Chapter 2 - Undue trespass on personal rights and liberties
Application of criterion set out in Standing Order 24(1)(a)(i)
2.1
Under Standing Order 24(1)(a)(i), the Committee is required to
report on whether legislation trespasses unduly on personal rights and liberties.
Legislation may trespass unduly on personal rights and liberties in a
number of ways. For example, it might:
- have a retrospective and adverse effect on those to whom it
applies;
- not only operate retrospectively, but its proposer (invariably
the Government) might treat it as law before it is enacted – usually from the
date the intention to legislate is made public; this is often referred to as legislation
by press release;
- abrogate the common law right people have to avoid incriminating
themselves and to remain silent when questioned about an offence in which they
were allegedly involved;
-
reverse the common law onus of proof and require people to prove
their innocence when criminal proceedings are taken against them;
-
impose strict liability on people when making a particular act or
omission an offence;
- give authorities the power of search and seizure without
requiring them to obtain a judicial warrant prior to exercising that power; or
- equip officers with oppressive powers.
2.2
Standing Order 24(1)(a)(i) may also apply in other circumstances,
for example, where legislation directly affects fundamental entitlements such
as the right to vote. It may apply where legislation increases certain powers
of the Executive that may infringe rights, such as the right to privacy, for
example, by allowing the more extensive use of tax file numbers. It may also
apply where legislation provides for organisations other than the police force
to exercise what are essentially police powers – usually where there is a
perceived threat to public safety. Explanations and specific examples of each
of these situations are detailed below.
Retrospectivity
2.3
Legislation has retrospective effect when it makes a law
applicable to an act or omission that took place before the legislation was
enacted. Criticism of this practice is longstanding. For example, in 1651, Thomas
Hobbes in Leviathan observed that ‘No law, made after a Fact done, can
make it a Crime’, and ‘Harme inflicted for a Fact done before there was a Law
that forbad it, is not Punishment, but an act of Hostility’[1].
2.4
Similarly, in 1765, Sir William Blackstone, in his Commentaries,
referred to the vice of making laws but not publicly notifying those subject to
them. He then went on to say:
There is still a more unreasonable method than this, which is
called making of laws ex post facto; when after an action is
committed, the legislator then for the first time declares it to have been a
crime, and inflicts a punishment upon the person who has committed it; here it
is impossible that the party could foresee that an action, innocent when it was
done, should be afterwards converted to guilt by a subsequent law; he had
therefore no cause to abstain from it; and all punishment for not abstaining
must of consequence be cruel and unjust. All laws should be therefore made to
commence in futuro, and be notified before their commencement; which is
implied in the term “prescribed”. But when this rule is in the usual
manner notified, or prescribed, it is then the subject’s business to be thoroughly
acquainted therewith; for if ignorance, of what he might know, were
admitted as a legitimate excuse, the laws would be of no effect, but might
always be eluded with impunity.[2]
2.5
The Committee endorses the traditional view of retrospective
legislation. Its approach is to draw attention to bills that seek to have an
impact on a matter that has occurred prior to their enactment. It will comment
adversely where such a bill has a detrimental effect on people. However, it
will not comment adversely if:
- apart from the Commonwealth itself, the bill is for the benefit
of those affected;
- the bill does no more than make a technical amendment or correct
a drafting error; or
- the bill implements a tax or revenue measure in respect of which
the relevant Minister has published a date from which the measure is to apply,
and the publication took place prior to the date of application.[3]
2.6
In the Committee’s view, where proposed legislation is to have
retrospective effect, the explanatory memorandum should set out in detail the
reasons retrospectivity is sought.
2.7
During the 40th Parliament, retrospectivity remained
one of the principal reasons for the Committee reporting on clauses in bills.
Some examples of the Committee’s approach to the issue are set out below.
Example:
Border Protection (Validation and Enforcement Powers) Bill 2001
2.8
This bill was introduced into the House of Representatives on 18
September 2001[4]
and sought to validate, from 27 August 2001, certain actions taken in relation
to vessels carrying persons reasonably believed to be intending to enter
Australia unlawfully. The bill specified that any such actions were lawful when
they occurred and that no civil or criminal proceedings could be instituted or
continued against the Commonwealth or others in respect of these actions.[5]
2.9
The Committee noted that the provisions sought to validate
actions retrospectively, from 27 August 2001, but also that they sought to
validate any action in relation to certain vessels, that is, the
provision as expressed was very wide in scope. The Committee sought the
Minister’s advice as to: why the validation was expressed so widely; whether
the effect would be to make lawful acts that were currently unlawful; whether
the actions to be retrospectively validated must have complied with guidelines;
and whether the phrase ‘an intention to enter Australia’ referred to Australian
land or Australian territorial waters.
2.10
The Minister for Immigration and Multicultural and Indigenous
Affairs responded that:
-
in the Government’s view all actions taken between 27 August 2001
and
27 September 2001 were, and always had been, lawful and that this position had
been ‘vindicated by the decision of the Full Federal Court in relation to
issues surrounding the MV Tampa’;
-
the Government believed that no Commonwealth official took
improper action that would give rise to the grant of a remedy in a court of
law;
- actions taken by naval personnel must be taken in accordance with
established rules of engagement; and
- under the Acts Interpretation Act 1901, ‘Australia’
includes both the landmass and the territorial sea of Australia.[6]
2.11
The Committee thanked the Minister for this response but noted
that, given no improper or unlawful actions had taken place, ‘it would seem
unnecessary to have legislated to retrospectively validate proper or lawful
actions.’ Notwithstanding that the bill had already been enacted, the Committee
continued to draw these provisions to the attention of the Senate.
Example: Superannuation
Legislation (Commonwealth Employment) Repeal and Amendment Bill 2002
2.12
The Committee dealt with this bill, which contained numerous
provisions that were to commence retrospectively, in Alert Digest No. 2 of
2002. The Committee noted that the proposed retrospective amendments
appeared to be technical in nature and/or beneficial to superannuants, but this
was by no means clear from the explanatory memorandum. The Committee sought the
Minister’s advice whether the retrospective commencement of these provisions
would detrimentally affect the rights of any person.
2.13
The Minister for Finance and Administration provided a detailed
response to the Committee, outlining the effect of the various provisions and
indicating that they would not have a detrimental effect on any person. The
Committee thanked the Minister for this response, but noted that it was
important that the explanatory memorandum accompanying a bill include
appropriate detail and requested that the Minister arrange for the tabling of
an additional explanatory memorandum setting out the material contained in the
Minister’s response.[7]
The Minister indicated that he would ‘be happy to arrange for the tabling of an
additional explanatory memorandum setting out...[this material] when the Senate
next considers the bill.’[8]
On 26 June 2003, the Minister tabled an additional explanatory memorandum which
provided supplementary information regarding these retrospective provisions.
Example: Intellectual Property Laws Amendment Bill
2002
2.14
This bill was introduced into the House of Representatives on 27 June 2002, but included provisions that sought to ensure that some of the amendments
provided for in the bill were to apply from 1 April 2002. The Committee noted that it was not clear from the explanatory memorandum whether this
retrospective application would adversely affect any person and sought advice
from the Minister on this issue.
2.15
The Parliamentary Secretary to the Minister for Industry, Tourism
and Resources advised the Committee that the amendments which were to apply
retrospectively would replace current provisions in the Patents Act 1990
with new disclosure requirements that would have significant benefits for
applicants and patentees. As such, it was considered appropriate that the new
requirements be implemented in a manner that would remove the need for any
applicants or patentees to comply with the current, more onerous, arrangements.
The Parliamentary Secretary emphasised that ‘it is not expected that this will
disadvantage any applicants or patentees because the amendments will be
introducing an improved disclosure regime that imposes a significantly reduced
burden on them.’[9]
2.16
In addition, the Parliamentary Secretary pointed out that the
bill also provided that any information disclosed under the existing
arrangements would be taken to have been disclosed under the new provisions,
thus avoiding a situation whereby people would be required to disclose
information on multiple occasions.[10]
The Committee thanked the Parliamentary Secretary for this response, which
addressed its concerns.
Example:
Family Law Amendment Bill 2003
2.17
The Committee dealt with this bill in Alert Digest No. 2 of
2003, in which it commented on the fact that the amendments proposed by
various items in Schedules 4, 5 and 7 of the bill would commence immediately
after the commencement of Schedule 2 to the Family Law Amendment Act 2000, which
commenced on
27 December 2000. The Committee noted that the explanatory memorandum did not
indicate whether any of these amendments would adversely affect any person and
sought advice from the Attorney-General on this point.
2.18
The Attorney-General provided a comprehensive response to the
Committee,[11]
indicating that the retrospective amendments contained in Schedules 4 and 7 to
the bill were primarily aimed at correcting technical deficiencies in the Act to
ensure that it operated as originally intended. The Attorney-General argued
that, given these amendments corrected minor drafting issues which were not
intended, it was ‘appropriate that they be retrospective, otherwise there will
potentially be anomalies in the way that parties to family law proceedings are
treated.’[12]
2.19
In respect of the retrospective amendments in Schedule 5 of the
bill, the Attorney-General indicated that the purpose of the proposed amendment
to subsection 90F(1) of the Family Law Act 1975 was to allow the court
to consider the circumstances of a party to a marriage at the time that a
financial agreement took effect, rather than when it was made. The existing
provision required the court to consider the position of the parties at the
time when the financial agreement was made. The Attorney-General advised that
the proposed amendment would mean that ‘if a party is unable to support
himself/herself without Government income support, then the court may make a
maintenance order, notwithstanding the agreement.’[13]
He argued that retrospectivity was appropriate in the circumstances as:
The Government’s intention has always been to ensure that
financial agreements can be set aside by the court in circumstances where the
consequence of the agreement is such that a party can only support themselves
by relying upon the public purse notwithstanding that their spouse may well be
able to make maintenance payments. The retrospective application of this
section is expected to have a minimal impact. It is justified given the
potential savings in income support.[14]
2.20
The Committee thanked the Attorney-General for his response and
accepted that the retrospective amendments in Schedules 4 and 7 of the bill
were, for the most part, correcting technical deficiencies, giving the court
greater flexibility in enforcing orders, or were expected to be beneficial to
family law clients. In respect of the amendment to subsection 90F(1) of the Family
Law Act 1975, however, the Committee sought further advice from the
Attorney-General regarding his assertion that this change was ‘expected to have
a minimal impact’ and was ‘justified given the potential savings in income
support.’
2.21
The Attorney-General’s further response was included in the
Committee’s Tenth Report of 2003. The Attorney-General advised that it
would be impossible to quantify the number of people who might be affected by
the amendment to subsection 90F(1) ‘as there is no legislative requirement for
registration of financial agreements.’ The Attorney-General stressed, however, that:
- the only parties who would be affected are those who had made a
financial agreement during this period and who, after the breakdown of their
marriage, would need to rely on income support payments, but where the other
party was in a position to provide spousal maintenance payments;
- the provision did not operate automatically to overturn existing
agreements. It would only operate upon the application of a party to the
marriage and where the court considered it appropriate; and
- the court would be able to take account of intervening
circumstances, particularly the fact that parties may have acted to their
detriment on the basis of the agreement.
2.22
The Attorney-General also reiterated that the Government’s
intention was always to ensure that financial agreements could be set aside by
the court in circumstances where the consequences of the agreement was such
that a party could only support themselves by relying upon the public purse,
notwithstanding that their spouse may well be able to make maintenance payments.
In the circumstances, the Committee made no further comment on the provision.
‘Legislation by press release’ and
the six month rule
2.23
‘Legislation by press release’ occurs where a bill is not only
retrospective, but is treated by its proposer (invariably the Government) as
being the law from the time the intention to introduce it is made public. This
intention is frequently announced by press release.
2.24
The Committee’s practice is to draw attention to ‘legislation by
press release’. The fact that a proposal to legislate has been announced is no
justification for treating that proposal as if it were enacted legislation. As
the Committee has previously noted, ‘publishing an intention to process a bill
through Parliament does not convert its provisions into law; only the
Parliament can do that’.[15]
2.25
As a general principle, the Committee disapproves of ‘legislation
by press release’ for two reasons. Firstly, proposals are not enacted
legislation and to treat them as such is to act outside the law. Secondly, when
the legislation becomes an Act, the Act is drafted so that it operates
retrospectively and therefore infringes the Committee’s criteria. In its
1986-87 Annual Report, the Committee stated:
the practice of ‘legislation by press release’ carries with it the
assumption that citizens should arrange their affairs in accordance with
announcements made by the Executive rather than in accordance with the laws
made by the Parliament. It treats the passage of the necessary retrospective
legislation ‘ratifying’ the announcement as a pure formality. It places the
Parliament in the invidious position of either agreeing to the legislation
without significant amendment or bearing the odium of overturning the
arrangements which many people may have made in reliance on the Ministerial
announcement. Moreover, quite apart from the debilitating effect of the
practice on the Parliament, it leaves the law in a state of uncertainty.
Persons such as lawyers and accountants who must advise their clients on the
law are compelled to study the terms of the press release in an attempt to
ascertain what the law is. As the Committee has noted on two occasions, one
press release may be modified by subsequent press releases before the Minister’s
announcement is translated into law. The legislation when introduced may differ
in significant details from the terms of the announcement. The Government may
be unable to command a majority in the Senate to pass the legislation giving
effect to the announcement or it may lose office before it has introduced the
relevant legislation, leaving the new Government to decide whether to proceed
with the proposed change to the law.[16]
2.26
The Committee has noticed that, since it made these comments, the
use of ‘legislation by press release’ in most portfolio areas seems to have
declined, although does still occur (as outlined in the below examples). Tax
legislation, in particular, is still frequently applied retrospectively, with
amendments made to apply from the date of their announcement, whether by press
release or in the Budget. In 1988 the Senate passed a declaratory resolution to
the effect that if more than six months elapse between a government
announcement of a taxation proposal and the introduction or publication of a
bill, the Senate will amend the bill to reduce the period of retrospectivity to
the time since the introduction or publication of the bill.[17]
2.27
Some examples of the Committee’s approach to ‘legislation by
press release’ during the 40th Parliament are set out below.
Example:
Criminal Code Amendment (Anti-hoax and Other Measures) Bill 2002
2.28
This bill was introduced into the Parliament on 13 February 2002. Schedule 1 to the bill proposed to amend the Criminal Code by
creating a new offence dealing with the use of the postal system to send hoax
material and these amendments were to commence retrospectively, at 2pm on 16 October 2001. This was the time and date at which the Prime Minister had
publicly announced that he would introduce such provisions.
2.29
In Alert Digest No. 1 of 2002, the Committee drew these
provisions to the attention of the Senate, noting that:
Notwithstanding the seriousness of the conduct at which this
bill is directed, the retrospective creation of a criminal offence is similarly
a serious matter. The bill itself is a very clear example of ‘legislation by
press release’ – a practice which the Committee has consistently brought to the
attention of Senators. As the Committee has previously noted, ‘the fact that a
proposal to legislate has been announced is no justification for treating that
proposal as if it were enacted legislation’.[18]
2.30
The Attorney-General responded to the Committee on 8 March 2002, agreeing that ‘the retrospective creation of an offence is a serious matter’
but asserting that there were exceptional circumstances justifying the
retrospectivity:
During October 2001, hoaxes were causing significant concern and
disruption. Following the terrorist attacks of 11 September 2001, police investigated over 3000 incidents involving suspicious packages of which over 1000
involved anthrax hoaxes. As a result of these hoaxes, mail centres and offices
had to be decontaminated, security measures enhanced and emergency services
diverted from other duties. These false alarms cost the community both in terms
of unnecessary use of public resources and in terms of increased fear and
anxiety.
As stated in the Explanatory Memorandum, it was necessary to
ensure that such conduct was adequately deterred in the period before the
resumption of Parliament. The Prime Minister’s announcement of 16 October 2001 provided this deterrence. The Prime Minister’s announcement was in very
clear terms, and received immediate, widespread publicity. The amendments
operate only from the time of that announcement.
It has been accepted that amendments to taxation law may apply
retrospectively where the Government has announced, by press release, its
intention to introduce a Bill to amend taxation law, and the Bill is introduced
within 6 months after the date of the announcement (Senate Resolution of 8
November 1988). The new hoax offence was introduced within 4 months after the
date of the Prime Minister’s announcement.
An additional consideration is that there is no circumstance in
which the perpetration of a hoax that a dangerous or harmful thing has been
sent could be considered a legitimate activity in which a person was entitled
to engage pending these amendments. The amendments do not retrospectively
abrogate a legitimate right or entitlement. For all these reasons, the
retrospective application of these amendments is not considered to contravene
fundamental principles of fairness or due process.[19]
2.31
The Committee thanked the Attorney-General for this response and
noted that:
Taxation law is concerned with financial arrangements, and
appropriate behaviour in relation to them. Imprecision in the commencement of
amendments may have behavioural and financial consequences. Taxation law is
essentially regulatory in nature. However, these amendments propose to
retrospectively create criminal offences – a much more serious issue when
considering the merits of retrospectivity. The practices developed for amending
taxation law are not an appropriate precedent for amendments which go to
criminal responsibility.
In addition, while it is undeniable that perpetrating a hoax cannot
be considered a ‘legitimate’ activity, what this bill proposes to do is
retrospectively declare it to be ‘criminal’ activity – again, a different, and
more serious, issue of principle. Not every ‘illegitimate’ activity is
‘criminal’ activity. Declaring something ‘illegitimate’, and then
retrospectively declaring it to be a crime, would seem to establish an
unfortunate and undesirable precedent. A crime may be created by a simple
announcement.[20]
2.32
The Committee asked the Attorney-General to reconsider these
provisions. However, in a letter dated 15 March 2002, he declined to do so,
reiterating the Government’s position that the ‘offence and its retrospectivity
were very clearly foreshadowed by the Prime Minister on 16 October 2001.’[21]
2.33
The Committee thanked the Attorney-General for this further
response, but reiterated its concern at the use of retrospectivity in the
creation of criminal offences and sought the Attorney-General’s assurance that
these provisions would not be used as a precedent for the retrospective
creation of criminal offences in other circumstances.[22]
In a letter dated 4 April 2002, the Attorney-General assured the Committee that
the Government would not use the bill as a precedent for the retrospective
creation of criminal offences, noting that ‘an offence would only be made
retrospective after careful consideration on a case by case basis and only
where there are special circumstances necessitating retrospectivity....’[23]
Example:
Migration Amendment (Excision from Migration Zone) Bill 2001
2.34
The Migration Amendment (Excision from Migration Zone) Bill 2001
proposed to amend the Migration Act 1958 to excise certain places, such
as Christmas Island and the Cocos (Keeling) Islands, from the migration zone in
relation to unlawful arrivals. The bill also proposed to prevent non-citizens, who
entered Australia at one of these locations after the excise date and without a
visa, from making a valid visa application, unless otherwise determined by the
Minister on public interest grounds.
2.35
The Committee noted that item 2 of Schedule 1 of the bill
specified dates and times for the excision of various offshore places from Australia’s
migration zone, a number of which were retrospective. However, the explanatory
memorandum did not provide any advice as to why the specified dates and times
had been chosen, nor whether this retrospectivity would disadvantage any
person. The Committee sought the Minister’s advice on this matter.
2.36
In his response, the Minister for Immigration and Multicultural
and Indigenous Affairs, indicated that the Act:
- fulfilled a commitment made by the Prime Minister on 8 September
2001 to excise Christmas Island and Ashmore and Cartier Islands from the
Australian migration zone from 2pm that day (refer to the media transcript
available at http://www.pm.gov.au/media/Interview/2001/interview1223.cfm); and
- implemented a Government decision, announced by the Minister for
Immigration and Multicultural and Indigenous Affairs on 17 September 2001, to excise the Cocos (Keeling) Islands from 12 noon that day (copy available at http://www.minister.immi.gov.au/media/media-releases/2001/r01160.htm).
2.37
In addition, the Minister advised that the “Act only affects
those people who arrive at an ‘excised offshore place’ without lawful authority
after the relevant date and time... It will not affect Australian citizens and
others with lawful authority to enter or reside in an excised offshore place.”[24]
2.38
The Committee thanked the Minister for this response but, not
withstanding that the bill had already been passed by both Houses, indicated
its continued concern with the possible effect of these provisions.
Abrogation of the privilege against
self-incrimination
2.39
At common law, people can decline to answer a question on the
grounds that their reply might tend to incriminate them. Legislation that
interferes with this common law privilege trespasses on personal rights and
liberties and causes the Committee considerable concern.
2.40
At the same time, however, the Committee is conscious of the Government’s
need to have sufficient information to enable it to properly carry out its
duties to the community. Good administration in some circumstances might
necessitate the obtaining of information that can only be obtained, or can best
be obtained, by forcing someone to answer questions even though this means that
he or she must provide information showing that he or she may be guilty of an
offence. Those proposing a bill that affects or removes a person’s right to
silence usually do so on this basis.
2.41
The Committee does not see the privilege against
self-incrimination as absolute. Before it accepts legislation that includes a
provision affecting this privilege, however, the Committee must be convinced
that the public benefit that will follow from its negation will decisively
outweigh the resultant harm to the maintenance of civil rights.
2.42
One of the factors the Committee considers is the subsequent use
that may be made of any incriminating disclosures. The Committee generally
holds to the view that the interest of having Government properly informed can
more easily prevail where the loss of a person’s right to silence is balanced
by a prohibition against both the direct and indirect use of the forced
disclosure. The Committee is concerned to limit exceptions to the prohibition
against such use. In principle, a forced disclosure should be available for use
in criminal proceedings only when they are proceedings for giving false or
misleading information in the statement that the person has been compelled to
make.
Example: Proceeds of Crime Bill 2002
2.43
The Committee considered this bill in Alert Digest No. 3 of
2002, having commented on a similar bill of the same name in Alert
Digest No. 14 of 2001. The Committee drew attention to several provisions
that abrogated the privilege against self-incrimination:
- subclause 196(1), when read with
paragraph 197(2)(a), had the effect of abrogating the privilege against
self-incrimination for a person attending an examination under part 3-1 of the
bill. The Committee noted that while clause 197 of the bill provided limits
for the use of information or documents compelled from a person, it made no
reference to information obtained as a result of the exercise of that
compulsion. Furthermore, the explanatory memorandum provided no explanation for
why derivative use immunity was not provided for; and
- clause 271 of the bill abrogated the privilege against
self-incrimination where information was compelled from a person against whom a
production order was made. Clause 206 of the bill provided use immunity in
respect of this information, however, it did not provide derivative use
immunity. Furthermore, the explanatory memorandum provided no explanation for
why derivative use immunity was not provided for.
2.44
The Committee sought advice from the Minister as to why
derivative use immunity was not provided for in each of these circumstances.
2.45
In respect of a person attending an examination under part 3-1 of
the bill, the Minister for Justice and Customs advised that derivative use
immunity was not conferred:
... as it creates a significant risk that any future criminal
investigation or prosecution will be adversely affected by allegations that the
evidential material was derived from the information provided in the
examination. By claiming that the prosecution’s evidence was derived from
information or documents provided in an examination, and thus forcing the prosecution
to prove the contrary, a well advised criminal can make it extremely difficult
for a prosecution to succeed.[25]
2.46
In relation to information provided under a production order, the
Minister indicated that the primary reason for not conferring derivative use
immunity was that:
the full scope of the immunity can never be accurately predicted
in advance. Production orders are able to be used at all stages of an
investigation, including at the preliminary stage, when no decision has been
made as to whether criminal or confiscatory proceedings will be taken, and
prior to a restraining order being sought. Granting derivative-use immunity in
relation to documents provided at that stage may place future investigations or
prosecutions in jeopardy.[26]
2.47
The Committee thanked the Minister for this response, but
continued to draw these provisions to Senators’ attention, on the basis that
they could be considered to trespass unduly on personal rights and
liberties. The Senate passed this bill on
23 September 2002, without amendment.[27]
Example: Australian
Security Intelligence Organisation Legislation Amendment (Terrorism) Bill 2002
2.48
The Committee commented on provisions within this bill that would
abrogate the privilege against self-incrimination for a person from whom a
‘prescribed authority’ had sought information under new subsection 34G(3) of
the Australian Security Intelligence Organisation Act 1979. The
Committee noted that proposed new subsection 34G(9) did not impose the usual
limits on the circumstances in which information so provided was admissible in
evidence in proceedings against the person who had been compelled to provide
it:
In general terms, any such information, or any document or thing
produced, is not admissible in criminal proceedings other than proceedings for
an offence against section 34G or a terrorism offence. This section also
permits any information acquired indirectly from the information gained
by the operation of subsection (8) to be used for any purpose whatever.[28]
2.49
The Committee noted that the explanatory memorandum sought to
justify these provisions on the basis that the ‘protection of the community
from [the violence of terrorism] is, in this special case, considered to be
more important than the privilege against self-incrimination.’[29]
While acknowledging that the protection of the community from the violence of
terrorism was of vital concern, the Committee sought the Attorney-General’s
advice as to why this could only be achieved by removing the long-standing
protections of use and derivative use immunity.
2.50
The Attorney-General responded that the Government had amended
the bill in the House of Representatives to provide that any information
provided by a person under a warrant could only be used in proceedings against
the person for an offence relating to the failure to provide information,
records or things to a prescribed authority (and not in proceedings in respect
of a terrorism offence as was initially proposed).
2.51
The Attorney-General indicated that the bill did not provide for
derivative use immunity as:
such information may be extremely useful in preventing terrorist
offences or prosecuting terrorists. If derivative use immunity were available,
the value of the information obtained during an investigation would be
diminished. Also, it would be likely that potential arguments about how an
investigative lead arose would prevent the authorities from pursuing valuable
information that could prevent a terrorist attack or lead to the prosecution of
a terrorist.[30]
2.52
The Committee thanked the Attorney-General for this response,
noting that the original provision had been amended to restrict the
circumstances in which self-incriminating evidence was admissible in
proceedings against the person compelled to provide it. However, the continued
absence of derivative use immunity led the Committee to conclude that the
provisions may be considered to trespass on personal rights and liberties. The
Committee left it to the Senate as a whole to weigh these breaches against the
intended policy outcomes of the bill. This bill was laid aside by the House of
Representatives on 13 December 2002.
Reversal of the onus of proof
2.53
At common law, it is ordinarily the duty of the prosecution to
prove all the elements of an offence, the accused is not required to prove
anything. Provisions in some legislation reverse this onus and require the
person charged with an offence to prove, or disprove, some matter to establish
his or her innocence (ie. impose a legal burden on that person) or require that
person to point to evidence that suggests a reasonable possibility that the
matter exists or does not exist (i.e. impose an evidential burden on the
person). The Committee usually comments adversely on a bill that places the
onus on an accused person to disprove one or more elements of the offence with
which he or she is charged.
2.54
The Committee’s general practice over the years has been to adopt
the approach of the (then) Senate Standing Committee on Constitutional and
Legal Affairs, as expressed in its report The burden of proof in criminal
proceedings.[31]In that report the Constitutional and Legal Affairs Committee stated that
it was of the opinion that:
no policy considerations have been advanced which warrant an
erosion of what must surely be one of the most fundamental rights of a citizen:
the right not to be convicted of a crime until he [or she] has been proved
guilty beyond reasonable doubt. While society has the role by means of its laws
to protect itself, its institutions and the individual, the Committee is not
convinced that placing a persuasive burden of proof on defendants plays an
essential or irreplaceable part in that role.[32]
2.55
Reversal of the onus of proof may be applied to citizens in their
individual capacity, or it may be applied to people in their official working
capacity, for example, as a company director or CEO. The Australian Competition
and Consumer Commission (ACCC) have argued that common law rights in relation
to the onus of proof were developed to protect individuals and should not be
automatically extended to protect companies:
I think it is simply a basic fact that the whole jurisprudence
that underlines the whole legal system was developed in the context of the
rights of individual persons. When we turn to corporations, it does not seem to
me that one should automatically assume that this jurisprudence translates into
absolutely equivalent and identical rights...[33]
2.56
Nevertheless, the Committee has continued to bring provisions
that reverse the onus of proof to the attention of the Senate, regardless of whether
the reverse onus rests on people in their individual capacity or in their
professional capacity. The Committee remains firmly of the view that reversing
the onus of proof for persons in their individual capacity infringes
well-established and fundamental personal legal rights, but the Committee notes
the development over the last decade or more, of legal provisions that seek to
get behind the ‘corporate veil’ by reversing the onus of proof for persons
acting not as individuals but in an official organisational capacity, where the
corporation might otherwise use the rights of the individual to protect the
interests of the entity.
2.57
For example, during the 39th Parliament the Committee
considered the Corporate Law Economic Reform Program Bill 1998, which reversed
the onus of proof in a variety of circumstances, including making a
misstatement in certain takeover and other offer documents; not proceeding with
a publicly proposed bid; and making a misstatement in a prospectus or similar
document.[34]
The government argued that reversal of the onus of proof in these circumstances
was appropriate as it was consistent with Corporations law more generally, was
aimed at ensuring the integrity of the market, and sought to address the
information imbalance between issuers of a prospectus and potential investors.[35]
The Committee accepted the reversal of the onus of proof in these
circumstances.
2.58
During the 40th Parliament, the Committee commented on
provisions in four bills that reversed the onus of proof, all of which related
to people acting in their individual capacity. Two examples are set out below.
Example: Criminal Code Amendment (Espionage and Related
Offences) Bill 2002
2.59
This bill proposed to amend the Crimes Act 1914, the Criminal
Code Act 1995 and the Australian Protective Services Act 1987 to
establish new offences dealing with the protection of security and defence, in
particular, offences relating to espionage and similar activities and
soundings. In its Alert Digest No. 3 of 2002, the Committee
commented on proposed new subsections 92.1(2) and (3) of the Criminal Code, to
be inserted by this bill, which would reverse the burden of proof in a
prosecution for an offence under subsection 92.1(1), which concerned the taking
or recording of soundings. The Committee sought advice from the
Attorney-General as to why the defendant should bear the burden of proving
matters referred to in the provisions.
2.60
In his response, the Attorney-General indicated that the new
provisions did not change the law, they merely modernised the language. He
sought to justify the reversal of the onus of proof in these circumstances on
the basis that:
Commonwealth criminal law policy on reversing the onus of proof
is that it should only be allowed in cases where the matters to be proved are
peculiarly within the knowledge of the defendant and are difficult for the
prosecution to disprove beyond a reasonable doubt. It must be peculiarly within
the defendant’s knowledge and therefore within his or her ability to prove or
disprove. In the case of the taking or recording of soundings, it is not within
the scope of the Commonwealth’s capabilities to ascertain the necessity of
soundings taken for the navigation of the vessel or for any purpose in which
the vessel was lawfully engaged.[36]
2.61
The Committee thanked the Attorney-General for this response,
noting the Government’s view that a reversal of the onus of proof was
appropriate in the circumstances. However, the Committee indicated that ‘others
may hold a different view’ and left for the Senate as a whole the question of
whether the provisions trespassed unduly on personal rights and
liberties.[37]
2.62
Subsequently, the Attorney-General moved amendments in the House
of Representatives which, among other things, removed the new offence relating
to soundings and, as a consequence, the new reversal of the onus of proof
provisions. The result of this was that the existing Crimes Act 1914
provisions relating to soundings remained in force, including the reversal of
the onus of proof.[38]
Example:
Building and Construction Industry Improvement Bill 2003
2.63
The Committee dealt with this bill in Alert Digest No. 15 of
2003, drawing attention to clause 170 of the bill, which would reverse the
onus of proof requiring a person or building association whose conduct was in
question to prove that they did not carry out the conduct for a particular
reason or with a particular intent. The Committee expressed concern that:
in this case a person may have to disprove such elements [of an
offence] based on an allegation that the conduct was or is being carried
out for a particular reason or with a particular intent. The Committee is
concerned that this lessens the basic cause that can give rise to proceedings
under clause 227 where it will be presumed that the conduct was or is
being carried out for that reason or intent. The bill does not appear to
provide for a reasonable defence in such instances.[39]
2.64
The Committee sought the Minister’s advice as to the reason for
the reversal of the onus of proof and for establishing that a person may have
to disprove an allegation in proceedings under clause 227 of the bill.
2.65
The Minister for Employment and Workplace Relations responded
that freedom of association provisions in the bill provided that certain
conduct could not be engaged in for a prohibited reason, for example, because a
person was a union member. Clause 170 provided that where a person was alleged
to have engaged in conduct for a prohibited reason that would contravene a
freedom of association provision, that person was presumed to have engaged in
that conduct for a prohibited reason. The overall effect was to place the onus
on the defendant to prove, on the balance of probabilities, that the conduct was
not engaged in for a prohibited reason.
2.66
The Minister indicated that the rationale for clause 170 was that
the reason or intention for a person’s conduct would often be a matter solely
within the knowledge of that person. Without the reversal of onus, it would
often be extremely difficult for an applicant to establish that the conduct
complained of was undertaken for a particular reason or intent. Removing this
provision would severely limit many of the protections provided by the freedom
of association provisions. The Minister further advised that the reversal of
the onus of proof did not apply in interlocutory proceedings and that he
believed clause 170 therefore ‘strikes the appropriate balance between ensuring
[freedom of association] protection and fairness for parties alleged to have
breached the [freedom of association] provisions.’[40]
2.67
The Committee thanked the Minister for this response, noting that
it would have been useful had this explanation been included in the explanatory
memorandum.
Strict and absolute liability
offences
2.68
An offence is one of strict liability where it provides for
people to be punished for doing something, or failing to do something, whether
or not they have a guilty intent. In other words, someone is held to be legally
liable for their conduct irrespective of their moral responsibility. A person
charged with a strict liability offence has recourse to a defence of mistake of
fact.
2.69
An offence of absolute liability also provides for people to be
punished for doing something, or failing to do something, whether or not they
have a guilty intent. However, in the case of absolute liability offences, the
defence of mistake of fact is unavailable.
2.70
The Committee will draw the Senate’s attention to provisions that
create offences of strict or absolute liability and has expressed the view
that, where a bill creates such an offence, the reasons for its imposition
should be set out in the explanatory memorandum that accompanies the bill.
2.71
Some examples of bills imposing strict or absolute liability
considered by the Committee during the 40th Parliament are provided
below. In addition, the Committee produced a report specifically on the
application of absolute and strict liability offences in Commonwealth
legislation.[41]
That report is discussed in detail in Chapter 7 of this report.
Example:
Quarantine Amendment Bill 2002
2.72
This bill included several provisions that would impose strict
liability in relation to certain aspects of criminal offences. In its Alert
Digest No. 3 of 2002, the Committee noted that, in some instances, the
explanatory memorandum described the effect of the imposition of strict
liability but it did not provide a reason for the provisions. In respect of
provisions in part 2 of Schedule 1 of the bill that sought to impose strict
liability, the explanatory memorandum failed to provide any explanation at all.
The Committee sought advice from the Minister about why strict liability was
considered appropriate and why there was no reference in the explanatory
memorandum to part 2 of Schedule 1 of the bill.
2.73
The Minister for Agriculture, Fisheries and Forestry provided a comprehensive
response, outlining the rationale for the imposition of strict liability in
respect of the relevant offences.[42]
The Committee indicated that the explanation provided by the Minister appeared
to indicate that the provisions ‘are in accordance with the principles relating
to strict liability contained in the Committee’s Sixth Report of 2002: The
Application of Absolute and Strict Liability Offences in Commonwealth
Legislation.’ However, the Committee went on to outline its expectations in
respect of explanatory memoranda accompanying bills:
... an Explanatory Memorandum should include a full explanation of
the background to the bill and its intended effect. This is particularly the
case where it includes provisions which may affect personal rights or
parliamentary propriety. An Explanatory Memorandum should be more than a brief
introduction followed by notes on clauses which largely reproduce the clauses
themselves. The purpose of the Explanatory Memorandum is to assist
parliamentarians during passage of the bill and to be a guide for those
affected by its proposed provisions. It is therefore necessary for it to
include all matters relevant to this purpose. This would usually include a
substantial discussion of these issues in addition to the notes on clauses.[43]
Example:
Security Legislation Amendment (Terrorism) Bill 2002 [No.2]
2.74
The Committee considered this bill, which was part of a
legislative package designed to strengthen Australia’s counter terrorism
capabilities, in Alert Digest No. 3 of 2002. While the bill was
expressly concerned with terrorist acts, it also enabled the Attorney-General
to proscribe organisations that, in his or her opinion, were ‘likely to
endanger’ Australia’s security and integrity. The bill provided for penalties
for persons who had ‘taken steps’ to become a member of such an organisation
and imposed legal burdens on defendants to disprove matters. The Committee
considered that, on its face, the bill appeared ‘to introduce considerable
scope for discretion in the criminal law’ and sought a briefing and invited
comment on the provisions of this and other bills in the legislative package.[44]
2.75
Among the items commented on by the Committee were a number of
provisions to be inserted into the Criminal Code that created offences
of strict or absolute criminal liability:
- proposed subsection 101.2(2) provided that absolute liability
would apply to the provision or receipt of certain training that was connected
with the preparation for, engagement in, or assistance in, a terrorist act;
- proposed subsection 101.4(2) provided that absolute liability
would apply to the possession of a thing that was connected with the preparation
for, engagement in, or assistance in, a terrorist act;
- proposed subsection 101.5(2) provided that absolute liability
would apply to the collection or making of a document that was connected with
the preparation for, engagement in, or assistance in, a terrorist act;
- proposed subsection 102.4(2) provided that strict liability would
apply to the offence of having links to, or membership of, a proscribed
organisation.
2.76
In drawing these absolute liability offences to the attention of
the Senate, the Committee noted that:
it seems that criminal liability is being imposed here on the
basis of ‘possible connections’: if the provision of training is possibly
connected to a terrorist act then a person commits an offence; if the
possession of a thing is possibly connected with a terrorist act then a person
commits an offence. These amendments would seem to widen the scope for criminal
liability alarmingly.[45]
2.77
In response to the concerns raised by the Committee, the
Attorney-General sought to assure the Committee that the proposed amendments
would not impose criminal liability merely on the basis of a possible
connection to terrorist acts. He advised that the prosecution would be required
to prove beyond a reasonable doubt that the ‘training’, ‘thing’ or ‘document’
was in fact connected with a terrorist act. However, the application of
absolute liability would mean that the prosecution did not have to prove that
the defendant knew that the training, thing or document was connected to
terrorism. The Attorney-General indicated that this departure from the common
law presumption that fault must be proven for each physical element of an
offence for a person to be guilty was justified given the consequences of
terrorism as demonstrated by the events of 11 September 2001.[46]
The Committee thanked the Attorney-General for this advice, but continued to
draw these provisions to the attention of the Senate.
2.78
In respect of the strict liability offence contained in proposed
new subsection 102.4(2) of the Criminal Code, which applied strict
liability to the circumstance that an organisation was a proscribed
organisation, the Committee noted that the explanatory memorandum sought to
justify the imposition of strict liability on the basis that ‘it is not
legitimate to be a member of, or have links with, an organisation of a kind
that could be proscribed.’ The Committee noted that this justification “appears
to beg the question of when strict criminal liability should be imposed, and to
confuse some form of ‘moral’ legitimacy with conduct that is contrary to the
law.”[47]
The Committee sought advice from the Attorney-General as to why strict
liability should apply to an offence under subsection 102.4.
2.79
The Attorney-General responded that, while the application of
strict liability to this element of the offence meant that the prosecution
would not have to prove that a defendant knew that an organisation had been
proscribed, it would be a defence if:
- the defendant proved that s/he neither knew nor was reckless as
to the existence of the grounds for proscribing the organisation; or
- the person moved immediately to cease to be a member of an
organisation after it was proscribed.
2.80
The Attorney-General asserted that the application of strict
liability and the availability of the abovementioned defences would:
ensure that the commission of the offence depends on the
defendant’s awareness of the fact that the organisation is involved in
terrorist activities or is a threat to national security.... If the prosecution
was required to prove that the defendant knew that an organisation had been
declared to be a proscribed organisation, defendants with knowledge of the terrorist
activities of an organisation would be able to escape liability by
demonstrating they were not aware of the organisation’s proscription. [48]
2.81
The Committee thanked the Attorney-General for this advice, but
continued to draw this provision to the attention of the Senate. On 27 June 2002, the Senate agreed to amend this bill. These amendments, among other things,
removed the provisions in respect of absolute and strict liability that the
Committee commented on in Alert Digest No. 3 of 2002 and its Fourth
Report of 2002.[49]
Double jeopardy
2.82
Double jeopardy refers to the common law principle that a person
who has previously been acquitted of an offence cannot be prosecuted again for
the same conduct. The rationale behind the double jeopardy rule, was articulated
by Black J in the United States Supreme Court in the case of Green v United
States (1957) 355 US 184 at 187:
The underlying idea, one that is deeply ingrained in at least
the Anglo- American system of jurisprudence, is that the State with all its
resources and power should not be allowed to make repeated attempts to convict
an individual for an alleged offence, thereby subjecting him to embarrassment,
expense and ordeal and compelling him to live in a continuing state of anxiety
and insecurity, as well as enhancing the possibility that even though innocent
he may be found guilty.[50]
2.83
During the 40th Parliament, the Committee considered
the Crimes Legislation Amendment (People Smuggling, Firearms Trafficking and
Other Measures) Bill 2002, which sought to amend the Criminal Code Act 1995
to insert new provisions criminalising the smuggling of persons and to create
various offences, including cross-border firearms trafficking offences. It its Alert
Digest No. 16 of 2002, the Committee commented on proposed new
subsection 360.2(2) of the Criminal Code, to be inserted by this bill, which
would impose absolute criminal liability on one element of the offence to be
created by subsection 360.2(1), which related to cross border acquisition or
disposal of firearms. The relevant element was that the accused had engaged in
conduct that constitutes an offence against a State or Territory law relating
to firearms.
2.84
The Committee noted that the explanatory memorandum observed
that:
absolute liability has been imposed in order to prevent the
application of the default provision of the prosecution having to prove
intention or recklessness. Since the Commonwealth offence is constituted (in
part) by conduct which is an offence under State or Territory law – which
includes any necessary mental element on the part of the accused – it is
unnecessary to provide for any further mental element in the Commonwealth
Offence.’[51]
2.85
The Committee suggested that the imposition of absolute liability
in these circumstances was unexceptionable, but noted that:
there does not appear to be any provision in the bill relating
to the interaction between State and Territory laws on the one hand and the
provision of this bill on the other. It is not clear, for instance, whether a
person is liable to be prosecuted and convicted of an offence against a State
or Territory firearm law, and might then be charged, for the second time,
because his or her conduct included the interstate disposal of firearms.[52]
2.86
The Committee sought advice from the Minister in relation to this
issue.
2.87
The Minister advised that the principle of double jeopardy, which
exists in all Australian jurisdictions, would prohibit a person being
prosecuted for an offence in circumstances where the person has already been
tried for the activity constituting the offence:
Section 4C of the Crimes Act 1914 deals with the double
jeopardy principle at the Commonwealth level. Subsection 4C(2) provides that
where an act or omission constitutes an offence under both a law of the
Commonwealth and a law of a State or Territory, and the person has been
punished for the State or Territory offence, that person cannot be punished for
the Commonwealth offence. Where the person is first prosecuted under the
Commonwealth offence, the common law or relevant State or Territory laws on
double jeopardy will apply.’[53]
2.88
The Committee thanked the Minister for this response, which
addressed its concerns.
Powers of search and seizure
without warrant
2.89
The Committee consistently draws the Senate’s attention to
provisions that allow search and seizure without the issue of a warrant. As a
general rule, a power to enter premises without the consent of the occupier, or
without a warrant, trespasses unduly on personal rights and liberties, and the
Committee will draw such provisions to the Senate’s attention. A provision
giving an authority such a power will be acceptable only where the
circumstances and gravity of the matter in question justify it being given.
2.90
Further information on the Committee’s views in respect of search
and seizure without warrant can be found in the Committee’s Fourth Report of
2000 - Entry and Search Provisions in Commonwealth Legislation.
Example: Transport Safety Investigation Bill 2002
2.91
This bill proposed to establish an updated aviation, marine and
rail transport safety regime for Australia and included provisions that would
permit the Executive Director of Transport Safety Investigation (or his or her
delegate) to enter ‘special premises’ without a warrant and without the
occupiers consent. The bill defined ‘special premises’ as an accident site or a
vehicle.
2.92
The Committee was of the view that the power to enter an accident
site without warrant appeared reasonable, but the power to enter vehicles
appeared to be overly wide. The Committee sought the Minister’s advice about
the circumstances in which the power to enter vehicles would be exercised and
about any safeguards in the legislation for its operation.[54]
2.93
The response from the Minister for Transport and Regional
Services acknowledged that the powers in the bill allowing entry to vehicles
‘may appear to be broader than some Commonwealth legislative provisions’ but
asserted that these broader powers were “justified by the ‘no blame’ future
safety object of [Australian Transport Safety Bureau] investigations” and that
the bill contained ‘sufficient general safeguards to prevent an abuse of the
power provided [for in the bill]’[55].
2.94
The Committee thanked the Minister for this response, but
continued to express concern about the nature and extent of the power provided
for by the bill. The Committee emphasised that ‘the power to enter and search
premises is exceptional and not to be granted as a matter of course’ and drew
the Minister’s attention to the Committee’s Fourth Report of 2000 – Entry
and Search Provisions in Commonwealth Legislation, which provides a set of
principles with which search and entry provisions should conform. The Committee
also sought from the Minister a briefing by Departmental officers on these
aspects of the bill.[56]
2.95
The Committee received a briefing from officers of the Australian
Transport and Safety Bureau (ATSB) on 21 October 2002. The ATSB emphasised that
the relevant powers in the bill related only to ‘no blame’ safety
investigations that were recognised by international conventions. The officers
also quoted the Committee’s Fourth Report of 2000, which recommended
that, in considering whether to provide for entry and search, Parliament should
take into account proportionality between the object of the power and the
degree of intrusion involved. They submitted that the balance of
proportionality favoured the proposed provisions.
2.96
Nevertheless, in its Thirteenth Report of 2002, the
Committee continued to express concern at the provisions. In particular, the
Committee sought advice about the process of delegation by the Executive
Director, noting that under the bill a delegate need have no specific training
in accident safety investigation or in search and entry procedures. The
Committee also remained concerned at the breadth of the power, noting that the
search and entry provision applied to any vehicle, whether or not it was at the
scene of an accident.
2.97
Following the briefing, the Committee concluded that the
provisions of the bill failed to implement the following principles:
- criteria should be established to
ensure delegates have proper qualifications and training;
- there should be a process whereby
delegates must not only identify themselves, but also caution people affected
as to their rights; and
- any entry and search powers not involving
an accident where loss of life has occurred, or which involve a vehicle away
from an accident site, should be subject to a reasonable grounds requirement.[57]
2.98
The Committee sought further advice from the Minister in respect
of these matters.
2.99
In response, the Minister indicated that he would seek amendments
to the bill and draft Transport Safety Investigation Regulations to address the
concerns raised by the Committee.[58]
The Committee concluded that the amendments to the bill and draft Regulations, as
suggested by the Minister, ‘will implement appropriate safeguards in relation
to the search and entry provisions of the bill.’ The Committee expressed their
gratitude to the Minister for proposing the amendments ‘which demonstrate a
commitment to personal rights and liberties.’[59]
The Senate debated and passed the relevant amendments on 26 March 2003.[60]
Example:
Customs Legislation Amendment Bill (No. 1) 2002
2.100
The Committee considered this bill in Alert Digest No. 6 of
2002. Among other things, the Committee noted that proposed new sections
203CA and 203CB of the Customs Act 1901, to be inserted by this bill,
would permit an authorised person to seize any goods (other than narcotic
goods) on a ship or aircraft without a warrant, but subject to the requirement that
the authorised person reasonably suspects the goods to be special forfeited
goods. The Committee sought the Minister’s confirmation that, in formulating
these provisions, consideration was given to the Committee’s Fourth Report
of 2000: Entry and Search Provisions in Commonwealth Legislation.
2.101
The Minister for Justice and Customs responded on 20 August 2002,
indicating that because the Torres Strait Island Treaty provides for free
movement of traditional inhabitants between places within the area covered by
the Treaty (the Protected Zone), Customs does not have the normal opportunity
to check the persons or goods entering or leaving a place in Australia.
Instead, Customs officers are able to intercept such vessels wherever a Customs
Officer locates them (e.g. while beached on an island or while at sea within
the Protected Zone) and board the vessel without an entry warrant. Under the
existing provisions, however, Customs officers could not exercise the power to
seize special forfeited goods without a warrant in relation to the vessel.[61]
2.102
The Minister advised that had the vessel been required to go to
an appointed port in accordance with the Customs Act, then a Customs officer
would be able to seize such goods without a warrant. For this reason, the
Government considered it appropriate that, where a Customs officer uncovers
goods that the officer reasonably suspects are special forfeited goods on a
relevant vessel in the Protected Zone, the officer be able to seize those goods
without a warrant. The Minister went on to state that while consideration was
given to the Committee’s Fourth Report of 2000 in drafting the
amendments ‘I believe that the special circumstances of boarding of vessels at
sea in the Protected Zone warrant a departure from the principles contained in
the Report.’[62]
2.103
The Committee thanked the Minister for this response but noted
that the provisions remained a departure from the principles that the Committee
considered should apply to Commonwealth search and seizure provisions, as set
out in the Committee’s Fourth Report of 2000. As such, the Committee
continued to draw the provisions to the attention of the Senate, indicating
that they might be considered to trespass unduly on personal rights and
liberties. The bill was not amended to address the Committee’s concern.
Issuing of warrants by non-judicial
officers
2.104
The Committee rarely approves of provisions that give the power
to issue warrants to legally unqualified or non-judicial officers, such as Justices
of the Peace. During the 40th Parliament the Committee examined a
private Senator’s bill, the National Animal Welfare Bill 2003, which included a
clause that would allow an inspector to apply for a warrant from a magistrate
or Justice of the Peace. The Committee noted that a Justice of the Peace is not
a judicial officer and sought the advice of the Senator in respect of this
matter.[63]
2.105
The Senator responded that ‘it is clear that the identification
of a Justice of the Peace as a judicial officer is not correct and therefore
needs to be amended. Accordingly.... clause 22 will be amended when the Bill is
re-drafted or debated as per the direction of the Committee.’[64]
The Committee thanked the Senator for this advice and for undertaking to amend
the bill to address the Committee’s concerns.
Search of persons
2.106
In Alert Digest No. 7 of 2004, the Committee commented on proposed
new section 219ZJD of the Customs Act 1901, which was to be inserted by
item 1 of Schedule 1 of the Customs Legislation Amendment (Airport, Port and
Cargo Security) Bill 2004. The new section would permit a Customs officer to
conduct either a frisk search or an ordinary search of a person whom the
officer had detained on suspicion of having committed a serious offence against
the Commonwealth.
2.107
The Committee cited the Guide to Framing Commonwealth
Offences, Civil Penalties and Enforcement Powers recommendation that any
‘proposal for new powers to search persons, whether in the form of a frisk,
ordinary or strip search, should have strong justification’[65]
and noted that neither the second reading speech nor the explanatory memorandum
provided such a justification. The Committee sought the Minister’s advice
regarding the ‘strong justification’ for these new powers.
2.108
The Minister for Justice and Customs sought to justify the
provision on the grounds of officer safety and preventing the destruction of
evidence:
By the very nature of the serious offences that an officer will
suspect that the person has committed in order to detain them, it is indeed
possible that such a person who is seeking to depart Australia, in some cases
illegally, may carry weapons or other dangerous items on their person. Without
the ability to conduct a frisk or ordinary search in circumstances where the
officer reasonably believes the person may have such items, the Customs officer
is left unnecessarily exposed to possible injury.
If the person is detained because an officer suspects on
reasonable grounds that the person has committed, or is committing, a serious
Commonwealth offence the proposed section 219ZJD also allows for the Customs
officer to search for the purpose of preventing the concealment, loss or
destruction of evidence that may assist in the prosecution of the detainee.
Without the power to conduct a frisk or ordinary search evidence relevant to
the commission of the offence may be lost.[66]
2.109
The Minister also advised that the provision did not represent a
new type of power for Customs officers and that it was ‘consistent with the
search and seizure powers that Protective Services Officers can also exercise,
where it is suspected that a protection services related offence has been
committed.’[67]
2.110
The Committee thanked the Minister for this response, noting that
it would have been helpful if this information had been included in the
explanatory memorandum to the bill. Notwithstanding the information provided by
the Minister, the Committee expressed continued concern that the provision
might be considered to trespass on personal rights and liberties, but left it
up to the Senate as a whole to determine if it did so unduly. The bill
was not amended in respect of this matter.
Abrogation of the rules of natural
justice
2.111
There is a common law presumption that the rules of natural
justice, also known as procedural fairness, must be observed in exercising
statutory power that could affect the rights or interests of individuals. The
application of natural justice, among other things, involves decision-makers
informing people of the case against them and providing them with a right to be
heard.
2.112
During the 40th Parliament, the Committee considered
the Migration Legislation Amendment Bill (No. 1) 2002, which included a
proposed amendment that made it clear that the rules of natural justice would
not apply to the making of a declaration by the Minister, under subsection
33(9) of the Migration Act 1958, that it is undesirable that a person,
or a class of persons, travel to and enter or remain in Australia. The
explanatory memorandum sought to justify this trespass on civil liberties in
the following terms:
The purpose of new section 33(11) is to ensure that, as
originally intended, quick action can be taken to prevent the travel to, entry
or stay in Australia of a special purpose visa holder whose entry or stay is
not in Australia’s interest. It also avoids the operational difficulties
associated with an obligation to afford natural justice. In many cases, it is
difficult or impossible to contact persons who may be the subject of subsection
33(9) (for example, a seafarer who has deserted his or her vessel and who
cannot be located). In other cases, the reasons for making the declaration
cannot be put to the person because of adverse intelligence reports or time
constraints.[68]
2.113
The Committee indicated that the rules of natural justice had
been developed over many years to ensure fairness in the application of the law
and that it was “unusual to see them cast aside simply to avoid ‘operational
difficulties’.” The Committee sought the advice of the Minister about the
deficiencies in the existing provision and why such an extreme amendment was
considered necessary to deal with them.[69]
2.114
The Minister for Immigration and Multicultural and Indigenous
Affairs responded on 15 May 2002 and advised that the declaration referred to
in subsection 33(9) of the Migration Act 1958 related to holders of a
class of temporary visas known as special purpose visas, which were designed to
provide lawful status to non-citizens to whom Australia’s standard visa regime
and immigration clearance processes are taken not to apply. For example, crew members
of non-military ships and airlines, members of certain military forces, guests
of Government, transit passengers from certain countries and members of the Royal
Family. The impact of a declaration under subsection 33(9) of the Migration
Act 1958, would be that the person(s) would no longer be the holder of a
special purpose visa and would be subject to the normal Australian visa regime.
2.115
The Minister argued that the provision in the bill making it
clear that the rules of natural justice would not apply to the making of a
declaration under subsection 33(9), was ‘necessary to ensure that quick action
can be taken to protect the Australian community from persons who pose a threat
to the safety of the community.’ The amendment would also provide consistency
under the Act between people who had their visa cancelled on character grounds
(under section 501 of the Act), which was not subject to natural justice, and
those who had their special purpose visa cancelled. The Minister also advised
that, although the rules of natural justice would not apply, the person would
still be able to apply for another substantive visa.[70]
2.116
In thanking the Minister for his response, the Committee accepted
that there may be substantial reasons in this case to abrogate the rules of natural
justice. The Committee noted, however, that the rules of natural justice are
‘central to personal rights and should be excluded only in exceptional cases’.
The Committee concluded that the ‘absence of procedural fairness in these
provisions is a breach of such rights’, but left it to the Senate as a whole to
decide whether, in the circumstances, the provisions unduly breached
personal rights.[71]
This bill lapsed at the end of the 40th Parliament.
Abrogation of common law rights of
action
2.117
In Alert Digest No. 3 of 2002, the Committee commented on
a provision within the Migration Legislation Amendment (Transitional Movement)
Bill 2002, which would prohibit various rights of action from being pursued in
any court against the Commonwealth, an officer of the Commonwealth or a person
acting on behalf of the Commonwealth. The Committee noted that the explanatory
memorandum provided no reason for this abrogation of common law rights and
sought the Minister’s advice on this matter.
2.118
The Minister for Immigration and Multicultural and Indigenous
Affairs responded that the bar on legal proceedings was intended ‘to limit the
potential for future abuse of legal proceedings by persons seeking to frustrate
the resolution of their immigration status, removal or to obtain desirable
migration outcomes.’[72]
The Minister also advised that:
- the common law rights of action were not completely abrogated as
a transitory person would still have the right of appeal to the High Court;
- the bar on taking action was limited to those matters set out in
paragraphs 494AB(1)(a)-(d) of the Migration Act 1958; and
- in the Government’s opinion, the proposed new section struck a
balance between the rights of the individual and the interests of the wider
Australian community.
2.119
The Committee thanked the Minister for this response and noted
the advice that common law rights of action had not been completely
extinguished. The Committee also noted the Minister’s advice that the bar on
legal action was intended to frustrate future abuse of proceedings but observed
that ‘courts and tribunals have long held powers to deal with frivolous or
vexatious actions.’[73]
The Committee continued to draw Senators’ attention to the provision on the
basis that it may be considered to trespass unduly on personal rights
and liberties. The bill was passed with amendments, however these amendments
did not address the Committee’s concern about the abrogation of common law
rights of action.
Oppressive powers
2.120
The Committee will usually comment unfavourably on legislation
that makes people subject to ‘oppressive’ bureaucratic powers. During the 40th
Parliament, the Committee considered provisions in several bills that might be
considered to fall within this category.
Example: Proceeds of Crime Bill 2002
2.121
This bill proposed to establish a civil regime for the forfeiture
of assets obtained as a result of criminal activity. This civil forfeiture
regime would operate in addition to, and parallel with, the existing
conviction-based regime.
2.122
The Committee noted that the bill seemed to authorise the removal
of assets from a person’s control simply because there was a reasonable
suspicion that they were connected with serious criminal activity. Many
long-established protections under the criminal law which, in general terms,
were recognised in the existing Proceeds of Crime Act 1987 had not been
included in this bill because they were seen to be inconvenient or to hinder
law enforcement. The Committee sought advice from the Minister as to how a
person’s property could be subject to a restraining order, or subsequent order,
on the basis that it was related to the commission of an offence,
notwithstanding that no person had been convicted of an offence.
2.123
The Minister for Justice and Customs responded that:
Subclause 329(3) makes it clear that it is not necessary for a
person to be convicted of a particular offence for property to be defined as
the proceeds or instrument of that offence. As the Bill provides for
civil-forfeiture of the proceeds (and in relation to terrorist offences, the
instruments) of crime, it would be inconsistent to require a person to have
been convicted of the offence of which the property is the proceeds or
instrument.[74]
2.124
The Committee thanked the Minister for this response, but
continued to draw Senators’ attention to the provisions, on the basis that they
may be considered to trespass unduly on personal rights and liberties. The
bill was amended in the House of Representatives on 27 June 2002, however the agreed amendments did not address the issues raised by the Committee.
Example: Australian Security Intelligence Organisation
Legislation Amendment (Terrorism) Bill 2002
2.125
In Alert Digest No. 4 of 2002, the Committee commented on
a new subsection to be inserted in the Australian Security Intelligence
Organisation Act 1979, by item 24 of Schedule 1 of this bill, which
would enable the Director-General of Security to seek the Attorney-General’s
consent to the issue of a warrant for the detention and questioning of a person
on specified grounds. The Committee indicated that:
These provisions seem to suggest that there is no need for
anyone involved in seeking or issuing such a warrant to form a reasonable
belief that the relevant person has committed any offence. Indeed that person
is to be detained for the purpose of collecting intelligence, not for the
purpose of having an offence investigated. A person might be detained,
apparently for a number of consecutive periods of 48 hours, simply because he
or she may be able to provide information about, for example, the possible future
commission of an offence.
In his Second Reading Speech, the Attorney-General justifies
these provisions on the basis that it is ‘necessary to enhance the powers of
ASIO to investigate terrorism offences.’ While terrorism provides obvious law
enforcement challenges, these provisions allow what is, in effect, a new basis
for detaining people who need not themselves be suspects and, in any event, are
being detained for intelligence gathering rather than investigatory purposes.[75]
2.126
The Committee sought advice from the Attorney-General as to why
this power was necessary and whether:
- the Australian Security Intelligence Organisation (ASIO)
currently had the power to detain persons for questioning or the gathering of
intelligence;
- any other Australian intelligence or investigatory body had such
a power; and
-
any other Australian law enforcement body had such a power.
2.127
The Attorney-General responded that:
- neither ASIO nor any other Australian intelligence agency or law
enforcement body currently had the power to detain persons for questioning and
gathering intelligence; and
- under the proposed provision, ASIO would not be given the power
to arrest and detain people. Only the police would be authorised to take a
person into custody and arrange the person’s detention.[76]
2.128
The Attorney-General sought to justify the power on the basis
that:
The terrorist attacks on the United States on 11 September 2001 represented a profound shift in the international security environment.
While there is no known specific threat to Australia, our profile as a
terrorist target has risen. Our interests abroad also face a higher level of
terrorist threat, as evidenced by the plan in Singapore to attack the
Australian High Commission there. ASIO has advised that the heightened threat
levels can be expected to remain for some years at least.
We need to be well placed to respond to the new security
environment in terms of our operational capabilities, infrastructure and
legislative framework. ASIO is not currently empowered to obtain a warrant to
question a person who may have information that is important in relation to a
terrorist offence. Such a power will help ASIO uncover information before a
terrorist offence is perpetrated so that it can be prevented.
It should be noted that persons with information relevant to
ASIO’s investigation of terrorist activities may at any time voluntarily assist
ASIO. Warrants would not be sought in relation to persons who are willing to
volunteer any relevant information they may have.
Warrants issued under the Bill will be warrants of last resort.
The Attorney-General will not be able to consent to the Director-General’s
request for a warrant unless satisfied that there are reasonable grounds for
believing that issuing the warrant will substantially assist the collection of
intelligence that is important in relation to a terrorism offence, and that
relying on other methods of collecting that intelligence would be ineffective
(paragraphs 34C(3)(a)&(b)).
Further, a person may not be detained under a warrant unless the
Attorney-General is also satisfied that the person:
- may alert another person involved in a terrorism offence of the
investigation;
- may not appear before the prescribed authority; or
- may destroy, damage or alter a record or thing that the person
may be requested to produce (paragraph 34C(3)(c).[77]
2.129
The Committee thanked the Attorney-General for this response,
noting that amendments had been made to the bill in the House of
Representatives (to implement the Government’s response to recommendations of
the Senate Legal and Constitutional Legislation Committee and the Parliamentary
Joint Committee on ASIO, ASIS and the DSD) and that the Attorney-General had
explained the effect of the relevant provisions as amended. The Committee noted
that the amendments ‘improve safeguards in relation to the issue of warrants
for detention and questioning’ but concluded that the provisions, even with
amendment, may continue to be seen to trespass unduly on personal rights
and liberties. The Committee left it to the Senate as a whole to decide whether
such breaches were considered acceptable when weighed against the policy
objectives of the bill.[78]
2.130
In addition to commenting on provisions in the Australian
Security Intelligence Organisation Legislation Amendment (Terrorism) Bill 2002 allowing
a person to be detained under warrant for questioning, the Committee also
commented on provisions that:
- placed restrictions on a person so detained from contacting
anyone, including a legal adviser; and
- allowed a person so detained to be strip searched under certain
circumstances.
2.131
The Committee noted that these provisions appeared to subject
persons detained for questioning to the same, if not greater, powers than are
persons suspected of a criminal offence and indicated that:
The protection of the community from terrorism is obviously a
vital concern. However a community that fails to accord its citizens due
process, and to protect their rights, even in extreme circumstances, runs the
risk of becoming a community different in nature from that which currently
exists.
While the Attorney-General expresses his confidence that this
bill ‘recognises the need to maintain the balance between the security of the
community and individual rights and to avoid the potential for abuse,’ the
Committee remains concerned about the potential for unintended consequences in
such ‘exceptional’ legislation. [79]
2.132
The Committee sought the advice of the Attorney-General on the
following matters:
- whether there were any other provisions in Australian criminal
law that deny persons access to legal representation or the right to
communicate with anyone;
- why it was considered appropriate that, what are essentially
police powers (including detention and strip search), should be extended to
organisations concerned with the collection of intelligence; and
- why the bill made no provision for detainees to be given written
information about their rights and responsibilities in relation to a search (given
the Committee’s recommendation in its Fourth Report of 2000 that, unless
there are exceptional circumstances involving clear physical danger, such
information should be provided).[80]
2.133
The Attorney-General responded that:
- both the Crimes Act 1914 and the Customs Act 1901
provide for a person who is under arrest or detained for the purposes of
conducting an internal or external search to make contact with a person of
their choice, such as a friend, relative or legal adviser. However both Acts
define circumstances in which this may not occur;
- the Government had amended the bill in the House of
Representatives to provide that all warrants must allow a detained person to
contact an ‘approved lawyer’, ie. a lawyer of at least five-years standing who
is approved by the Attorney-General after receiving an appropriate security
clearance. However the ability of a detained adult to communicate with a lawyer
may be delayed for 48 hours in certain circumstances;
-
a person between the ages of 14 and 18 who is detained would have
a right to contact an approved lawyer and to have a parent, guardian or other
representative present;
- the bill did not grant ASIO police powers, such as the power to
arrest and detain people or to conduct a strip search. Where a warrant required
any police functions to be carried out, they must be done by a police officer; and
- the provisions that allowed the conduct of an ordinary search or
a strip search were consistent with sections in the Crimes Act 1914 that
do not require that a person subject to a search be provided with written
information as to their rights and responsibilities.[81]
2.134
The Committee thanked the Attorney-General for the comprehensive
response that was provided addressing the Committee’s questions and noted that
the amendments made by the Government in the House of Representatives increased
protections for persons in detention when compared to the earlier provisions.
Nevertheless, the Committee concluded that the provisions may still be seen to
trespass unduly on personal rights and liberties and left it for the
Senate as a whole to decide whether, on balance, the breaches were acceptable
in light of the policy intentions of the bill. This bill was laid aside by the
House of Representatives on
13 December 2002.
Limitation of liability for death
or personal injury
2.135
In Alert Digest No. 9 of 2002, the Committee
commented on a provision in the Trade Practices Amendment (Liability for
Recreational Services) Bill 2002 that would enable a corporation providing
recreational services to exclude, restrict or modify the obligations, imposed
by section 74 of the Trade Practices Act 1974, that services will be
rendered with due care and skill and that any materials supplied in connection
with those services will be reasonably fit for purpose. The Committee had
initially commented in Alert Digest No. 7 of 2002 on an incorrect
version of this bill, which included a provision preventing a corporation ‘from
excluding, restricting or modifying its liability in cases where the corporation
has been grossly negligent’. The Committee was particularly concerned that the
revised version of the bill no longer included this provision, or a provision
requiring the implementation of a ‘reasonable risk management strategy’, the
effect of which was that:
Under the Bill as passed by the House of Representatives, a
corporation which provides recreational services will be permitted to
completely exclude any liability for death or personal injury which it might
otherwise have been under to those to whom it provides such recreational
services, even though the death or personal injury is caused by the gross and
wilful lack of care of those acting for the corporation. Furthermore, while the
original version of the bill made the ability to exclude, restrict or modify
liability subject to the implementation by the corporation of a “reasonable
risk management strategy”, this limitation has been omitted from the current
version of the bill. Those corporations which provide recreational services may
knowingly act in a way which is contrary to any reasonable means of managing
the risks of the activity, but exclude their liability for any resultant death
or personal injury suffered by their customers.[82]
2.136
The Committee sought the advice of the Treasurer on these aspects
of the revised bill.
2.137
In response to the Committee’s concerns, the Minister for Revenue
and Assistant Treasurer advised that:
...the contractual rights which consumers have by virtue of the
Trade Practices Act (TPA) were not enacted with any specific intention that
they might be used to provide remedies where consumers died or were injured as
a result of a breach of a condition or warranty implied by the Act.
The purpose of the Bill is to ensure that the object of the TPA
is not subverted for an improper purpose. There is... a legitimate concern that
the rights conferred by the Act might be misused to undermine the significant
law reforms currently being undertaken by State and Territory Jurisdictions to
rectify the defects which are apparent in existing common law regimes....the
proposed section 68B is designed merely to underpin State and Territory reforms
and ensure just outcomes for the community at large.
2.138
In considering the Minister’s response, the Committee agreed that
there was a need to balance consumer protection against allowing consumers to
take responsibility for their own actions, but continued to express concern
about the provision and the rationale used to justify its imposition. In
particular, the Committee:
- indicated that the bill may result in uncertainty, particularly
in relation to exclusion clauses that may be included in consumer contracts in
reliance on the new provision, resulting in increased litigation, at least in
the short term;
- sought further clarification from the Minister regarding the
assertion that the Trade Practices Act was not intended to provide remedies
where consumers died or sustained injury as a result of a breach of a condition
or warranty implied by that Act. The Committee noted that other provisions of
that Act provided for compensation for death or injury;
- sought additional advice from the Minister regarding the reference
in her response to a ‘perception that litigants [taking action under the Trade
Practices Act] have abused their common law rights to sue for negligence
and related causes of action’[83];
and
-
indicated that measures aimed at requiring consumers to take more
personal responsibility for their actions should be accompanied by appropriate
safeguards, such as those provided for in the earlier version of this bill.
2.139
In a response to the Committee of 21 November 2002, the Minister acknowledged that there may be uncertainty resulting from the use of the
exclusion clauses and that this had the potential to increase litigation, at
least in the short term. However, the Minister indicated that in the Government’s
view ‘the ultimate benefit of law reform currently being undertaken by the
States and Territories, and supported by this bill, will considerably outweigh
any short term consequences that might flow from the changes.’[84]
2.140
In respect of previous advice that the Trade Practices Act was
not intended to provide remedies where consumers have died or were injured, the
Minister indicated that, while there are provisions in that Act which are
directed towards the prevention of death and injury:
The amendments proposed by this Bill are designed to apply to
provisions enacted in 1974. When the Trade Practices Act was enacted in 1974 it
incorporated specific implied terms and conditions into all contracts. The
Second Reading Speech for the original Bill indicated that “The purpose of the Bill
is to control restrictive trade practices and monopolisation and to protect
consumers from unfair commercial practices... Legislation of this kind is
concerned with economic considerations.” (House of Representatives Hansard, 16
July 1974).
From an examination of the background surrounding the
introduction of the relevant provisions implying terms into contracts, it is
clear that it was not the intent of those provisions of the Act to provide
compensation where consumers died or were injured. The subsequent enactment of
provisions elsewhere in the Act dealing with injury does not in any way change
the rationale for the existence of these provisions.[85]
2.141
The Minister went on to argue that, because the relevant
provision of the Trade Practices Act was not intended to provide remedies where
consumers died or were injured, its use for this purpose was an abuse of the
law.
2.142
In respect of the Committee’s view that measures aimed at
requiring consumers to take more personal responsibility for their actions
should be accompanied by appropriate safeguards, the Minister indicated that:
Given that the aim of the amendments proposed by the Government
is to prevent the rights conferred by section 74 being used for an unintended
purpose, the need for further qualifications is difficult to argue... Hence it is
ultimately the role of the Courts to protect the rights of those who need to be
protected, and the community is well served by the legal profession in ensuring
that the interests of individuals are properly represented.[86]
2.143
The Committee thanked the Minister for this further response but
continued to question the Minister’s assertions about the initial intent of the
Trade Practices Act, noting that:
...economic loss may occur as a result of death or injury.
Furthermore, the key sections 68 and 74, which were both included in the
original Act (although subsequently amended), have the clear purpose of
protecting consumers from defective, including negligent, services. The
Committee therefore suggests that it has always been the intention of the Trade
Practices Act to provide this protection...[87]
2.144
The Committee was also concerned about the Minister’s assertion
that it was difficult to argue that safeguards were required ‘given that the
aim of the amendments... is to prevent the rights conferred by section 74 being
used for an unintended purpose...’. The Committee noted that an earlier version
of the bill provided such safeguards. That is, the version commented on by the
Committee in Alert Digest No. 7 of 2002, provided that a corporation
could not exclude liability for its own gross negligence and that liability was
also subject to the corporation implementing a ‘reasonable risk management
strategy.’ As such, the Committee argued that such safeguards were, presumably,
considered appropriate at one point in time.
2.145
On 12 December 2002, the Senate agreed to a number of amendments to
the bill, aimed at addressing the issues raised by the Committee. However, the House
of Representatives disagreed with these amendments and the Senate did not
insist on them. The bill was subsequently passed without amendment.
Limiting the right of parties to
arbitration
2.146
In Alert Digest No. 10 of 2001, (which fell within the 39th
Parliament, but is included here as the Committee’s deliberations on this bill
continued into the 40th Parliament) the Committee commented on a
provision in the Trade Practices Amendment (Telecommunications) Bill 2001 which
would insert a new section 152DOA in the Trade Practices Act 1974. This
new section specified the matters to which the Australian Competition Tribunal
could have regard when conducting a review of a determination by the Australian
Competition and Consumer Commission (ACCC) in arbitrating a telecommunications
access dispute. The existing provision allowed the Tribunal to have regard to
any information, documents or evidence that it considered relevant, whether or
not those matters were before the ACCC when it made its initial determination. The
proposed amendment would limit the Tribunal to consideration of information,
documents or evidence that was before the ACCC initially.
2.147
The Committee noted from the explanatory memorandum that,
although the proposed amendment would reduce delays in the review of ACCC
decisions, it would also ‘reduce the extent of Tribunal review’. The
explanatory memorandum asserted that ‘on balance, it is considered that the
limitations on the review are justified on the basis of the length and depth of
the Commission’s arbitration process.’[88]
In light of the proposed reduction in the extent of Tribunal review, the
Committee sought the Minister’s advice about how the existing review processes
had been abused and whether the Tribunal had been consulted about the proposed
changes.
2.148
The Minister for Communications, Information Technology and the
Arts responded that the Tribunal had commenced two reviews of final
determinations made by the ACCC under Part XIC of the Trade Practices Act
1974 in October 2000 and that these reviews were unlikely to be finalised
before late 2002. The Minister indicated that similar delays would be expected
for future reviews if limits were not placed on the matters that could be
considered by the Tribunal. While acknowledging that ‘there is no direct
evidence that the first stages of the Tribunal hearings have been abused’ the
Minister argued that the proposed amendment ‘will remove the potential for
procedural abuse in the future.’[89]
2.149
The Committee thanked the Minister for this response but sought
further information about the reasons for the significant delays in finalising
reviews by the Tribunal. In particular, whether the Tribunal had been asked to
consider significant amounts of new information that had not been before the
ACCC, and whether any comment had been made during the course of the hearings
as to the value of such new material.[90]
The Minister responded that some new evidence had been introduced, but that the
extent of any new evidence was unknown as witness statements were still
outstanding. The Minister also indicated that, due to the private nature of
Tribunal hearings, no comments had been made on the value of the new material
introduced to date and reiterated that the proposed amendment was concerned
‘with removing the potential for procedural abuse in the future.’[91]
2.150
In thanking the Minister for this further response the Committee
noted that:
an amendment to procedural law, where there is no evidence of
its abuse, in anticipation of its possible abuse at some time in the future,
appears to represent a precedent which could become unfortunate if legislators
were to start anticipating all possible breaches or abuses of the provisions of
a law.[92]
2.151
The Committee sought further advice from the Minister as to the
necessity of this approach in the circumstances covered by the bill.
2.152
The Minister for Communications, Information Technology and the
Arts responded that the:
amendments in the Act respond to particular circumstances experienced
in the telecommunications access regime. There are strong concerns within the
telecommunications industry that regulatory gaming in the arbitration process
has produced substantial delay, to the detriment of the industry...There is a
likelihood that regulatory gaming would also extend to Tribunal hearings of
arbitration disputes.
2.153
The Minister cited a draft report by the Productivity Commission
on Telecommunications Competition Regulation, which recognised the need to
anticipate regulatory gaming:
Gaming permeates the operation of the regime, as parties
strategically try to exploit the procedures to their advantage. An efficient
regime must anticipate and counter such gaming.[93]
2.154
On this basis, the Minister considered that it was ‘prudent to
anticipate future procedural abuse and take appropriate regulatory action.’[94]
The Committee thanked the Minister for this response, which addressed its
concerns.
Use of tax file numbers
2.155
For a number of years the Committee has indicated its concern
with the growing use of tax file numbers as identifiers in relation to matters
unconnected with taxation. Such measures could be seen as trespassing on an
individual’s privacy. In raising concerns about the expanded use of tax file
numbers, the Committee frequently cites the then Treasurer in the Parliament on
25 May 1988, when referring to the proposed introduction of the tax file
number scheme:
The only purpose of the file number will be to make it easier
for the Tax Office to match information it receives about money earned and
interest payments.
This system is for the exclusive use of the Tax Office – it will
simply allow the better use of information the Tax Office already receives.
2.156
During the 40th Parliament, the Committee considered
the Higher Education Legislation Bill (No. 1) 2002, which included provisions
to establish a scheme of Commonwealth loans to overseas-trained professionals
undertaking bridging courses to enable them to meet professional entry
requirements in Australia. The bill included a new section that required
students seeking such a loan to provide their tax file number to the tertiary
education institution involved. The Commonwealth was not liable to make such a
loan if a student did not have a tax file number. The Committee acknowledged
that the purpose of these provisions was ‘undoubtedly to minimise the
possibility for fraud in the administration of this and other education loan
schemes’ but noted that the tax file number scheme ‘was introduced specifically
and solely for the use of the Tax Office’ and this bill represented yet another
instance of its expanded use for unrelated purposes.[95]
2.157
The Minister for Education, Science and Training responded that:
- the provision of a tax file number did not breach the Committee’s
terms of reference as it was not a compulsory requirement – the consequence of
not providing a tax file number was that the student would not be eligible to
access the loan facility provided by the Commonwealth, however they could
continue to pay their tuition fees directly to the relevant higher education
institution;
- requiring the provision of tax file numbers was consistent with
arrangements that currently applied to the Higher Education Contribution Scheme
and the Postgraduate Education Loan Scheme;
- tax file numbers were used by higher education institutions to
advise the Tax Office of the amounts that students were deferring; and
- the Higher Education Funding Act 1988 specifically
prohibited institutions from requiring a student to provide their tax file
number or from unauthorised use or disclosure of a student’s tax file number
for any purpose other than processing the deferred HECS amount.
2.158
The Committee thanked the Minister for this response and made no
further comments.
Mandatory sentencing
2.159
During the 40th Parliament, the Committee considered a
provision inserted in the Migration Act 1958 by the Border Protection
(Validation and Enforcement Powers) Bill 2001[96]
that imposed mandatory minimum sentences for various ‘people-smuggling’
offences under the Act. The Committee noted that, in general, mandatory
sentences limit the usual judicial discretion exercised when determining a
proper sentence, given all the circumstances of a particular offence, and sought
the Minister’s advice as to why it was appropriate to give the Executive
control by limiting judicial discretion in these circumstances. [97]
2.160
The Minister for Immigration and Multicultural and Indigenous
Affairs responded that the Parliament created new people smuggling offences in
1999 that carried maximum penalties of 20 years imprisonment, but that the
penalties imposed by the Courts had generally been much less than the available
maximum penalty. The Minister indicated that ‘this has not been a strong deterrent
to persons who are participating in people smuggling and...[the new provisions]
make it absolutely clear that Australia considers people smuggling to be a very
serious offence.’[98]
2.161
The Committee thanked the Minister for this response but noted
that mandatory sentencing raises a number of issues within the Committee’s
terms of reference and, notwithstanding that the bill had already been enacted,
continued to draw these provisions to the attention of the Senate.
Voting rights of prisoners
2.162
In Alert Digest No. 6 of 2004, the Committee dealt with
the Electoral and Referendum Amendment (Enrolment Integrity and Other Measures)
Bill 2004. Various provisions of the bill proposed to restrict the voting
rights of prisoners. Under the provisions of the Commonwealth Electoral Act
1918 that prevailed at that time, prisoners serving a sentence of
imprisonment of five years or longer were not entitled to enrol to vote at a
federal election. These amendments proposed to extend this restriction to all
prisoners.
2.163
The voting rights of prisoners have been subject to considerable
debate over the past two decades. Prior to 1983, the Commonwealth Electoral
Act 1918 denied the franchise to all those serving sentences for offences
having a maximum penalty of imprisonment for one year or more. On the passage
of the Commonwealth Electoral Legislation Amendment Act 1983, the
franchise was extended so that prisoners were denied a vote only where they
were convicted of an offence having a maximum penalty of five years
imprisonment.
2.164
In a submission to the Joint Standing Committee on Electoral
Matters, the Australian Electoral Commission (AEC) pointed out that this
provision had led to difficulties both in practice and in principle. In
practice, it was difficult to establish, with certainty, every case in which
the maximum penalty was imprisonment for five years or more. And in principle,
such a provision was potentially inequitable – ‘a person serving an actual
sentence of one month could be excluded from enrolment, while a person on a sentence
of 59 months could be eligible, depending on the potential maximum sentence in
each case’.
2.165
Therefore, the AEC submitted that a person should be denied a
vote only where they were actually serving a sentence of five years or more.
This approach was ultimately included in the Commonwealth Electoral Act by the Electoral
and Referendum Amendment Act 1995.
2.166
However, the approach advocated by a majority of the Joint
Standing Committee in 1994 went further than the AEC’s proposal. In its report
on The 1993 Federal Election, the Committee noted that it had
previously recommended that enrolment and voting rights be granted to all
prisoners, regardless of their sentence (unless convicted of treason or
treachery):
an offender once punished under the law should not incur the
additional penalty of loss of the franchise. We also note that a principal aim
of the modern criminal law is to rehabilitate offenders and orient them
positively toward the society they will re-enter on their release. We consider
that this process is assisted by a policy of encouraging offenders to observe
their civil and political obligations.
2.167
In a dissenting report, then Opposition members stated:
As our coalition colleagues on the committee in the 34th
Parliament said when this proposal was last mooted, the concept of imprisonment
– apart from any rehabilitation aspects – is one of deterrence, seeking by the
denial of a wide range of freedoms to provide a disincentive to crime. A person
having committed an offence against society is denied the privileges and
freedoms of society of which one important one is the right to vote. The
Committee’s recommendation is therefore driven by a philosophical position with
which we strongly disagree.
Committee consideration
2.168
In considering the Electoral and Referendum Amendment (Enrolment
Integrity and Other Measures) Bill 2004, the Committee noted that this proposed
change to the voting rights of prisoners was originally proposed in the
Electoral and Referendum Amendment Bill (No. 2) 1998, on which the Committee
reported in its Seventh Report of 1998, and was again proposed in the
Electoral Referendum Amendment (Roll Integrity and Other Measures) Bill 2002.
The Committee reaffirmed the comments it made in its Seventh Report of 1998,
which drew Senators’ attention to the various arguments for and against further
restricting voting rights for prisoners (as outlined above). The Committee also
indicated that it ‘considers that this may be a matter more appropriately dealt
with at the time of sentencing.’[99]
The Committee sought the Minister’s advice on this issue.
2.169
The Special Minister of State responded that:
The Government remains firmly of the view that people who commit
offences against society, sufficient to warrant a prison term, should not,
while they are serving that prison term, be entitled to vote and elect the
leaders of the society whose laws they have disregarded.
...the Government considers that it is more appropriate for the
entitlement to vote in federal elections to be addressed in the Electoral Act
rather than by judicial officers sentencing people under State and Territory
legislation.[100]
2.170
The Committee thanked the Minister for this response but
continued to express its concern about the provisions ‘that have the
possibility of dealing differently with voters depending on the nature of their
sentence and the effectiveness of notification procedures in the various States
and Territories.’[101]
The Committee continued to draw these provisions to the attention of Senators
on the basis that they may be considered to trespass unduly on personal
rights and liberties.
2.171
In Alert Digest No. 9 of 2004, the Committee noted that
there had been a number of amendments to this bill in the Senate. The amendments
to items 6 and 7 of the bill provided that prisoners whose sentences covered the
duration of a Parliament (ie. from the return of the writs for one election to
the issuing of the writs for the next) were not entitled to have their name on
the electoral roll. The bill had originally proposed that all prisoners were
not entitled to have their name on the electoral roll. The Committee noted that
this amendment did not appear to address the Committee’s underlying concern
about the possible differential treatment of voters.
2.172
The Committee noted that the revised provisions adversely and
retrospectively affected the rights of certain prisoners, namely those serving
custodial sentences shorter than 5 years, but longer than the period
contemplated in the replacement amendment (approximately 3 years). The bill,
incorporating these amendments, was passed by both Houses in June 2004.
Navigation: Previous Page | Contents | Next Page