D. Ala. 2014) (“Intervenors may file notices of removal if they are properly aligned as defendants.” (quoting 14C CHARLES A. WRIGHT & ARTHUR R. MILLER, FEDERAL Practice and Procedure § 3730 (4th online ed. 2014))). Nevertheless, we need not interpret section 1446 as part of this appeal because it is well-established that the sufficiency or validity of a notice of removal is an issue that must be determined by the federal district court in the first instance. See United States ex rel. Echevarria v. Silberglitt, 441 F.2d 225, 227 (2d Cir. 1971) (holding that the removal procedure enacted by Congress does not permit any challenge to the validity of a notice of removal in state court) (citing Miller v. Southern Bell Telephone & Telegraph Co., 279 F. 806, 809 (4th Cir. 1922)); HBA East, Ltd. v. JEA Boxing Co., Inc., 796 S.W.2d 534, 538 (Tex. App. 1990) (“Under the federal statute, removal occurs when the proper filings are done in the federal district court and state court. If the removal procedure is defective ... the remedy is remand. Until remand, however improvident a removal may have been, a cause remains removed.” (citations omitted)). Thus, to the extent that O’Reilly believed that Hansen’s notice of removal was defective, the appropriate remedy was not to move to amend her complaint in order to remove any potential federal claims so as to [510]*510undermine removal,15 or to urge the Superior Court to disregard the notice and proceed with trial, but to enter an appearance in the District Court and move for a remand in that forum.
Nevertheless, the Superior Court’s disregard of the December 15, 2014 notice of removal does not compel reversal in this case. As noted earlier, the District Court, in a well-reasoned opinion issued the day before the Superior Court issued its final judgment, sua sponte held that it would abstain from exercising jurisdiction over this case, and remanded the matter to the Superior Court. O’Reilly I, 2014 U.S. Dist. LEXIS 176531 at *10. Notably, the District Court acknowledged “that the case has been proceeding expeditiously in the Superior Court,” and that accepting the notice of removal “would result in an unnecessary interruption of the ongoing proceedings in a matter that is clearly time-sensitive given the impending transition to the newly-elected Legislature.” Id. at *15.
When a trial court takes actions that exceed the scope of its jurisdiction because that jurisdiction was temporarily transferred to another tribunal, the decision to deny those proceedings legal effect “is grounded not in metaphysical notions regarding transfer of power, but on practical considerations concerning efficient judicial administration.” Harvey v. Christopher, 55 V.I. 565, 569 n.2 (V.I. 2011) (quoting Stebbins v. Stebbins, 673 A.2d 184, 189-90 (D.C. 1996)). This is particularly true when, as here, the court that actually possessed jurisdiction does not expressly object to the other court’s actions, despite being aware of them. Williams v. People, 58 V.I. 341, 351 n.8 (V.I. 2013); Harvey, 55 V.I. at 569 n.2; accord Ottley v. Estate of Bell, 61 V.I. 480, 497 (V.I. 2014) (holding that subsequent events may ripen otherwise premature court proceedings) (citing Rohn v. People, 57 V.I. 637, 642 n.4 (V.I. 2012)). In this case, declaring all Superior Court proceedings conducted between December 15 and December 23, 2014, a nullity, and in effect directing the Superior Court to hold a new trial and issue a new decision based on that trial — notwithstanding the fact that the District Court has already declined to exercise its removal jurisdiction and [511]*511remanded the matter to the Superior Court — would serve absolutely no purpose other than additional expense and delay, since almost certainly the parties would produce the same evidence and the Superior Court would issue the same decision based on that evidence. Moreover, as the District Court noted in its remand order, this is a case in which time is of the essence, given that the 31st Legislature is scheduled to be swom-in on January 12, 2015. Thus, while we would have been required to vacate all Superior Court proceedings if the District Court had declined to remand the matter, in light of its decision to abstain in favor of the Superior Court, we decline to do so here in the interest of justice and judicial economy. Williams, 58 V.I. at 351 n.8; Harvey, 55 V.I. at 569 n.2.
C. Hansen’s Standing to Petition for a Recount
We now turn to the issue of whether Hansen is a “candidate” for purposes of having standing to file a recount petition with the Board of Elections. In its December 24, 2014 opinion, the Superior Court acknowledged that Virgin Islands law provides that “[a] petition for a recount may be filed by any candidate in a primary or election who believes that there has been fraud or error committed in the canvassing or return of the votes cast at such primary or election.” 18 V.I.C. § 629(a) (emphasis added). To determine the meaning of the word “candidate,” the Superior Court first turned to 18 V.I.C. § 1, which defines numerous terms for purposes of title 18 of the Virgin Islands Code. The Superior Court noted, however, that section 1 did not provide a comprehensive definition of the word, but only stated that “ ‘candidate’ includes a candidate for nomination and a candidate for election.” 18 V.I.C. § 1(a). As such, the Superior Court turned to other provisions of the election laws for guidance.16 Specifically, the Superior Court believed that section 625 of [512]*512title 18 of the Virgin Islands Code — a provision dealing with tabulation of election results — drew a distinction between “candidates” and “persons whose names are not on the ballot”:
At elections, the number of votes cast for each candidate by each political party or body by which he has been nominated, and for each independent candidate, shall be separately stated. In specifying any votes cast for persons whose names are not on the ballot, the election officers shall record any such names exactly as they were written or pasted to the ballot.
18 V.I.C. § 625. The Superior Court reasoned that, because the Legislature drew a distinction between “candidates” and “persons whose names are not on the ballot” for purposes of section 625, the use of the word “candidate” in section 629 was intended to exclude persons who receive write-in votes from being able to petition for a recount.17 O’Reilly II, 61 V.I. at 134.
We agree with the Superior Court that not all individuals who receive write-in votes are candidates for purposes of section 625. However, the fact that not all individuals who receive write-in votes are candidates does not mean that no one who receives a write-in vote can be a candidate. The fact that an individual received a write-in vote for a particular office does not necessarily mean that the individual campaigned for the office or even would serve if elected. It is well-established that [513]*513write-in voting often has an expressive element, such as registering a protest. Cf. Burdick v. Takushi, 504 U.S. 428, 438, 112 S. Ct. 2059, 119 L. Ed. 2d 245 (1992); Edelstein v. City and County of San Francisco, 29 Cal. 4th 164, 126 Cal. Rptr. 2d 727, 56 P.3d 1029, 1040-41 (2002). While several states, such as Hawaii, have passed laws prohibiting write-in votes entirely, see, e.g., Burdick, 504 U.S. at 437-39, or limiting write-in votes only to individuals who certify that they are willing to serve if elected, see, e.g., Johnston v. Davidson County Election Comm’n, No. M2011-02740-COA-R3-CV, 2014 Tenn. App. LEXIS 171, *20 (Tenn. Ct. App. Mar. 26, 2014) (unpublished),18 the Virgin Islands Legislature has chosen to permit voters to cast write-in votes with no restrictions. As such, Virgin Islands voters may cast write-in votes for people who truly desire to serve if elected — like Hansen, who the record reflects conducted an active write-in campaign — and for those who would not serve, such as people who are already running for other offices, or who might not necessarily be people at all.19 Rather than using the phrase “persons whose names are not on the ballot” as a means to distinguish between ballot candidates and write-in candidates, the more reasonable interpretation is that the Legislature recognized that some individuals who are not candidates may receive write-in votes cast in their favor, and that those results would still need to be tabulated.
Other provisions in title 18 support this construction. Another provision of section 629, relating to who may be present within the recount area, appears to expressly distinguish between ballot candidates and write-in candidates, in that it provides that “[o]nly the candidates [514]*514whose names appeared on the ballot in the election district, or a specific designee who is to be present on behalf of any such candidate, may remain within the recount area.” 18 V.I.C. § 629(d). While we express no opinion as to whether the Legislature may permissibly discriminate between ballot and write-in candidates in such a manner, the fact that the Legislature used the phrase “candidates whose names appeared on the ballot” in section 629(d), yet used the broader phrase “any candidate” in section 629(a), provides further evidence that an individual may be a candidate even if his or her name does not appear on the ballot. After all, if the Legislature intended only for those whose names appeared on the ballot to be “candidates,” the Legislature would have no reason to use the phrase “candidates whose names appeared on the ballot” in section 629(d), since all words after “candidates” would be mere surplusage and ineffective. Duggins v. People, 56 V.I. 295, 302 (V.I. 2012) (“When interpreting statutes, we must read the statute, to the extent possible, so that no one part makes any other portion ineffective.”) (citing Gilbert v. People, 52 V.I. 350, 356 (V.I. 2009)).
We also cannot ignore that the Legislature has chosen a broader definition of the term “candidate” for the Territory’s campaign finance laws. The Legislature, for purposes of chapter 29 of title 18, concerning limitations on and disclosures of campaign contributions, chose to define a “candidate” as “an individual who seeks nomination for election, or election, to any elective office of this Territory.” 18 V.I.C. § 902(1) (emphasis added). While this definition cannot be directly imported into section 629 — given that section 902 states that it is defining terms solely for purposes of chapter 29 — it provides further evidence that considering the system of election-related statutes enacted by the Legislature, the intention to seek office, rather than placement on the ballot, should be the hallmark of whether one qualifies as a “candidate.”20 It is also unclear why the Legislature would impose upon individuals seeking office as write-in candidates all of the obligations of being a “candidate” but not [515]*515confer upon them the same rights provided to other candidates, such as the right to seek a recount.21
Moreover, interpreting the word “candidate” in section 629(a) to exclude write-in candidates would result in unnecessary delays in the election process. As this Court has previously held, other avenues are available to challenge a decision of the Supervisor of Elections or the Board of Elections beyond those set forth in title 18 of the Virgin Islands Code.22 Haynes v. Ottley, 61 V.I. 547, 565 (V.I. 2014). If we were to agree with the Superior Court that Hansen is not a “candidate” for purposes of section 629(a), it would not mean that Hansen would have no recourse if she believed there was fraud or error committed in the canvassing process. Rather, Hansen could still obtain redress by filing a lawsuit in the Superior Court, such as under the general writ of review statute, see 5 V.I.C. §§ 1421-23, or — as O’Reilly did in the present proceedings — by seeking a common-law remedy such as mandamus. Haynes, 61 V.I. at 569. The Superior Court’s interpretation of section 629(a), however, would preclude the Board from granting Hansen a recount even if the Board agreed with her that fraud or error was present. Thus, the Superior Court’s interpretation would compel Hansen to sue the Board and for a court to order the Board to provide the relief that it may have desired to provide her in the first place. We do not believe that the Legislature would have intended for section 629(a) to be interpreted in a way that would [516]*516preclude the Board from exercising its regulatory function in such a way. Accord, V.I. Narcotics Strike Force v. Gov’t of the V.I., 60 V.I. 204, 213-14 (V.I. 2013). Thus, we hold that Hansen was a write-in candidate for the office of senator from the District of St. Croix, and therefore possessed standing to file a recount petition with the Board of Elections.23
D. Failure of the Board of Elections to Act on the Recount Petition
Having concluded that the Superior Court erred in holding that Hansen lacked standing to file her recount petition, we now turn to O’Reilly’s cross-appeal. In her appellate brief, O’Reilly maintains that she is nevertheless entitled to a writ of mandamus because even if Hansen possessed standing to file a recount petition, the Board of Elections never actually granted the petition, and that the recount of Hansen’s votes was thus commenced illegally. We agree.
Section 629 provides that upon the filing of a recount petition,
the board of elections for the district in which the recount is requested shall decide within 3 days whether the recount shall take place. If the board decides in favor of the recount, it shall cause notice of the recount to be given in a manner decided by it. The recount shall be held within 10 days after the filing of the petition and shall be public.
18 V.I.C. § 629(b) (emphasis added). At trial, O’Reilly argued that theBoard never actually decided in favor of recounting Hansen’s votes — as evidenced by the roll-call sheets and transcripts of the Board’s November 26, [517]*5172014 and December 3,2014 meetings24 — and that in any event it also failed to comply with the three-day and 10-day deadlines in this statute. In its December 24, 2014 opinion, the Superior Court did not directly address O’Reilly’s claim that the Board never voted to grant Hansen’s petition, as opposed to merely considering it out of time. In its statement of the facts, the Superior Court noted that “[n]o notice was ever given to [Hansen] that her petition for a recount would be denied, so Hansen stated that she relied on the Board’s statement that she was entitled to a recount.”25 O’Reilly II, 61 V.I. at 125. However, elsewhere in the opinion, the Superior Court emphasized the testimony of two members of the Board that “[t]he Board voted to allow Hansen to have a recount on November 26,2014,” id. at 124, and stated that “[o]n November 26, 2014, the Board voted to accept Hansen’s petition despite the fact that it had not made a decision regarding the petition within the three days allowed by Section 629(b),” and then proceeded to hold that Hansen should not be penalized for the Board’s decision to fail to comply with those deadlines. Id. at 138.
O’Reilly is correct that Board of Elections never actually ruled on the merits of Hansen’s recount petition. As noted above, it is unclear how the Superior Court ruled on this issue; in its opinion, the Superior Court never expressly states that the recount petition was granted, instead stating only that the petition had been “accepted” by the Board of Elections on November 26, 2014. We can only infer, given its recitation of the factual background as well as the fact that it only addressed O’Reilly’s argument that section 629(b)’s time limitations prohibited the Board from acting [518]*518without addressing her threshold argument that the Board never actually acted in the first place, that the Superior Court concluded that the Board voted to grant Hansen’s petition on November 26, 2014, rather than to merely accept it for consideration out of time.
Pursuant to section 629(b), only the Board of Elections may decide to hold a recount. Hansen, in her reply brief, asserts — without citing to any legal authority — that the issue of whether the Board of Elections actually ruled on her recount petition is a question of fact that this Court may only review for clear error. However, it is well-established that the question whether an administrative agency, such as the Board of Elections, has actually made a decision — as opposed to whether its decision is supported by substantial evidence — is a pure question of law over which this Court exercises plenary review.26 See Minard Run Oil Co. v. U.S. Forest Serv., 670 F.3d 236, 247 (3d Cir. 2011) (exercising de novo review over question whether an administrative agency’s action was “final”); Oregon Natural Desert Ass’n v. U.S. Forest Serv., 465 F.3d 977, 979 n.1 (9th Cir. 2005) (“We ... do not defer to the agency’s position on whether agency action is final.”); Vedanta Soc’y of Southern California v. California Quartet, Ltd., 84 Cal. App. 4th 517, 100 Cal. Rptr. 2d 889, 901 (2000) (holding that “whether the board even made a decision” is “a pure question of law”). To determine the official action taken by an administrative agency or other deliberative body, this Court looks to its records, including written decisions memorializing its official actions. Tip Top Constr. Corp. v. Gov’t of the V.I., 60 V.I. 724, 735 (V.I. 2014); accord State ex rel. Armbrecht v. Thornburg, 137 W. Va. 60, 70 S.E.2d 73, 77 (1952) (“[T]his Court early adopted, and has continuously followed, a rule permitting the Court... to look to the journals and to other official records” and only turning to extrinsic evidence “in the event of patent ambiguity in such records”); Rode v. Phelps, 80 Mich. 598, McGrath 1244, 45 N.W. 493, 497 (1890) (declaring an act void because, even though it had been attested by the presiding officers of each chamber of the legislature and signed by the governor, inspection of official [519]*519legislative journals revealed that the bill submitted to the governor was, due to a scrivener’s error, not the same bill that had passed the legislature). Significantly, “courts have repeatedly held that the post hoc observations of a single member of a deliberative body should ordinarily carry little, if any, weight,” with respect to impeaching or clarifying its official records. Tip Top Constr. Corp., 60 V.I. at 736-37 (collecting cases).
In this case, the roll-call sheets for the November 26, 2014 and December 3, 2014 meetings of the St. Croix District Board of Elections show that no vote was taken as to whether Hansen’s recount petition should be granted, even though numerous other motions were considered on the merits and voted upon, including recount petitions filed by two other candidates and one by a citizen. Nor do the official transcripts of those meetings — which were transcribed by an official court reporter from a recording submitted by the Board in response to a request from the Superior Court — reflect that any such vote ever took place. Rather, the only votes pertaining to Hansen that took place at the November 26 meeting were on (1) a motion to allow Hansen to address the Board, and (2) a motion to ask the Attorney General to provide an opinion as to whether the Board could act on Hansen’s motion even though the statutory deadline for it to act had passed. Notably, the transcript reflects that an amendment had been added to the second motion directing Board staff to reconcile Hansen’s votes into categories so that the Board would have a starting point to do a recount, if it were ultimately authorized. (S.A. 212.) The letter sent to the Attorney General on behalf of the Board immediately after the November 26, 2014 hearing provides further demonstration that no such vote took place, in that the letter expressly states that “the Board was divided as to whether the Board should make a decision beyond the due date,” and specifically requests “an opinion as to whether the Board can act beyond Section] 629’s time frame” so that the Board could “respond intelligently.” (S.A. 127-28.) And when the Board met on December 3, 2014, it likewise took no action on Hansen’s recount petition; the sole vote that in any way related to the issues raised by Hansen’s recount petition involved a motion to implement an earlier decision of the Joint Board of Elections with respect to how write-in votes should be counted with respect to determining voter intent. (S.A. 135; 293-94.) In fact, the Board was not in receipt of the Attorney General’s opinion letter until after the December 3,2014 meeting concluded and the [520]*520recount of Hansen’s votes had already commenced.27 Simply put, the overwhelming and uncontradicted evidence in the Board’s official records is that no vote on this issue ever took place, and there is absolutely no basis for the Superior Court to credit the contrary testimony of two Board members. Tip Top Constr. Corp., 60 V.I. at 737.
We also agree with O’Reilly that the Board lacked the authority to rule on Hansen’s recount petition after it failed to comply with the three-day period for ruling on a recount petition and the 10-day period for holding a recount, both established by section 629(b). As a threshold matter, we recognize that this Court considered a situation that appears similar on the surface in Bryan I after the Superior Court failed to comply with the deadlines found in 18 V.I.C. § 412, by failing to hold a hearing on the petition within 10 days and to issue a decision within 15 days of the hearing date. Notwithstanding the Superior Court’s failure to comply with the law, we concluded that the parties should not be punished when the delay was solely attributable to the Superior Court’s lack of diligence. Bryan I, 61 V.I. at 223 n.13.
Administrative agencies, however, are subject to different standards than courts, even when performing quasi-judicial or adjudicative functions. Kelley v. Gov’t of the V.I., 59 V.I. 742, 747 (V.I. 2013) (“[T]he grant of limited judicial authority to an administrative agency does not transform the agency into a court.” (quoting Ocean Hill Joint Venture v. N.C. Dept. of Envr., Health & Nat. Resources, 333 N.C. 318, 426 S.E.2d 274, 276 (1993))). It is clear that administrative agencies may not take actions that are inconsistent with their enabling statutes. Francis v. People, 54 V.I. 313, 319-20 (V.I. 2010). This is particularly true with respect to election statutes, since such statutes are in derogation of [521]*521the common law28 and therefore must be strictly construed. Defoe v. Phillip, 56 V.I. 109, 121 (V.I. 2012). As the Appellate Division of the District Court recognized more than two decades ago:
compliance with these statutory provisions is not at the discretion of the election officials. The record is replete with evidence illustrating the rather “laissez faire” approach of the Joint Board of Elections to the statutory mandate. Both the Joint Board of Elections and the Supervisor of Elections have a statutory duty to conduct elections in accordance with the statutory mandate.
Bryan v. Todman, No. 1993-0005, 1993 U.S. Dist. LEXIS 21461, *21 (D.V.I. App. Div. Oct. 29, 1993) (unpublished). While the Superior Court relied on the lower court decision in that same case for the proposition that the occurrences of the word “shall” in various sections in title 18 “were directive and not mandatory,” O’Reilly II, 61 V.I. at 136 (quoting Bryan v. Todman, 28 V.I. 42 (V.I. Super. Ct. 1992)), the Appellate Division never endorsed this portion of the lower court opinion, but instead affirmed the result because the nature of the statutory violations by the Board of Elections were insufficient to warrant the extreme judicial remedy of a new election, since the harm caused by those particular statutory violations — consisting largely of claims that the Board did not provide sufficient voting machines, or assigned too many voters to the same polling district — did not justify “subverting the free expression of the voters’ will.” 1993 U.S. Dist. LEXIS 21461 at *21.
The same cannot be said for the statutory provisions violated or the proposed remedy at issue in this case. “[A]n election contest is not merely a proceeding for the settlement of private rights,” but “is a proceeding in which the people — the public — are primarily concerned.” Allen v. District of Columbia Bd. of Elections & Ethics, 663 A.2d 489, 496 n.12 (D.C. 1995) (quoting Johnson v. Russell, 161 Kan. 203, 166 P.2d 568, 571 (1946)); see also Bryan II, 61 V.I. at 446 (holding that election protests and contents are in rem proceedings in which the res is the election itself) (collecting cases). While time elements in election statutes [522]*522may be viewed as either directory or mandatory depending on the nature of the rights involved, compare Petition of Anderson, 12 Wis. 2d 530, 107 N.W.2d 496, 498-99 (1961) (absentee ballot deadline is directory due to interest in attempting to encourage and assist qualified electors to vote) with Bohart v. Hanna, 213 Ariz. 480, 143 P.3d 1021, 1023 (2006) (deadline to initiate a challenge to candidate’s nomination paper is mandatory), it is clear that the public’s interest in obtaining final election results in a timely manner after the general election is so exceptionally high so as to treat these deadlines as mandatory and non-waivable as applied to elections officials. Wells v. St. Tammany Bd. of Election Sup’rs, 916 So. 2d 212, 213 (La. Ct. App. 2005) (refusing to entertain election contest when statute provides that election officials must hold recount on the fifth day following the election and that date had already passed); Petition of Jones, 464 Pa. 152, 346 A.2d 260, 262-63 (1975) (“The integrity of the election process requires immediate resolution of disputes that prevent certification .... [Compliance with the statutorily imposed time limits is especially important in this area.”); Turtzo v. Boyer, 370 Pa. 526, 88 A.2d 884, 886 (1952) (“It is because the lawmakers of the State were aware of the inertia inherent in an unestimated percentage of the population, and the great harm which can be visited upon others because of that inertia, that it categorically established time limits for the various procedures required in the operation of the Election Code. Unless time limits were set to challenge the results of election, government would perennially sit on a shaky foundation.”); Nelson v. Nash, 126 W. Va. 568, 29 S.E.2d 253, 255 (1944), overruled in part on other grounds by State ex rel. Smoleski v. County Court of Hancock Cnty., 153 W. Va. 21, 166 S.E.2d 777 (1969); English v. Dickey, 128 Ind. 174, 27 N.E. 495, 496-97 (1891) (holding board lost jurisdiction over recount proceeding when it failed to comply with statute mandating that recount be tried and determined within 20 days). Moreover, unlike the plaintiff in Todman, the remedy O’Reilly seeks — stopping an illegal recount and allowing the certified general election results to stand29 — is not so extreme as to [523]*523outweigh the harm caused by the statutory violations; on the contrary, it is well-established that cancelling a recount is the appropriate remedy if a recount is found to be illegal.30 Bush v. Gore, 531 U.S. 98, 110, 121 S. Ct. 525, 148 L. Ed. 2d 388 (2000).
In reaching our decision that the Board of Elections cannot waive the requirements of section 629(b), we emphasize that neither Hansen, nor any other candidate similarly situated, will be left without a vehicle to challenge election irregularities. In the administrative law context, it is common for agencies to be deemed to have denied petitions by operation of law by failing to issue a decision within the statutorily-mandated period. See, e.g., Prosser v. Public Servs. Comm’n of the U.S.V.I., 56 V.I. 391, 398 (V.I. 2012); cf. Ottley, 61 V.I. at 490 (the failure of an administrator to act on a claim against an estate within the time required by statute constitutes a denial of the claim). While such a denial terminates the proceedings before the administrative agency, it allows the aggrieved party to challenge the agency’s action in court. As such, upon the expiration of the three-day period, Hansen would have had the opportunity to file a lawsuit with the Superior Court within five days.31 18 V.I.C. § 629(c). And because Virgin Islands courts do not defer to the legal conclusions of the Board of Elections but instead apply a plenary standard of review, Bryan 1,61 V.I. at 223, seeking judicial relief [524]*524once administrative relief has been denied by operation of law would not result in any prejudice, since the court would be required to apply the same standard that the Board should have applied if it had considered the petition on the merits.32 Significantly, during the November 26, 2014 meeting, members of the Board of Elections advised Hansen of the uncertainty as to whether the Board could legally act on her recount petition given that the section 629(b) deadline for a ruling had lapsed, and that the Board, by requesting an opinion from the Attorney General, was not advising Hansen that she should not “go to court to preserve ... [her] right,” to which Hansen responded, “I know that.”33 (S.A. 209.)
Section 629(b) expressly vests the decision to authorize a recount — an extraordinary action, given the expense and time involved — to the Board of Elections, and not to individual Board members or elections [525]*525staff, and even then only if the recount is authorized within three days of the filing of the petition and the recount is held within 10 days of the petition’s filing.34 As such, the recount that commenced on December 4, 2014, was unquestionably contrary to law.
Because the recount was initiated with no legal authority, we conclude that O’Reilly was entitled to a writ of mandamus.35 “To obtain a writ of mandamus, ‘a petitioner must establish that it has no other adequate means to attain the desired relief and that its right to the writ is clear and indisputable.’ ” In re Rogers, S. Ct. Civ. No. 2014-0024, 2014 V.I. Supreme LEXIS 31, at *6 (V.I. May 27, 2014) (unpublished) (quoting In re People of the V.I., 51 V.I. 374, 382 (V.I. 2009)). Because the recount was contrary to the plain language of section 629(b), in that it was never authorized by [526]*526the Board, the clear and indisputable factor is satisfied. While O’Reilly theoretically possessed other means to attain the desired relief besides mandamus — such as initiating a proceeding under the general writ of review statute, see 5 V.I.C. §§ 1421-23, or the taxpayer injunction statute, see 5 V.I.C. § 80, or even allowing the recount to take place and challenging its legality only if it affected the outcome of the election — the “procedural rigor required in an ordinary mandamus case” is “somewhat relaxed” in election cases. Deeds v. Lindsey, 179 W. Va. 674, 371 S.E.2d 602, 608 (1988); see also Gutierrez v. Guam Election Comm’n, 2011 Guam 3 ¶ 29 (2011) (noting that certain mandamus requirements “may be greatly relaxed, if not virtually abandoned, where the question is one of public interest” (quoting Residents of Beverly Glen, Inc. v. City of Los Angeles, 34 Cal. App. 3d 117, 109 Cal. Rptr. 724, 731 (1973))). This is particularly true in a case such as this, where the recount commenced on December 4,2014, and the 31st Legislature is scheduled to be swom-in on January 12, 2015, with numerous government holidays falling between those dates.
But “even if the first two prerequisites have been met, the issuing court, in the exercise of its discretion, must be satisfied that the writ is appropriate under the circumstances.” In re Joseph, S. Ct. Civ. No. 2013-0015, 2013 VI. Supreme LEXIS 14, at *8 (V.I. Apr. 5, 2013) (unpublished) (quoting Cheney v. U.S. Dist. Court, 542 U.S. 367, 380-81, 124 S. Ct. 2576, 159 L. Ed. 2d 459 (2004)). In its opinion, the Superior Court found that this third factor was satisfied because “mandamus is appropriate if statutory or regulatory standards . . . have been ignored or violated.” O’Reilly II, 61 V.I. at 140 (quoting Donastorg v. Gov’t of the V.I., 45 V.I. 259, 273 (V.I. Super. Ct. 2003)). This is consistent with prior decisions of this Court, which have held that mandamus will be appropriate under the circumstances if the first two factors are satisfied and issuing the writ would effectuate the intent of the Legislature and the public interest by compelling obedience to a statute. In re Elliot, 54 V.I. 423, 432 (V.I. 2010). Although it issued a writ of mandamus based on an erroneous holding that section 629(a) precluded Hansen from filing a recount petition, the Superior Court’s analysis of the third factor applies with equal weight to our conclusion that section 629(b) banned elections officials from commencing a recount in the absence of official action by the Board granting Hansen’s recount petition. And given our holding in Elliot, the Superior Court would have abused its discretion were it to hold [527]*527that mandamus is not appropriate even though certain elections officials have clearly exceeded their jurisdiction by conducting a recount that had not been authorized by the Board of Elections. Therefore, rather than remand this case to the Superior Court so that it may determine whether the third factor is satisfied in light of our decision, we affirm its ultimate result to grant O’Reilly’s mandamus petition. Accord Harris v. Garcia, S. Ct. Civ. No. 2008-0082, 2010 V.I. Supreme LEXIS 3, *13 (V.I. Jan. 14, 2010) (unpublished) (declining to remand case to Superior Court to exercise its discretion when there is no way Superior Court could have denied the motion without abusing its discretion).36
III. CONCLUSION
Although we agree with Hansen that the Superior Court exceeded its jurisdiction when it disregarded the notice of removal filed with the District Court, the error is harmless because the District Court remanded [528]*528the matter to the Superior Court while acknowledging that proceedings in the Superior Court were ongoing. While we also agree with Hansen that the Superior Court erred when it held that she lacked standing to file a recount petition with the Board of Elections, we also agree with O’Reilly that the Superior Court erred when it implicitly held that the Board of Elections had granted Hansen’s petition even though the Board’s official records all indicated that it had not done so, and when it explicitly held that the Board could waive the statutory deadlines set forth in section 629(b). Accordingly, while the reasoning of the Superior Court’s December 24, 2014 opinion was in error, we nevertheless affirm its ultimate decision to grant O’Reilly’s petition for a writ of mandamus.