Chapter 1 Introduction
1.1
Colloquially, ‘blowing the whistle’ refers to informing on a person or
exposing an irregularity or a crime.[1] The most important and
valuable form of whistleblowing concerns ‘the public interest’ or matters that
affect more than just the interests of the individuals involved in an
allegation.
1.2
Those willing to speak out against what they consider to be improper
conduct in the workplace might put at risk their personal wellbeing and
professional standing. Whistleblowers are sometimes branded by their managers
and colleagues as disloyal troublemakers. Yet they can play a valuable role in
exposing wrongdoing and promoting integrity in government administration.
1.3
Public interest disclosure legislation has an important role in
protecting the interests of those who speak out about what they consider to be
wrongdoing in the workplace, encouraging responsive action by public agencies,
strengthening public integrity and accountability systems and supporting the
operation of government.
1.4
Facilitating public interest disclosures is part of a broader public
integrity framework that is considered to be an essential feature of modern
accountable and transparent democracies. The broader integrity framework can be
said to include enabling public access to information held by government
through freedom of information law and minimising secrecy in government
activity.[2]
1.5
Since the early 1990s there has been a growing recognition of the need
for specific legislation to promote whistleblowing or the making of public
interest disclosures in the public sector and protecting the interests of those
who disclose. Despite the existence of legislation on public interest
disclosures in Australia, in practice whistleblowing has been described as ‘one
of the most complex, conflict-ridden areas of public policy or legislative
practice’.[3]
1.6
All Australian and many comparable overseas jurisdictions have enacted
specific legislation to support the making of public interest disclosures by
public sector employees. However, the current Commonwealth whistleblower
provisions are limited. The task of the Committee is to consider and report on
a preferred model for legislation to protect public interest disclosures
(whistleblowing) within the Australian Government public sector.
1.7
The formulation of public interest disclosure provisions is not
straightforward. Responding to disclosures requires the consideration of a
number of values including the interests of the public in exposing and
addressing wrongdoing, the public’s general right to information, the
government’s right to make decisions in confidence, the need to protect people who
disclose and provision of natural justice for people under investigation.
1.8
The circumstances surrounding each disclosure are unique. New
whistleblowing provisions should be flexible enough to appropriately respond to
a range of scenarios, and set out clear guidelines for agencies and individuals
involved with disclosures.
1.9
The Commonwealth Ombudsman told the Committee about relevant instances
of official misconduct, underlying the need for legislation on whistleblower
protection:
Over the past two decades across all levels of government in Australia we have witnessed the prosecution and at times imprisonment on corruption and
fraud offences of a state premier, state government ministers, a commissioner
of police, a chief magistrate, members of parliament, judges, numerous
officials at all levels of government and prominent national businessmen. Royal
commissions and special inquiries in Australia over the past decade have
investigated allegations of corruption in political lobbying, policing, job
recruitment, occupational licensing, vehicle registration, land and building
development, offender management, public procurement, revenue collection,
financial investment and foreign bribery, as well as within crime and
anticorruption commissions themselves.[4]
1.10
This introduction provides an overview of the inquiry, the current legal
framework for public interest whistleblowing at the Commonwealth level, the
performance of those laws, other relevant legislation and inquiries on the
subject and the approach of the Committee.
Referral of the inquiry
1.11
On 10 July 2008 the Attorney-General, the Hon Robert McClelland MP,
on behalf of the Cabinet Secretary, Senator the Hon John Faulkner,
asked the Committee to inquire into and report on whistleblowing protections
within the Australian Government public sector.
1.12
The Committee agreed to undertake that inquiry and specifically examine:
n The categories of
people who could make protected disclosures. This could include current and
former public servants, contractors and consultants and parliamentary staff.
n The types of
disclosures that should be protected, such as allegations of illegal activity,
corruption, official misconduct involving a significant public interest matter,
maladministration, breach of public trust, scientific misconduct, wastage of
public funds and so on.
n The conditions that
should apply to a person making a disclosure including whether a threshold of
seriousness should be required for allegations to be protected.
n The scope of
statutory protection that should be available, which could include protection
against victimisation, discrimination, discipline or an employment sanction,
with civil or equitable remedies including compensation for any breaches of
this protection.
n Procedures in
relation to protected disclosures, which could include how information should
be disclosed for the disclosure to be protected and the obligations of public
sector agencies in handling disclosures.[5]
1.13
The Committee sought submissions from Commonwealth and state government
agencies, non-government organisations, relevant professional associations,
media bodies, unions, academics and from whistleblowers themselves. A total of
71 submissions and 16 supplementary submissions were received. A list of
submissions is at Appendix A.
1.14
The Committee undertook 11 public hearings in Melbourne, Canberra, Sydney and Brisbane to enable people to provide oral evidence to the inquiry. Those
hearings included two roundtable discussions with public administration
experts, lawyers and academics held on 9 September 2008 and representatives of media related organisations held on 27 October 2008. Secretaries from two Commonwealth departments and a departmental Deputy Secretary shared their views on
whistleblower protections with the Committee at a further hearing on 27 November 2008. Details of the public hearings are listed in Appendix B.
1.15
It is the normal practice of the Committee to conduct its activities in
public and place as much of its evidence on the public record as possible.
However, given the nature of the inquiry, the Committee decided to receive certain
types of evidence in confidence.
1.16
A small selection of evidence was made confidential or partially
confidential to protect the interests of submitters and witnesses who feared
adverse consequences if identified. The Committee observed the sub judice
convention by refraining from discussing matters that are awaiting adjudication
in a court of law to avoid interfering in the course of justice.
1.17
The Committee received requests to investigate whistleblower cases or to
make recommendations that particular investigations be reopened. The Committee
could not meet these requests as it is not its role to investigate individual cases
or provide legal advice. The Committee only considered individual cases to the
extent that they revealed broader systemic or legislative issues within the
terms of reference of the inquiry.
Current whistleblower protection laws
1.18
The current legislative framework for public interest disclosures in
relation to Commonwealth public sector employees is set out in the Public
Service Act 1999. Restrictions on the disclosure of official information
are primarily contained in the Crimes Act 1914, the Criminal Code Act
1995, the Privacy Act 1988 and the Freedom of Information Act 1982.[6]
Other sources of potential protection for whistleblowers can be found in
parts of the Workplace Relations Act 1996, the Criminal Code Act 1995,
and other specialised legislation.
1.19
Section 16 of the Public Service Act 1999 provides protections
against victimisation and discrimination for whistleblowers who report breaches
of the Australian Public Service (APS) Code of Conduct by other APS employees. The Agency Head, Public Service Commissioner or Merit Protection Commissioner are
authorised to receive whistleblower reports. Subregulation 2.4 of the Public
Service Regulations requires agencies to establish procedures for
dealing with whistleblower reports made under the Act.
Box 1.1 The Australian Public Service Code of Conduct
The Code of Conduct requires that an employee must:
§
behave honestly and with integrity in the course of APS employment;
§
act with care and diligence in the course of APS employment;
§
when acting in the course of APS employment, treat everyone
with respect and courtesy, and without harassment;
§
when acting in the course of APS employment, comply with all
applicable Australian laws;
§
comply with any lawful and reasonable direction given by
someone in the employee's Agency who has authority to give the direction;
§
maintain appropriate confidentiality about dealings that the
employee has with any Minister or Minister's member of staff;
§
disclose, and take reasonable steps to avoid, any conflict of
interest (real or apparent) in connection with APS employment;
§
use Commonwealth resources in a proper manner;
§
not provide false or misleading information in response to a
request for information that is made for official purposes in connection with
the employee's APS employment;
§
not make improper use of:
a. inside
information, or
b. the employee's
duties, status, power or authority, in order to gain, or seek to gain, a
benefit or advantage for the employee or for any other person;
§
at all times behave in a way that upholds the APS Values and the integrity and good reputation of the APS;
§
while on duty overseas, at all times behave in a way that
upholds the good reputation of Australia; and
§
comply with any other conduct requirement that is prescribed by
the regulations.
|
1.20
Section 2.5 of the Public Service Commissioner's Directions 1999 further
requires that agency heads ensure that:
APS employees are aware of the procedures for dealing with
whistleblowing disclosures, and are encouraged to make such disclosures in
appropriate circumstances, and … allegations of misconduct are addressed in a
fair, timely, systematic and effective way.
1.21
Sections 70 and 79 of the Crimes Act 1914 (Cth) provide a general
prohibition against the unauthorised disclosure of official information. The Public
Service Act 1999 further provides that employees are not to make improper
use of ‘inside information’. The Public Service Regulations subregulation 2.1
provides for a general duty not to disclose information.
1.22
The Criminal Code Act 1995 (Cth) creates further offences for
releasing certain types of official information and creates offences to protect
people who are threatened with disadvantage during the normal course of their
duties including making a whistleblower disclosure in accordance with the Public
Service Act 1999.
1.23
Section 659(2)(e) of the Workplace Relations Act 1996 (Cth) may provide
protection against the termination of employment for employees of independent
contractors on certain grounds including:
… the filing of a complaint, or the participation in proceedings,
against an employer involving alleged violation of laws or regulations or
recourse to competent administrative authorities …[8]
1.24
Section 76 of the Occupational Health and Safety Act 1991 (Cth),
similarly protects employees from detrimental action following the making of a complaint
concerning a work-related health, safety or welfare matter.
1.25
Other portfolio or area specific legislation such as the Aged Care
Act 1997 (Cth) and the Corporations (Aboriginal and Torres Strait Islander) Act 2006 (Clth) provides for certain categories of officers to
make protected disclosures in certain circumstances. These are discussed
further in Chapter 4.
1.26
There is a range of other bodies that may receive whistleblower type
allegations, although they were not specifically set up for that purpose. These
include the Commonwealth Ombudsman, the Privacy Commissioner, the
Auditor-General, the Inspector-General of Intelligence and Security and the
Commissioner for Law Enforcement Integrity.
1.27
Most other comparable liberal democracies and all Australian states and
territories have whistleblower protection, public interest or protected disclosure
laws. The performance of the Commonwealth laws is considered further below.
Whistleblowing under current law
1.28
In 2006-07, a total of 21 employees from 10 APS agencies were
investigated following a whistleblower allegation under the Public Service
Act 1999. In that year, the APS Commissioner received 21 whistleblower
reports and the Merit Protection Commissioner received 20 whistleblower reports.[9]
A number of those reports were made by the same people and concerned individual
grievances and personnel type matters rather than what could be considered more
serious ‘public interest’ allegations.[10]
1.29
The Australian Public Service Commission (APSC) further indicated that
from 1998 to October 2008:
… the Public Service Commissioner has received 138 reports of
alleged breaches of the APS Code of Conduct. Of those, based on viewing
summaries of cases, it would appear that 17 reports (or aspects of the report)
could be considered to be ‘public interest’ disclosures. Of those only 5 were
valid whistleblowing reports where the Public Service Commission conducted an
inquiry.
During the same period the Merit Protection Commission has
received 37 reports, none of which could be regarded as ‘public interest’
disclosures.[11]
1.30
Until recently, there has been very little empirical evidence on the
performance of public interest disclosure laws. The Whistle While They Work
(WWTW) project, lead by Griffith University, collected and analysed survey data
from 7663 public servants and 118 public agencies including 15 ‘case study’
agencies. Key findings from that project include:
n less than two percent
of public interest whistleblowers receive organised support from their government
agency;
n more than half of all
public interest whistleblowers were estimated as suffering a stressful
experience, including around a quarter reporting reprisals or mistreatment;
n seventy one per cent
of respondents had directly observed at least one of a wide range of nominated
examples of wrongdoing in their organisation;
n seventy percent of
the agencies surveyed had no procedures in place for assessing the risks of
reprisals when officials in their agency blew the whistle; and
n three per cent of
agencies surveyed were rated as having reasonably strong whistleblowing
procedures assessed against the relevant Australian Standard.[12]
1.31
As noted in the Whistleblowers Australia submission to the inquiry, the
WWTW research excluded the views of whistleblowers who had left the public
service as a result of reprisals.[13] Other submissions noted
some concerns about the research.[14] The APSC noted that the
WWTW report failed ‘to differentiate between serious malfeasance (e.g. fraud,
corruption) and very minor misdemeanours (e.g. inadequate record keeping,
failure to fully follow all selection procedures)’.[15]
1.32
While the WWTW project did not sample views from every government agency
and so does not reflect whistleblowing across all of the public sector, it is
the most comprehensive research to date. Importantly, it highlighted that
whistleblowing was more common than previously thought and that it is not
always the case that a whistleblower will suffer mistreatment:
On average, most public interest whistleblowers (at least 70
per cent) are treated either well or the same by management and co-workers in
their organisation. While the employee survey did not sample former employees,
even on an excessively pessimistic estimate of the experience of former
employees, the total proportion of whistleblowers experiencing mistreatment
would be unlikely to exceed 30 per cent.[16]
1.33
Some of the WWTW project findings complement the APSC annual survey of
public servants published in the State of the Service reports. Findings
of the 2007 State of the Service report includes:
n 92% of APS employees are familiar with the APS Values and Code of Conduct;
n 77% of APS employees consider that their manager demonstrates honesty and integrity;
n 80% of APS employees consider that people in their work group treat each other with respect;
n 74% of APS employees consider that people in their work group are honest, open and transparent in their
dealings;
n 71% of APS employees consider their agency operates with a high level of integrity; and
n 669 employees
breached the Code of Conduct (0.4% of total APS). [17]
1.34
In launching the 2007 State of the Service report, the Australian
Public Service Commissioner, Ms Lynelle Briggs, noted that some agencies do not
fully recognise the importance of maintaining high ethical standards:
… I would have to say that one or two agencies still struggle
to appreciate what our ethical codes are all about, and don’t understand that
they sail close to the wind. More often than not, this is due to agency
leadership not appreciating that the public sector is different; that
protecting the public interest is fundamentally different to protecting the
bottom line or promoting particular Ministers’ interests; and that in the
public sector we must treat our people well. Any agencies that put “the way
things are done around here” above the behavioural culture and standards set
out in the public service Values and Code of Conduct will eventually find
themselves in deepwater. I cannot emphasise too strongly that our Values and
the Code are fundamental to what keeps us sound, professional and safe.[18]
1.35
Data collected by the WWTW team shows that the bulk of public interest
whistleblowing occurs without being recorded, monitored or reported under
public interest disclosure legislation.[19] This conclusion accords
with the findings of the APSC’s 2003 evaluation of the management of suspected
breaches of the Code of Conduct which found that ‘many reports of suspected
misconduct from APS employees are not correctly identified and treated as
whistleblower reports’.[20]
1.36
The misidentification of whistleblower reports has the following
consequences:
n employees may not be
aware that they are entitled to protection for making a whistleblower report;
n agencies may not
investigate allegations as they are required to do under Division 2.2 of the
public service regulations;
n agencies may not
report back to whistleblowers to advise of the outcome of any investigations;
and
n employees may not be
aware of their ability to request that allegations are further considered by
the Public Service or Merit Protection Commissioner.[21]
1.37
A further evaluation of managing breaches of the code undertaken in 2005
appears to support the earlier findings that there is ‘confusion among
agencies’ in regard to the implementation of whistleblowing procedures and
protections.[22]
Problems with the current arrangements
1.38
Across submissions and hearings, a strong message to the Committee was
that the current legal framework for whistleblower protection at the
Commonwealth level was inadequate and more specific and comprehensive
legislation is required. In summary, the existing whistleblower laws include
only limited categories of public servants, provide a limited range of
protections and there is little or no standardisation and oversight.
1.39
Only two-thirds of the 232,000 employees in the Australian Government
sector are covered by the whistleblower protections under the Public Service
Act 1999. Employees of agencies under the Commonwealth Authorities and
Companies Act 1997 are not covered. Others who may have access to
information that may form the basis of a public interest disclosure are
excluded, such as former public servants, contractors and consultants.[23]
1.40
Within the APS, procedures for handling whistleblower disclosures are
varied. There is no requirement for agencies to have standard procedures in
place and no requirement for agencies to publicly report on the use of those
procedures. Ten years after the enactment of the Public Service Act 1999,
ten per cent of APS agencies are yet to put in place procedures for dealing
with whistleblower reports.[24]
1.41
Whistleblowers under the current arrangements remain exposed to the
criminal law, and civil actions such as defamation and breach of confidence.
There are currently no provisions to protect whistleblowers who make
disclosures to law enforcement authorities. There is no public interest defence
in statute for disclosing official information contrary to s. 70 of
the Crimes Act 1914.
1.42
Protections against unlawful termination in the Workplace Relations
Act 1996 are limited to allegations made to bodies with the ‘right
capacity’ such as courts, tribunals or ‘competent administrative authorities’. The
range of competent administrative authorities is not settled and disclosures to
the wrong bodies will not qualify for protection.[25]
1.43
There is some confusion in the public service as to what types of
reported misconduct should be protected. The Australian Public Service Commissioner
told the Committee that ‘what is considered whistleblowing in one agency may be
viewed differently in another’.[26]
1.44
There are no provisions for public servants to make authorised and
protected disclosures to third parties, which could include their professional
association, trade union, legal advisor, Member of Parliament or the media.
1.45
The same process is used for quite different types of misconduct such as
workplace grievances, personnel-type issues and genuine matters of public
interest that, if not addressed, would result in a significant harm to the
community.
1.46
Common law principles that could potentially affect whistleblowers in administrative
or legal action tend to favour the obligations of employees to their employers
rather than supporting the release of information in the public interest.[27]
1.47
Overall, the current Commonwealth public sector whistleblower protection
provisions were described in many submissions as the most limited and
problematic of all legislative approaches across Australian jurisdictions.
1.48
Whistleblowers Australia, the national representative and advocacy body
for people who have blown the whistle across a range of matters expressed its
view to the Committee on the ‘standard’ treatment of whistleblowers. Their
perspective is reproduced in Box 1.2 below.
Box 1.2 Standard operating practice: A perspective
from Whistleblowers Australia
When a Whistleblower discloses or seeks to disclose
(allegations) of public interest wrongdoing the usual consequences are as
follows:
The whistleblower receives no advice or assistance in
making the disclosure i.e. preparing a statement or providing evidence.
The immediate focus of the matter is the Whistleblower
rather than the alleged wrongdoing. It seems the most important issue to an
Agency is the credibility of the Whistleblower rather than the validity of
the allegations.
Invariably agencies do not provide any proactive protection.
Usually the Whistleblower is faced with accusations that they have breached
their employment contract or other restrictions and may/will be subject to
disciplinary or other adverse action. The open resentment (if not hostility)
of management towards the Whistleblower is an open invitation for reprisals
to start. The situation is like a pack attack on a wounded animal. There are
no rules, no protection and the Whistleblower becomes fair game.
Some peers and even some supervisors will see the injustice
of this situation and will offer help. But within a short time it will become
evident that supporting a Whistleblower will not be tolerated. The supporter
is warned of companion reprisals. Individual survival becomes paramount.
Support generally evaporates very quickly.
The accusations, the hostility and management’s subtle
declaration of an ‘open season’ for reprisals is crushing blow to a
Whistleblower. The Whistleblower who had thought they were acting ethically
in the public interest suddenly finds that they are alone and are subjected
to an unrestricted ‘pack attack’ permitted or even orchestrated by agency
managers.
|
Source Whistleblowers
Australia, Submission no. 26, p. 46-47.
1.49
The costs of not having an appropriate legislative framework to facilitate
the making of public interest disclosures are difficult to quantify but would include:
n the costs to agencies
of undertaking formal investigations of frivolous, vexatious and
unsubstantiated allegations and appeals that could otherwise have been addressed
through more informal or streamlined processes;
n the personal and
financial costs to individual whistleblowers and their families where protected
or (currently) unprotected disclosures have been made and their cases have been
mishandled;
n the possible continuation
of improper, unethical and illegal practices leading to increased costs to
Australian taxpayers, lower quality service delivery, sub-optimal policy
outcomes, or risks to public health and safety – because potential
whistleblowers may have felt that they would not be adequately protected if
they spoke out; and
n less efficient and
effective public administration and lower public confidence in the integrity of
governance and administration systems.
Legislation in other jurisdictions
1.50
Since the early 1990s all Australian states and territories have enacted
legislation to facilitate and protect whistleblower or public interest
disclosures:
n Whistleblowers
Protection Act 1993, South Australia;
n Whistleblowers
Protection Act 1994, Queensland (Reviewed in 2006);
n Protected
Disclosures Act 1994, New South Wales (Currently under review);
n Whistleblowers
Protection Act 2001, Victoria (Currently under review);
n Public Interest
Disclosures Act 2002, Tasmania (Currently under review);
n Public Interest
Disclosure Act 2003, Western Australia;
n Public Interest
Disclosure Act 1994, Australian Capital Territory; and
n Public Interest
Disclosure Act 2008, Northern Territory.
1.51
There is no consistency across whistleblower laws in state and territory
legislation. Each contains different provisions on who can make protected
disclosures, matters subject to disclosure, the scope of protection afforded
and the procedures for making a disclosure.
1.52
AJ Brown’s comparative analysis of state and territory legislation has
shown that no single jurisdiction offers best practice provisions on
whistleblower protection. According to Brown, ‘every jurisdiction has managed
to enact at least some elements of best practice, but all have problems –
sometimes unique, sometimes general or common problems’.[28]
1.53
A number of contributors to the inquiry called for national consistency
on whistleblower legislation in order to address the possible confusion arising
from the different schemes.[29] According to Dr Brown, uniformity across the nine federal, state and territory public sectors is
important because:
… the key issues are fundamentally common, and public
integrity and standards would benefit nationally from a clearer legislative
consensus …[30]
1.54
Whistleblower laws continue to evolve. Queensland reviewed its legislation
in 2006. The New South Wales legislation is currently under review by the state
parliamentary Committee on the Independent Commission Against Corruption. The
Victorian legislation is being reviewed by an inter-departmental committee.
Both those reviews are to be finalised later this year.
1.55
This inquiry has taken into account relevant whistleblower legislation
in several overseas jurisdictions including:
n Protected
Disclosures Act 2000 New Zealand;
n Public Interest
Disclosure Act 1998 United Kingdom;
n Public Servants
Disclosure Protection Act 2005 Canada; and
n Whistleblower
Protection Act 1989 United States.
1.56
Australia has international obligations with respect to the protection
of whistleblowers as a signatory to the United Nations Convention Against
Corruption (UNCAC) and the Organisation for Economic Co-operation and
Development (OECD) Anti-Bribery Convention. Notably, Article 33 of the UNCAC
requires:
Each State Party shall consider incorporating into its
domestic legal system appropriate measures to provide protection against any
unjustified treatment for any person who reports in good faith and on
reasonable grounds to the competent authorities any facts concerning offences
established in accordance with this Convention.[31]
1.57
In January 2006 the OECD Directorate for Financial and Enterprise
Affairs reported on Australia’s implementation of the OECD Convention on
Combating Bribery of Foreign Public Officials. That report noted the ‘low level
of whistleblower protection’ in the Australian public sector.[32]
The movement towards Commonwealth legislation
1.58
This inquiry forms part of a long history of previous reviews, inquiries
and efforts at the Commonwealth level to develop legislation on whistleblower
or public interest disclosure protection including:
n Review of Commonwealth
Criminal Law (The Gibbs Committee), 1991 Final Report;
n Whistleblowers
Protection Bill 1991 (introduced by Senator Vallentine);
n Report on Protection
of Whistleblowers, Electoral and Administrative Review Commission, October 1991;
n Whistleblowers Protection
Bill 1993 (introduced by Senator Chamarette);
n Senate Select Committee
on Public Interest Whistleblowing Report 1994, In the Public Interest;
n Senate Select
Committee on Public Interest Whistleblowing Report, 1995, The Public
Interest Revisited;
n Public Interest
Disclosure Bill 2001 (introduced by Senator Murray);
n Senate Finance and
Public Administration Committee Report, Public Interest Disclosure Bill 2001 [2002];
n Public Interest
Disclosure (Protection of Whistleblowers) Bill 2002, (introduced by Senator Murray); and
n Public Interest
Disclosure Bill 2007 (introduced by Senator Murray) (the Murray Bill).
1.59
Each of the previous Commonwealth reviews and bills on public interest
disclosures has recognised the role of whistleblowers in supporting the
integrity of public administration and have put forward a range of possible
provisions on key issues such as who can make a protected disclosures, the
types of disclosures that should be protected and the scope of statutory
protection that should be available.
The approach of the Committee
1.60
Some aspects of whistleblowing are inherently stressful, unpredictable
and cannot be covered by legislative provisions and procedures. Each case of
whistleblowing will invariably involve a unique mix of circumstances,
historical context and personalities.
1.61
Legislation on whistleblowing can only meet part of the challenge of
facilitating and protecting public interest disclosures. A successful
disclosure scheme requires changes to workplace culture to support a
pro-disclosure ethic, appropriate procedures in the workplace and leadership at
all levels of the public service.
1.62
The Committee nonetheless considers that the current Commonwealth
provisions on whistleblower protection are inadequate and that specific
legislation on public interest disclosures is required for the Australian
Government public sector.
1.63
The Committee anticipates that the sum of the recommendations presented
here will provide the basis for drafting instructions for new Commonwealth
whistleblower protection legislation for the Australian Government public
sector. The legislation, based on these recommendations, may provide a model
for the future revision of state and territory legislation.
1.64
The balance of this report comprises eight further chapters elaborating
on model provisions for new public interest disclosure legislation. Chapter 2
deals with the objectives and principles of new public interest disclosure
legislation and preferred definitions of key terms to be used in new
legislation including the contested definition of public interest. Chapters 3-8
then consider the issues raised on each of the main terms of reference in turn.
1.65
Finally, Chapter 9 discusses other relevant issues raised beyond the
terms of reference including public sector culture in relation to whistleblowing
and public interest disclosures in the private sector. Chapter 9 discusses the
relationship between the Committee’s preferred model and existing Commonwealth
laws.
1.66
Dispersed through the report are a number of case studies describing
recent cases of whistleblowing or disclosures, and drawing observations in
relation to the inquiry. It is not the intention of the Committee to inquire
into or make comment on any current or past whistleblowing disclosures. However
these case studies serve as a reminder of the possible consequences, personal
costs and ramifications for individuals and organisations when public
disclosures are made.