Managing Australia's World Heritage
CHAPTER 3: IMPLEMENTATION OF THE WORLD HERITAGE CONVENTIONLEGAL
REGIMES
Introduction
3.1 The successful protection of world heritage areas depends on the
implementation of effective management and regulatory regimes. This requirement
is recognised in the Operational Guidelines for the Implementation of
the World Heritage Convention, which provide that a natural site nominated
for inclusion on the World Heritage List should have adequate long-term
legislative, regulatory or institutional protection. [1]
3.2 Several submissions to the Committee suggested that Australia is
the only State Party to the Convention that has enacted significant domestic
legislation to implement the Convention. One obvious reason for this is
that most other parties have either unitary systems of government or federal
systems where the central government has responsibility for conservation.
In these cases it is usually a matter of continuing pre-existing management
of protected areas (such as national parks) which have been added the
World Heritage List. In Australia, the division of responsibility between
the Commonwealth and the States and the various land tenures of world
heritage sites create a more complex situation. Legislation to ensure
that the Commonwealth is able to meet its international obligation to
protect world heritage in Australia was probably unavoidable, once the
Convention was ratified by Australia and multi-tenure properties subject
to State jurisdiction were listed as world heritage. [2]
3.3 The principal Commonwealth world heritage legislation was introduced
specifically to prevent a proposed action by a State Government which
was seen as a threat to the integrity of a world heritage area. Although
the High Court subsequently made it clear that the Commonwealth has both
the responsibility and the power to protect world heritage areas, the
development of management arrangements for world heritage areas has involved
a cooperative approach. The more recent Commonwealth legislation for the
management of the Wet Tropics world heritage area complements new State
legislation enacted for the management of this area.
The focus of protectionworld heritage values or inscribed areas
3.4 The management arrangements have been criticised on the grounds that
they do not take sufficient account of the reasons for which areas were
listed as world heritage, or do not fully meet the obligations created
by such listing. Mr David Haigh, for example, suggested to the Committee
that when an area is listed it should be given the highest level of protection.
He claimed that this is not occurring:
I suggest the management process at the present time is degrading world
heritage and will continue to do so until we get down to the basic principles
on which the Convention operates. [3]
3.5 Mr Haigh's concerns stemmed from what he regarded as an invalid emphasis
on specific world heritage values rather than regard for the general protection
of world heritage areas. He argued that once an area is listed, values
are no longer relevant. They are supplanted by the status afforded to
the world heritage area, and the Convention requires that the whole of
the listed area should be protected. [4]
Reviewing the threat to world heritage values before taking action to
protect a listed area is not a relevant process according to Mr Haigh.
He argued that inscription of an area on the world heritage list is a
sufficient basis for taking protective action regardless of whether world
heritage values are threatened. He also regards the current practice of
considering world heritage values as a process that could allow activities
such as mining, fishing and large scale tourism development in world heritage
areas; he sees these activities as inimical to the protection of those
areas.
3.6 A similar view was also strongly put by the Environmental Lawyers
Group associated with the Cairns and Far North Environment Centre (CAFNEC).
This group submitted that the Commonwealth has wrongly taken the view
that only world heritage values identified at the time of listing need
to be protected, not the area as a whole:
... the Commonwealth wrongfully and intentionally avoid fulfilling their
World Heritage obligations through two contrivances. ... they take the
view that World Heritage Areas do not have to be protected per se, it
is only identified, isolated Values within World Heritage Areas which
must be protected ... (and) ... if a particular animal, scenic vista or
location is not specifically mentioned within the listing document, then
it is, by definition, not a World Heritage Value. [5]
3.7 As noted by Boer and Fowler there is support for this view in findings
by the High Court, at least to the extent that once the boundaries of
an area have been established as world heritage, the whole of the area
within the boundaries attracts attention. Boer and Fowler suggest that:
The assumption is that since the [World Heritage] Committee has gone through
an extensive process of evaluation, ... it has considered carefully the
boundaries of the area, to ensure that the Property as identified does
in fact contain features of outstanding universal value. Having concluded
that the natural feature or precisely delineated area has that value,
the Commonwealth has an obligation to protect and conserve the whole of
the Property ... [6]
The assumption that Boer and Fowler allude to is not necessarily valid
in all of Australia's world heritage areas, where values and boundaries
have not always been well defined at the time of nomination. The Committee
is aware that the boundaries of some world heritage areas have been changed
as values have been more clearly defined and there are calls for other
boundaries to be reviewed. It appears unsafe to assume that the current
boundaries reflect the extent of the outstanding values in every case.
3.8 If it was argued that a strict protection regime had to apply without
consideration of values and this was used as a basis to change the regulatory
provisions for the protection of world heritage areas, much simpler legal
and administrative regimes would result. Such regimes would also prevent
damage from an accumulation of seemingly minor impacts. The High Court
found that inscription of an area on the World Heritage List is irrefutable
evidence of an area's status as world heritage under the World Heritage
Convention, but other determinations from the Court make it difficult
to introduce valid provisions of the kind that Haigh and the Environmental
Lawyers Group would seem to advocate.
3.9 Questions also arise about the meaning of 'protection' and 'conservation'
and how these obligations are to be applied to the whole of world heritage
areas. The High Court, in defining the extent of the Commonwealth's powers,
noted that the Commonwealth world heritage legislation applies equally
to all parts of a prescribed world heritage area. However, the Court also
considered the relevance of specific world heritage values that make up
the features of an area and led to its world heritage listing. The Court
made it clear that any law that relies on the external affairs power for
its validity must be 'appropriate and adapted to fulfilling the obligation
imposed by the treaty'. Regard must therefore be given to the purpose
and intent of the Convention when considering the nature of the action
the Commonwealth can take to protect world heritage.
3.10 This is not a straightforward matter and some High Court judges
have said that Commonwealth measures to protect world heritage areas are
valid if they protect some feature of the area that gives rise to its
world heritage status. For example, Justice Gaudron said in one judgement
that a law, which proscribes activities which do not pose a threat to
the features that may give an area world heritage qualities, is not a
law that is validated by the external affairs powers. [7]
Legislation and regulations that have the effect of proscribing activities
generally, regardless of whether or not they pose a threat to outstanding
universal values, have not been supported by the Court. However, some
information provided to the Committee argued that a more expansive view
of the extent of the Commonwealth's powers is possible under the Convention.
[8] The Committee notes that in this
matter it is ultimately the determinations of the High Court that define
the limits within which the Commonwealth has to work.
3.11 Boer and Fowler considered the extent of the duties imposed by the
Convention. They argued, in relation to the obligation to protect an area,
that the extent of the duty is to 'protect the Property in such a way
that the World Heritage values ... are not damaged or destroyed'. [9]
Boer and Fowler also discussed the evidence presented to the Committee
by Haigh on the question of whether the basis for management should be
the protection of world heritage values or the protection of the whole
area that is inscribed on the world heritage list. Boer and Fowler saw
far-reaching implications in the view that the whole of the property had
to be protected and concluded that:
As a minimum, "protection" under Article 4 of the Convention,
at least in the Australian context, involves ensuring that the World Heritage
values of a Property are not damaged or destroyed. Any proposed activity
that threatened to damage or destroy those values could prima facie be
contrary to the duty of protection ... [10]
3.12 When determining what action is necessary to protect a world heritage
area, the management authority or the Commonwealth is required to consider
only whether allowing a proposed action would be contrary to the duty
imposed by the Convention to conserve and protect the area. Even if it
is accepted that it is invalid to consider world heritage values in such
circumstances, it would still be necessary to consider whether the proposed
action would damage the area. Consequently, it would also be necessary
to consider the nature and extent of possible impacts on the features
of the area. The assessment of potential damage would, to a certain extent,
be somewhat subjective. In some cases a degree of damage could be considered
acceptable. The Environmental Lawyers Group, for example, argued that
the threshold of acceptability could be reached when there is either any
damage to the world heritage property, some damage to the property, or
some damage to the world heritage values. The group noted that some environmentalists
seem to favour the 'no damage' test, and alleged that the Commonwealth
favours the 'some damage to values test'. They argued, however, that the
'some damage to the property' test is most useful because it permits development
which enables the property to be presented to the public. This approach
is seen as allowing some damage, up to a point that is acceptable within
the Convention:
The level of acceptable damage is that which allows presentation and which
does not breach the duty to protect and conserve the property or area
and pass it onto future generations. [11]
3.13 Boer and Fowler noted that the Convention provides for 'conservation'
as well as 'preservation'. They suggested that with a wide interpretation
this could be taken to allow ecologically sustainable use, but only if
that use was consistent with the conservation of world heritage values.
[12] The Committee notes the views
of the Environmental Lawyers Group, that some damage may be acceptable.
It agrees with Boer and Fowler that ecologically sustainable use may be
appropriate, in some circumstances. The Committee considers that potential
damage can only be assessed by taking account of the values of an area.
To determine what damage may be acceptable and what uses are appropriate
it would be necessary to have regard to the features of the area, and
the world heritage values. Although the whole of a listed area has the
status of world heritage, it cannot be said that Australia's world heritage
areas are homogeneous or that any action will have equally deleterious
impacts if it were repeated in different parts of the area.
3.14 Many of the world heritage areas are large and diverse. It is naive
to argue that universal heritage value is created by a decision of the
World Heritage Committee. World heritage values exist solely because of
the features of an area, and all the World Heritage Committee can do is
recognise and acknowledge those features. It is also incorrect to suggest
that a large area, such as the Wet Tropics, is homogeneous, that the features
that give rise to its value as world heritage are uniformly spread across
the entire area, or that those features do not change with time.
3.15 World heritage areas cannot be entirely locked away, and to do so
would in itself be a breach of the Convention obligation to present the
areas and to give them a place in the life of the community. It is quite
clear, though, that what constitutes an acceptable level of 'some damage',
or even what constitutes 'damage' is matter for assessment and judgement.
The aim should be to minimise damage and ensure that world heritage values
are not diminished.
3.16 It should also be recognised that the Operational Guidelines promulgated
under the Convention recognise the variability that may occur in world
heritage areas. The Guidelines stress that sites should be large enough
to embrace all of the features that create and support the elements that
are of universal value. [13] For
example, where a waterfall is of universal value the catchment that sustains
that waterfall should also be included in a nominated area, even if the
catchment itself may not contain values of universal significance. More
specifically, the Guidelines state that sites should be big enough to
include critical habitats for wide ranging species. Large natural world
heritage areas are not homogeneous but typically contain mosaics of diverse
habitat types which can include areas of little significance between areas
containing more critical habitats.
3.17 The Operational Guidelines also provide that the boundaries of a
natural world heritage property should include sufficient area immediately
adjacent to the features of outstanding universal value in order to protect
the site's heritage values. [14]
In the same paragraph the Guidelines allow for boundaries of world heritage
areas to coincide with existing or proposed boundaries of protected areas,
such as national parks, even though the entire area is not of world heritage
value:
While an existing or proposed protected area may contain several management
zones, only some of those zones may satisfy [world heritage] criteria
... ; other zones, although they may not satisfy the criteria ... , may
be essential ... to ensure the integrity of the nominated site ... .
3.18 There is at least one documented example of the inclusion of a site
within an Australian world heritage area for ease of management rather
than world heritage values. The world heritage value of Lake Pedder was
raised during the Committee's recent inquiry into a proposal to drain
and restore the Lake. It was found that the status of the enlarged artificial
Lake Pedder (which flooded the original lake) was addressed during the
consideration of the nomination by the IUCN which, according to evidence
presented by DEST, recommended that it be included for ease of management
rather than because it had world heritage values. This is clearly an example
of the World Heritage Committee including in an inscribed property a large
area that did not possess world heritage values but was simply a part
of a larger area with portions that did display these values.
3.19 Not all parts of large and diverse world heritage areas are equally
sensitive to possible damage, nor does the Convention require that the
most stringent methods that are necessary to protect world heritage values
will necessarily be invoked to stop activities in all parts of world heritage
areas. The approach advocated by Mr Haigh and others, despite the superficial
appeal of a simplified and unambiguous legal regime, is not mandated by
the World Heritage Convention and the Operational Guidelines. Nor is it
supported by the Australian High Court's interpretation of the Convention
and the Commonwealth's powers.
3.20 In practical terms it will always be necessary to have regard to
the values of an area and to make a sound judgement about what constitutes
unacceptable or inappropriate damage and what activities may be acceptable.
Acceptable impact, in world heritage terms, will be that which does not
detract from the permanent maintenance of the world heritage values of
an area or that which may be necessary for the broader protection and
conservation of an area and for other objectives, such as presentation
and rehabilitation, as set down in the Convention. In proposing some guidelines
for the assessment of possible damage, the Environmental Lawyers Group
suggested that acceptable damage does not specifically include development.
They noted that developments such as highways, resorts and marinas, which
prevent the transmission of an area containing world heritage values in
a substantially unaltered way, would be classified as development and
would be unacceptable. [15]
3.21 Developments and uses which would damage world heritage values or
prevent their transmission to future generations are unacceptable, but
there are some works, uses and developments that do not so affect world
heritage values as to preclude their consideration.
The scope of valid Commonwealth legislation
3.22 The Commonwealth would probably not be able to enact valid legislation
that sought to provide a general regulatory framework for the control
and management of activities in world heritage areas. The High Court struck
down several provisions of the World Heritage Properties Conservation
Act as being too general. One of the judges who found the provisions invalid,
Justice Deane, argued that there was a lack of 'reasonable proportionality'
between the provisions and the stated aim of protecting the world heritage
area as required under the Convention. [16]
Justice Brennan stated that:
... protection and conservation are functions that can only be performed
with respect to an individual property: those functions have to be performed
according to the condition of the property at the time and with reference
to any threat that may be posed by specific dangers ... The difficulty
with [the invalid paragraphs of the Act] is that they generally prohibit
the kinds of acts therein specified whenever done on any [specified world
heritage] property ... It is impossible to say that such provisions, in
their application to all such properties at all times, would conduce to
the protection and conservation of those properties. They are too wide.
[17]
3.23 In a paper to the ACIUCN workshop in August 1995, Mr Atticus Fleming,
an officer of the Attorney-General's Department, argued that the external
affairs power could probably not be used to support a 'scheme of controls
and prohibitions' that would apply uniformly to all Australian world heritage
properties. Fleming suggested that, to ensure that a legislative scheme
is supported by the external affairs power, regulations must be directed
towards the particular threat which is faced by the particular world heritage
property. As he pointed out, 'there must be a sufficient relationship
between the prescribed acts and the nature and source of likely damage
to the world heritage property'. [18]
3.24 Furthermore, Fleming suggested that defining the activities and
prohibitions that would be reasonably appropriate and adapted to the protection
and conservation of world heritage areas (and which could be included
in broad legislation) may be a complex task. He noted, however, that broad
legal measures taken under the corporations power provided to the Commonwealth
by the Constitution could be more easily applied, because the corporations
power does not require that prohibited acts be so closely related to the
source of specific damage to a property. [19]
Such regulations would however be limited in their application to corporations.
3.25 What is required is a legal and administrative regime that provides
a framework for effective and efficient management and protection of world
heritage areas, while at the same time giving effect to Australia's obligations
under the Convention. There are three primary considerations:
- the principal obligation is to protect and conserve world heritage
areas;
- the measures adopted in Australia have to be appropriate to the constitutional
situation and reflect the responsibilities of the Commonwealth and the
States; and
- management arrangements must have regard to the characteristics of
the area, including the diversity of biological and physical features,
and the land tenure.
3.26 Given the constitutional arrangements that apply in Australia and
the extensive, multi-tenure nature of many of Australia's world heritage
areas, it seems both logical and appropriate to develop a legal and administrative
regime that allows for flexibility, multiple use, zoning and a role for
both the Commonwealth and the States. The main questions are what constitutes
an appropriate balance in the decision making and legal power between
the Commonwealth and the States, and how can this be provided for in legislation
if required.
3.27 The range of legal and administrative arrangements that have arisen
is in part the result of efforts to find this balance. The Committee considers
that, whatever arrangements are developed, it is important for the Commonwealth
to maintain some overriding power to ensure that world heritage areas
are not damaged. It is best to put in place cooperative management arrangements
and dispute resolution processes, but it will still be necessary to retain
strong, overriding Commonwealth legislation that can be invoked to prevent
inappropriate activity.
The legal and administrative arrangements
3.28 The World Heritage Properties Conservation Act 1983 is the principal
legislation enacted by the Commonwealth in response to its world heritage
obligations, but it is not the only legislation that applies to world
heritage properties. Commonwealth legislation enacted to establish management
arrangements for particular areas, such as the Great Barrier Reef, have
continued to apply to those areas after they were inscribed on the World
Heritage List. Other Commonwealth legislation, which provides generally
for such things as the protection of endangered species and the consideration
of possible environmental impacts, may also apply to particular proposed
activities in world heritage areas. This suite of legislation stands alongside
Commonwealth-State agreements and existing administrative arrangements
put in place by the States. Together they provide the overall regime for
the management of world heritage areas.
Commonwealth Legislation
a) World Heritage Properties Conservation Act
3.29 The World Heritage Properties Conservation Act was proclaimed in
1983 as an Act relating to the protection and conservation of world heritage
properties. Under certain circumstances the Act can be used to prevent
specific activities but, as DEST pointed out in its submission to the
Committee, the Act does not automatically control activities in world
heritage areas. [20] The Department
noted that the Act does not enable the Commonwealth Government to assume
responsibility for the general management of a property. Boer and Fowler
observed that the Act was made in response to a specific threat rather
than to provide a general framework for the management of world heritage
areas. Even though later amended, it was not 'an instrument geared to
the management of World Heritage Properties'. [21]
3.30 Whilst the Act does not establish general management arrangements,
it does provide for the making of proclamations which can be used to prevent
damage to properties. However, such proclamations can only be made when
the Governor-General in Council is satisfied that a property is being,
or is likely to be, damaged. Once this occurs, certain specified activities
are made unlawful by the Act or the Governor-General may make regulations
proscribing specified activities.
3.31 The requirement in the Act for a proclamation in response to a perceived
threat is a significant feature. As Fleming explained 'the critical point
to note is that a Proclamation can be made only if there is evidence of
a threat to the world heritage characteristics of the identified property'.
[22] This provision appears to limit
the application of the Act but is probably necessary to ensure its validity.
It is a reflection of the limitation on the Commonwealth's direct powers
in respect of the environment. DEST quoted advice from the Attorney-General's
Department which suggested that this limitation in the Act is probably
unavoidable, given the views of the High Court. [23]
The Act appears to have been limited in its provisions to ensure that
it would be valid if challenged, and to provide the Commonwealth with
an opportunity to take action only when State regulation is inadequate
or not enforced. It was always intended that this would be the case and,
in his second reading speech on the Bill, the then Minister for Home Affairs
and Environment stated:
Given a commitment by a State Government to heritage protection and an
awareness by the State of the international importance of such protection,
the Commonwealth Government would foresee no need to exercise its own
powers. This Bill is to provide a means of protection of last resort.
Its provisions are to be invoked when it appears that other means are
not available or are inadequate or unsuitable to meet a threat of damage
or destruction to heritage property. It is the Government's intention
that the procedures under the Bill would not be resorted to if effective
action can and will be taken under State or Territory law. [24]
3.32 Several submissions have been made proposing that the Act be amended,
mainly to provide for a broader and more proactive approach to the management
of world heritage areas or to improve the administration and enforcement
of the Act. A paper by five peak industry associations called for the
implementation, through amendment of the Act, of a wide range of reforms
to the assessment and nomination process, community participation, management
plans and compensation. [25] The
reforms advocated in this paper were reflected in a submission to the
Committee by the MCA, which also went on to identify other concerns it
had about the provisions of the Act. [26]
3.33 The MCA pointed out that the Act provides that, in 'determining
whether an activity or act is unlawful' in relation to a world heritage
area, the Minister may only have regard to the protection, conservation
and presentation of the world heritage area in question. Article 5 of
the World Heritage Convention, however, provides that States Parties should
endeavour to give world heritage a function in the life of the community
and should integrate the protection of world heritage into comprehensive
planning programs. The MCA argued that this approach provides a basis
for the Minister to consider broader matters beyond just protection, conservation
and presentation. [27]
3.34 The Act actually limits the Minister to considering protection,
conservation and presentation when giving consent to an activity that
would otherwise be rendered unlawful by a proclamation and regulation
made under the Act. Furthermore, the Minister may only act then in respect
of s. 9 of the Act. The Act does not necessarily limit the range of matters
that the Minister can consider in respect of planning, management and
funding decisions, or actions that the Government may need to take in
relation to a world heritage area. This point was brought out by the High
Court challenge to the terms of reference of the Helsham inquiry which
was established to investigate potential world heritage values and alternative
timber supplies in Tasmania's Lemonthyme and Southern Forest. The High
Court's ruling that the terms of reference were valid has led to the observation
that a State Party to the World Heritage Convention is permitted to take
into account economic and other factors in determining how it will discharge
its obligations in respect of world heritage areas in its territory. [28]
3.35 Conversely, in another instance, the Court found that provisions
in the Lemonthyme and Southern Forests (Commission of Inquiry) Act 1987,
which invoked similar limitations to those that concerned the MCA, did
restrict the range of matters that could be considered. The Court found
that, when considering whether to give consent to certain activities relating
to the protection of an area being assessed for world heritage values,
that consent can only be refused if it is necessary to do so to attain
the objectives of the World Heritage Convention. [29]
3.36 It may therefore be difficult to amend the legislation to remove
the restrictions that concerned the MCA. It is important to note, however,
that the limitations of concern to the Council may only apply in relation
to some decisions that might be taken under the Act, and would not generally
limit the Commonwealth in its decision making in the general management
of world heritage matters. There is also a lack of precision in the terms
'protection, conservation and preservation' and, as Boer and Fowler point
out, there is no guarantee that political and economic factors will not
impinge on a Minister's consideration. [30]
3.37 In commenting on the Act, the National Farmers' Federation (NFF)
noted its limited scope, [31] and
the Federation's Deputy Director, Mr Robert Hadler, proposed to the Committee
that the Act be amended:
The legislation imposes some responsibilities on the Commonwealth, but
it does not go far enough. We would like to see the sorts of due process
principles and compensation issues fleshed out in more detail in the legislation,
particularly community consultation and participation and particularly
state agreement with the processes of nomination and listing and funding
of management ... [32]
3.38 Proposals to expand and amend the Act were also made by the conservation
movement. Like the NFF and the MCA, CAFNEC found that the Act was not
sufficiently comprehensive. CAFNEC submitted that the Commonwealth should
supplement the World Heritage Properties Conservation Act with new legislation
that would enable it to both manage world heritage sites and enter into
cooperative management arrangements. [33]
It was suggested that such legislation would put the Commonwealth in a
stronger position when negotiating with the States, and would also allow
the Commonwealth to set standards for the management of world heritage
areas.
3.39 Haigh specified a number of deficiencies in the Act, some of which
were the consequence of the requirement that matters can only be regulated
when a potentially damaging action is proposed. He called for new legislation
to replace the World Heritage Properties Conservation Act; he suggested
that there is an urgent need for any world heritage legislation to include
an overall Ministerial consent provision:
This would mean that upon the listing of an Area or place as World Heritage
any activity in this area or place would require Ministerial consent.
It would apply without the proclamation process presently in the Act.
[34]
3.40 Haigh suggested for example that, because the Commonwealth can only
respond to specific proposals, it may be easily misled by a developer
who portrays a proposal in a piecemeal fashion and so understates likely
impacts. The lack of references to cumulative impacts or the precautionary
principle is noted by Haigh as two other deficiencies in the current Act.
3.41 The possibility of amending the Act to allow for automatic application
of the provision relating to protection, development and implementation
of development plans was considered by Fleming in his paper to the ACIUCN's
Richmond Conference. [35] He noted
that such amendments would be subject to the constitutional constraints
of the sort discussed above. Fleming's conclusions were that automatic
application of the Act would probably be invalid, and provisions for management
plans would necessarily be so limited that the implementation of comprehensive
management plans would require the cooperation of the States.
3.42 The lack of enforcement provisions to address situations in which
a developer flouts the provisions of a proclamation was also noted by
Haigh. He suggested that a proclamation made in relation to Oyster Point
adjacent to the Great Barrier Reef world heritage area did not initially
result in the cessation of activities that had been rendered unlawful.
[36] A similar concern was expressed
by the Wilderness Society in relation to an alleged violation of development
consent conditions in the construction of a road in the Wet Tropics world
heritage area. [37] As it currently
stands, consent conditions can only be imposed indirectly under the Act
by specifying in sufficient detail the nature of the action that is regulated.
3.43 The Act does not provide criminal sanctions for activities that
are rendered unlawful by proclamation or regulation. However it does provide
at s. 14 that the High Court may, upon application, grant an injunction
restraining a person from doing an act that is unlawful. Associations,
such as environmental groups with a prior interest in the matter, are
given standing to make such an application.
3.44 Fleming suggested that consideration could be given to amending
the Act to allow for consent conditions to be more easily made and varied,
or for consent itself to be suspended and revoked in appropriate circumstances.
He also suggested that criminal offences could be created for breaches
of consent conditions. [38]
3.45 The Committee agrees that some of the perceived deficiencies in
the Act can and should be corrected. The proposals for a broad Act generally
providing for management of world heritage areas are naive, given the
provisions of the Constitution and position of the High Court. However,
there is scope to amend the World Heritage Properties Conservation Act
so that it allows for the Minister to more easily specify and enforce
conditions attached to any approvals. It would also be helpful if the
Act were to include a statement of principles and objectives.
3.46 The question for the Committee is whether the Act should provide
a basis for the general management of world heritage or whether it should
continue as a means whereby the Commonwealth can take last resort action
to ensure that its obligations are met. Whether it is necessary to recommend
that the Act be amended will depend on the answer to this question. Boer
and Fowler concluded that, if it is desired to establish a more comprehensive
scheme of protection and management, the Act would need to be amended
to include specific management powers. They also pointed out however that,
bearing in mind the constitutional limitations, the Commonwealth may wish
to recast the Act and negotiate with the States and Territories for the
introduction of complementary legislation. [39]
The recasting of the Act was seen by Boer and Fowler to involve significant
additions to its scope and purpose, including:
- incorporation of mandatory management principles and ecologically
sustainable development principles;
- inclusion of the duties established by the Convention and definition
of 'protection, conservation and presentation';
- specification of a standard management structure;
- introduction of an enforcement regime; and among other things
- mechanisms for public inquiries, dispute resolution and simplified
processes. [40]
3.47 Some of what Boer and Fowler recommended is unnecessary or goes
beyond what is appropriate for Commonwealth legislation, given the role
that the States play in the day-to-day management of most world heritage
areas. The introduction of standard management structures, for example,
is not a matter for legislation. This is something that should be negotiated
with the States and modified as necessary to suit the specific circumstances
of different areas. The Committee agrees, however, that the Act should
include a statement of the principles that are to be applied pursuant
to the obligations created by the Convention and that it should define
key terms.
3.48 Many of the concerns about the Act can be overcome by administrative
and management processes, particularly those that clarify the balance
of responsibilities between the Commonwealth and the States. In this regard
it is notable that the industry associations that called for reform have
indicated that progress in relation to some matters of concern is occurring
without amendment to the legislation. [41]
Other contentious issues are more properly addressed through other Commonwealth
legislation and Commonwealth/State agreements that provide for the application
of State legislation to the management of world heritage areas.
3.49 The World Heritage Properties Conservation Act needs to be retained
and strengthened as a means by which the Commonwealth can apply to ensure
that its obligations are being met and the objectives of world heritage
achieved. It should not, however, be applied as the primary legislative
provision for the general management of world heritage areas. The Committee
recommends that:
(1) the World Heritage Properties Conservation Act 1983
be:
a) retained as the means by which the Commonwealth Government protects
world heritage areas in those cases where other avenues fail to adequately
achieve the objectives of protection and conservation;
b) amended to include statements of the principles to be applied
to the management of world heritage areas and definitions of the obligations
and duties created by the World Heritage Convention; and
c) amended to provide the Minister with the power to set conditions
on approvals, to enforce such conditions, and to enforce the provisions
of the Act after a declaration has been made.
3.50 A possible loss of property rights following the making of proclamations
and regulations under the Act was a matter that the MCA argued went beyond
the requirements of the Convention. The MCA referred to the Article 6
(1) of the Convention which provides that the duty to protect world heritage
should be followed 'without prejudice to the property rights provided
by national legislation'. The MCA submitted that:
While the Convention recognises property rights, the Australian Act provides
for the circumvention of rights over land granted to Australian States
under the Australian Constitution in relation to the management of land.
[42]
The Constitution provides that land can only be acquired by the Commonwealth
if it pays 'just terms'. When the High Court found in the Tasmanian Dams
case that the Commonwealth's actions did not result in an obligation to
pay compensation because property was not acquired, it was applying national
law. In this regard the Act is in accord with the Convention which says
that compensation be determined in accord with national law.
3.51 The question of compensation raised by the Council and other industry
groups is a matter that concerns the Committee, because restrictions placed
on land use under the Act can reduce the rights of property owners. The
Act provides that the Commonwealth is liable to pay compensation where
property is acquired due to operation of the Act, but just compensation
is not otherwise provided. Acquisition is defined in the same terms as
in the Constitution and does not extend to the limitation of certain land
uses that might occur in situations where property rights are not actually
acquired. Compensation has also been made available in an ad-hoc way in
the form of structural re-adjustment payments, and funds have been allocated
for the acquisition of property in relation to the listing and management
of some world heritage properties. Mr David Buckingham, the then Executive
Director of the MCA, told the Committee that:
The council would like to see further specific commitment from the Commonwealth
on compensation. Importantly, there is no legally recognised right to
compensation under the World Heritage Properties Conservation Act. It
is the lack of security that attaches for many property interests to both
the prospect of and subsequent enactment of World Heritage that is the
point of concern. It is the provision of such security that really needs
to be addressed.
Quite frankly, it is not clear whether the Commonwealth's willingness
to consider compensation, even as ex-gratia payments, relates only to
existing just terms provisions for the acquisition of property or also
covers wider impacts such as loss of land values and other economic and
social costs ... In our view, the latter costs ought to be recognised
and the obligation to compensate for them reflected in appropriate legislation.
[43]
3.52 The question of compensation is considered further by the Committee
in Chapter 7. At this point it is sufficient to
note that amending the Act to include provision for assessing of the need
for compensation in the event of a loss of rights to use land is one possible
way of dealing with this issue.
b) The Great Barrier Reef Marine Park Act
3.53 The Great Barrier Reef is managed, at least in part, by Commonwealth
legislation that predated the world heritage listing of the region. The
Great Barrier Reef Marine Park Act 1975 was taken to be adequate for the
management of the world heritage area when the area was nominated. In
the covering letter to a submission from the Great Barrier Reef Marine
Park Authority (GBRMPA) the Authority Chairman, Dr Ian McPhail, explained
that at the time of nomination of the world heritage area it was agreed
that the management processes were sympathetic to, and aligned with, the
attainment of world heritage goals, even though the Act did not refer
to world heritage. The nomination document put forward by the Commonwealth
detailed legislative, regulatory and management arrangements, including
the provision for zoning. The management processes in place in the Great
Barrier Reef Marine Park and adjacent Queensland marine parks were proposed
as the management arrangements for the nominated world heritage area.
[44]There have been two problems
with this approach.
3.54 One problem was that the GBRMPA did not explicitly consider the
impact of activities and proposals on world heritage values. The Authority
had believed that management processes established under the Great Barrier
Reef Marine Park Act implicitly covered matters that might be considered
to be world heritage values. This has lead to difficulties in meeting
the expectations of the public which now appears to regard the region
as much in terms of its world heritage status as its marine park status.
The Authority acknowledged that it 'recognises that this implicit management
of World Heritage values does not always meet the expectations of the
public'. [45] Until amended in 1995
the Great Barrier Reef Marine Park Act did not contain any specific reference
to world heritage. There is now a requirement that management plans must
have regard to the protection of world heritage values. This assumes that
the world heritage values of the marine park are defined clearly enough
to be taken up in management plans.
3.55 It would be impractical, inappropriate and unnecessary to simply
ban all activities in the Great Barrier Reef world heritage area on the
grounds that the whole area is world heritage. Such a ban would overcome
the potential difficulty of evaluating every decision in relation to impacts
on world heritage values, and possibly then arguing those decisions if
appealed against; but it would jeopardise tourism, fishing and other commercial
activities worth over $1 billion annually, without necessarily advancing
the protection of the area. Much of the area, such as the sea surrounding
the reefs, was nominated to ensure the integrity of the site, [46]
but not all of this area would rate highly in terms of world heritage
values. With zoning providing high level protection for core areas containing
world heritage values, it is unnecessary to routinely consider these values
in all decisions that relate to non-core areas. It is necessary, however,
to ensure that the management arrangements and processes are aligned with
the need to protect and conserve the world heritage area. The definition
of world heritage values is therefore essential for the management of
the marine park. The difficulty of defining world heritage values and
the work the GBRMPA has recently commissioned to assess these values is
discussed in Chapter 4.
3.56 The second problem stems from a lack of congruity between the boundaries
of the area protected by the Great Barrier Reef Marine Park Act and the
boundaries of the world heritage area. The proclaimed area of the Great
Barrier Reef Marine Park generally follows the low water mark but excludes
areas defined as internal waters of Queensland, the islands owned by Queensland,
and several other areas such as ports. The world heritage area also generally
follows the low water mark but includes the islands and internal waters
not included in the Park. About three per cent of the world heritage area
is not in the marine park and therefore not within the GBRMPA's legal
jurisdiction. The Authority told the Committee that there is a public
expectation that this three per cent is managed by it, and it is this
area that includes much of the development and activity that affect the
region. [47] Action to prevent the
proposed development at Oyster Point, for example, was taken under the
World Heritage Properties Conservation Act rather than the Great Barrier
Reef Marine Park Act.
3.57 The Great Barrier Reef Marine Park can be adversely affected by
actions outside the park boundary and the GBRMPA has some limited powers
under its Act to regulate pollution that may affect the park. The GBRMPA
has also acted in an advisory capacity in relation to those areas of the
world heritage area outside the park. The GBRMPA's Acting Executive Officer,
Ms Prue Keen, explained that the Authority works with three levels of
protection: the core areas zoned for protection; other areas within the
marine park where a wider range of use is permitted subject to regulation
by the Authority, and an outer 'buffer area' not regulated by the Authority.
[48] In the outer area the Authority
works in a 'regime of partnership' with other agencies, particularly the
Queensland Government. This arrangement can lead to problems in relation
to the parts of the world heritage area outside the park. This occurred
most recently at Oyster Point where the procedures of the Queensland Government
did not meet the then Commonwealth Government's interpretation of the
requirements for protecting the world heritage area.
3.58 The GBRMPA told the Committee that it had initiated discussions
with DEST with a view to being the Commonwealth's chief representative
in dealing with World Heritage issues with Queensland agencies. [49]
The Committee was also told by Ms Keen that it was the Authority's intention
to seek a single legal regime for the entire world heritage area. [50]
Such a change in responsibility would require the Authority to exercise
delegated powers under the terms of the Environment Protection (Impact
of Proposals) Act 1974, and to carry out the Commonwealth's assessment
of the possible environmental impact of proposals. In reviewing the environment
assessment process associated with the Port Hinchinbrook development proposal,
Boer and Fowler noted the proposal that the GBRMPA be delegated powers
from the Commonwealth Environment Protection Agency (CEPA). They suggested
that, although this might result in some efficiencies, it could also lead
to variation in environment assessment standards. [51]
The Committee considers that the responsibilities under the Act, currently
administered by CEPA should not be delegated to the other agencies. In
this case however, the Memorandum of Understanding between GBRMPA and
CEPA about the administration of the Act may need to be reviewed. [52]
The review should ensure that it is clear that environment assessment
requirements and processes are harmonised with the management processes
applied in the marine park and that the GBRMPA has a role in assessing
any proposals that may affect the world heritage area.
3.59 The Great Barrier Reef Marine Park Authority is well placed to administer
the whole of the world heritage area and its efforts would be made more
effective if it had sole jurisdiction from the Commonwealth perspective.
The Committee considers that, as far as the Commonwealth's responsibilities
are concerned, the Authority should have responsibility for the entire
Great Barrier Reef world heritage area. It applauds the Authority's efforts
to develop a better understanding of the implications of world heritage
values on its operations and to establish single legal and administrative
regimes for the marine park and world heritage area.
3.60 The protection of the world heritage area would be more certain
if the boundaries of the world heritage area and the marine park completely
coincided or were contained entirely within the park. One option might
be to reduce the extent of the world heritage area so that it encompassed
only the core areas within the park. Ms Keen suggested, however, that
this would make it more difficult to manage the area. Her preference was
for the GBRMPA to manage the whole region. The review of world heritage
values carried out for the GBRMPA found that the large size of the world
heritage area was important to the maintenance of the values.
3.61 The Great Barrier Reef Marine Park Act provides the best basis for
protecting the world heritage area. Where possible, the Commonwealth should
be prepared to negotiate an agreement with Queensland for the acquisition
or lease of significant world heritage areas currently outside the marine
park but which ought to be included within the park boundaries. Any areas
that cannot be acquired or leased but which should be retained as world
heritage areas should be jointly managed under a formal agreement between
the Commonwealth and Queensland. The Committee recommends that:
(2) the administration of the World Heritage Properties Conservation
Act be delegated to the Great Barrier Reef Marine Park Authority in
relation to those parts of the Great Barrier Reef world heritage area
outside the Great Barrier Reef Marine Park.
(3) the Great Barrier Reef Marine Park Authority be the administration
agency, as far as the Commonwealth Government's role is concerned, for
all world heritage aspects of the entire Great Barrier Reef world heritage
area.
(4) the memorandum of understanding between the Great Barrier Reef
Marine Park Authority and the Commonwealth Environment Protection Agency
regarding the administration of the Environment Protection
(Impact of Proposals) Act 1974 be reviewed to ensure that
the Act's environment assessment requirements and processes are harmonised
with the management processes applied in the marine park and that the
Authority has a role in assessing any proposals that may affect the
world heritage area.
(5) the Commonwealth Government seek the agreement of the Government
of Queensland to a joint review of the boundary of the Great Barrier
Reef world heritage area and the Great Barrier Reef Marine Park with
a view to aligning the two.
(6) pending the alignment of the boundaries of the Great Barrier
Reef Marine Park and the world heritage area, the Commonwealth Government
seek the agreement of the Government of Queensland to the development
of management plans that recognise and protect the world heritage values
and status of those parts of the world heritage area not in the Great
Barrier Reef Marine Park.
c) Other Commonwealth legislation
3.62 Following the successful nomination of the Wet Tropics area as world
heritage the Commonwealth enacted the Wet Tropics of Queensland World
Heritage Area Conservation Act 1994. This is the only Commonwealth legislation,
apart from the World Heritage Properties Conservation Act, that the Commonwealth
has enacted specially for the administration of world heritage areas and
is the only act that relates to a single area. The legislation is however
only minor and complements the Queensland Wet Tropics World Heritage Protection
and Management Act 1993. The purpose of the Commonwealth's Act is to give
effect to an agreement on the management of the area made between the
Commonwealth and Queensland on 16 November 1990, and to facilitate the
implementation of Australia's international duty under the World Heritage
Convention.
3.63 The two world heritage areas administered by ANCA (Kakadu National
Park and Uluru-Kata Tjuta National Park) are national parks declared and
managed under the provisions of the National Parks and Wildlife Conservation
Act 1975. Each park is managed by a board of management in conjunction
with the Director of National Parks and Wildlife.
3.64 Provisions of other acts may apply to these and other world heritage
areas to the extent that they relate to Commonwealth decisions that have
implications for the protection and management of world heritage areas.
Generally, other Commonwealth legislation that can be applied to the regulation
of activities in world heritage areas does not include reference to world
heritage.
3.65 The Environment Protection (Impact of Proposals) Act and the Australian
Heritage Commission Act 1975 could be applied to the protection of world
heritage areas in instances when a Commonwealth decision or action was
involved and such application was not constrained by other legislation.
The Environment Protection (Impact of Proposals) Act does not apply to
any action that is taken under the World Heritage Properties Conservation
Act. This restriction was inserted when the Environment Protection (Impact
of Proposals) Act was amended by a new Section 4A in 1988 following the
enactment of the World Heritage Properties Conservation Act. The amendment
sought to clarify the legality of action taken under the World Heritage
Properties Conservation Act. It did not relieve the Commonwealth from
its general responsibilities under the Environment Protection (Impact
of Proposals) Act as the Act would have otherwise applied in world heritage
area. The then Minister for Arts and Territories explained in the House
of Representatives during the second reading of the amending bill that:
The effect of the [amendment] is to make it clear that any World Heritage
nomination by Australia or any other action under the World Heritage Properties
Conservation Act to protect and conserve property would not be subject
to the Environment Protection (Impact of Proposals) Act ... All other
actions and decisions of the Government in World Heritage areas are still
subject to the EP (IP) Act. [53]
3.66 Despite this statement about the amendment to the Environment Protection
(Impact of Proposals) Act, the capacity to require environmental assessments
in world heritage areas is uncertain. Section 4A is worded in broad terms
and appears to preclude any assessment under the Environment Protection
(Impact of Proposals) Act in a situation where the Commonwealth acts to
control a development proposal by invoking its powers under the World
Heritage Properties Conservation Act. [54]
Boer and Fowler identified a need for the Commonwealth Minister responsible
for the environment to be able to consider the need for an environmental
assessment for any development that might threaten the world heritage
values of a world heritage area. They recommended that section 4A of the
Environment Protection (Impact of Proposals) Act be further amended to
clearly provide that it does not preclude the Minister from requiring
an assessment in relation to any proposed development in, at or near a
world heritage area. [55]
3.67 Some submissions to the Committee argued that the Environment Protection
(Impact of Proposals) Act should be amended to provide that any proposed
developments in world heritage areas be subject to Commonwealth scrutiny.
CAFNEC argued, for example, that all projects in world heritage areas
should be designated developments which would automatically trigger the
Environment Protection (Impact of Proposals) Act. [56]
Mr Haigh has pointed out that the World Heritage Properties Conservation
Act and the Environment Protection (Impact of Proposals) Act have different
tests that govern when they should be applied. [57]
He noted that the World Heritage Properties Conservation Act sets the
test at 'likely to damage or destroy' an area but the Environment Protection
(Impact of Proposals) Act is triggered only when there is likely to be
a significant environmental impact. If the Act were to be generally applied
to proposals in world heritage properties, the definitions of threat and
damage might need to be reviewed, although it is most likely that any
proposal that might damage world heritage values would also be seen as
likely to have a significant environmental impact.
3.68 The higher standards that would need to be applied were also noted
by Boer and Fowler. They argued that special considerations, taking account
of the obligations created by the Convention, should apply where it was
considered appropriate for an environmental impact assessment to be made
for a proposed development activity in a world heritage area. The test
usually applied when determining if an environmental impact assessment
is required under the Environment Protection (Impact of Proposals) Act
is whether the proposed development is likely to affect the environment
to 'a significant extent'. A more appropriate test for world heritage
areas would be, according to Boer and Fowler, that an assessment should
be required if the development is 'likely to damage or destroy the World
Heritage values of the property'. [58]
3.69 The Environment Protection (Impact of Proposals) Act was being reviewed
by the previous Government. Following the 1996 election the current Government
initiated a wider ranging review of environmental legislation, which subsumed
the review of the environmental impact assessment legislation. The Committee
does not want to comment in detail on environmental impact assessment
procedures in advance of the findings of that review. It notes however
that it is clear that the Commonwealth has a duty to ensure that world
heritage areas are protected. Furthermore, the Commonwealth has the power
to take action under the World Heritage Properties Conservation Act when
world heritage areas are threatened. This action should, where necessary,
be based on a sound assessment of possible impacts on world heritage values.
The Environment Protection (Impact of Proposals) Act, or the administrative
procedures under the Act, could be amended to ensure that the Commonwealth
automatically considers the potential impact of developments proposed
in and adjacent to world heritage areas, at least in those circumstances
where the Commonwealth is required to make a decision to take some action.
Amendments might be invalid if they were seen as an attempt to introduce
a general scheme of management or environmental control in areas not owned
by the Commonwealth. On the other hand, they could be considered valid
if they provided preliminary steps to possible action under the World
Heritage Properties Conservation Act in those cases where a potential
for environmental damage was found to exist. The Committee recommends
that:
(7) the Environment Protection (Impact of Proposals) Act
1974 be amended to provide that:
a) an environmental assessment be required when there is the possibility
that a proposed action will damage the world heritage values of a listed
world heritage area; and
b) the duties imposed by the World Heritage Convention be required
to be addressed in any environmental impact statement relating to a
proposed development likely to affect a world heritage area.
Joint Commonwealth/State Regimes
The application of State legislation in world heritage areas
3.70 State nature conservation and national park legislation provides
the framework and legal regime for general management and protection for
most of the world heritage areas. This legislation usually pre-dates world
heritage listing and does not make specific reference to world heritage
obligations. This is similar to the practice in other countries where
natural world heritage areas are typically national parks, protected and
managed pursuant to national parks legislation. A recent survey by Mr
Peter Valentine of James Cook University found that 85 per cent of all
such natural world heritage areas globally are national parks or their
equivalent. [59] Mr Valentine noted
that for such places national or provincial laws, which deal with the
protection of national parks, already support the obligations created
by the World Heritage Convention. A survey commissioned by the MCA to
look into the legal and administrative arrangements for world heritage
in some other countries also found that most natural world heritage areas
are either federally or provincially owned and managed. [60]
Advice provided to the Committee by the Australian Permanent Delegation
to UNESCO pointed out that, in the United States and Canada, parks services
have full control of almost all world heritage sites. Furthermore, no
special legislation has been developed beyond that applying to national
parks. [61]
3.71 Whilst the situation in Australia is similar to that which applies
overseas there are some differences. Some sites are entirely, or largely,
national park or an equivalent, and managed by either the Commonwealth
or a State parks service. However, not all areas fall into this category.
The historical development of some Australian world heritage sites has
led to the inclusion of a variety of land tenures. In such cases, a unifying
agency such as the Wet Tropics Management Authority, has been set up.
Mr Valentine argued that such authorities are essential to the maintenance
of the world heritage values of those areas. [62]
3.72 The Committee agrees that the arrangements set up for the Wet Tropics
world heritage area may be useful in other mixed tenure sites where the
Commonwealth is not a principal land holder. Among other things it provides
for the management and protection of the area under existing State legislation,
with a management authority established by special legislation and supported
by complementary Commonwealth legislation. There is little practical alternative
for the Commonwealth in such circumstances, short of acquiring the area.
Whilst ever these areas are largely State owned, State legislation will
continue to apply. It is preferable for natural world heritage areas to
be national parks or some similar category of protected area, and for
them to be protected by the legal regime that applies to national parks
in the States in whose territory the areas occur.
3.73 The Committee has not conducted a complete review of State legislation
and jurisdiction that might apply to all world heritage areas and so cannot
make recommendations about the need for additional Commonwealth legislation
or the need for the Commonwealth to pursue with the States the need for
additional State legislation. The Commonwealth should ensure that formal
agreements are in place for each area to define and clarify the legal
regime and to balance State and Commonwealth responsibilities and interests.
The Commonwealth also needs to review State legal regimes in each case
to ensure that adequate protection is afforded. Where adequate protection
is not provided new measures will be required, such as the establishment
of a unifying agency like the Wet Tropics Management Authority.
3.74 State legislation may adequately provide for the protection and
conservation of many world heritage areas by imposing regulatory regimes
and management processes of the kind typically applied to national parks.
The lack of specific reference to world heritage concepts and obligations
in this legislation is not conducive to the development of a consistent
national approach to the management of world heritage areas. Nor can it
be said with any certainty that Australia is meeting its obligations under
the World Heritage Convention or that the actions of the management agencies
comply with those obligations. By commissioning the report by Boer and
Fowler, DEST has already reviewed the Commonwealth's legislative arrangements.
A review of State legislation is also required. This would identify the
need to amend or supplement State legislation to, as Boer and Fowler suggest,
'ensure the integration of World Heritage matters into State and Territory
planning programmes and development control and environmental impact assessment
processes'. [63]
3.75 The Committee recommends that:
(8) the Commonwealth Government seek the cooperation of the State
and Territory Governments in a comprehensive review of all relevant
State and Territory legislation that is relied upon to provide regulatory
and management provision for the protection and conservation of world
heritage areas.
This review will identify the need for amendments that will lead
to consistent and effective arrangements for all world heritage areas
having regard to Australia's international obligations.
The Intergovernmental Agreement on the Environment
3.76 In some world heritage areas the administrative and management arrangements
are subject to agreements or arrangements between the Commonwealth and
the State Governments, which have jurisdiction over the areas and are
generally responsible for day to day management. In addition, broad guidelines
have been drawn up to encourage cooperation between the Commonwealth and
the States in respect of the nomination of world heritage areas. [64]
These guidelines were superseded by the more general IGAE.
3.77 The IGAE was adopted in 1992 to define environmental roles and facilitate
cooperation on environmental matters between the Commonwealth, the States,
Territories and local government. It did not affect any existing agreements
between the Commonwealth and a State, but provided a general statement
of the principles and policies that will be followed in the administration
of environmental matters and in negotiating arrangements between these
bodies. The IGAE does not preclude the Commonwealth from taking unilateral
action on environmental issues of national significance. [65]
3.78 Under the IGAE it was agreed that the Commonwealth has responsibility
for entering into international environmental treaties and ensuring that
international obligations relating to the environment are met by Australia.
It also provides for cooperation and consultation on such matters. Responsibilities
for specific areas of policy and management are set out in schedules which
form part of the IGAE. The schedule on world heritage responsibilities
notes that the Commonwealth has an obligation under the World Heritage
Convention and deals mostly with a cooperative process to identify, assess
and nominate world heritage. It also provides that management arrangements
for world heritage areas 'will take into consideration the continuation
of the State's management responsibilities for the property while preserving
the Commonwealth's responsibilities under the World Heritage Convention'.
The IGAE does not detail the type of arrangements that should be put in
place in each world heritage area but is a statement of principle that
provides a guide to what would be appropriate.
3.79 Some submissions to the Committee were critical of the IGAE. The
MCA, for example, argued that elements of the agreement relating to the
nomination process were not being honoured and did not go far enough in
ensuring that the agreement and cooperation of the States was a precondition
for nominating sites. The MCA also noted that world heritage area management
plans were not always developed as envisaged under the IGAE. It went on
to propose that the agreement be revised to include agreement that 'there
is a need for accepted proposals for the management and funding of all
World Heritage properties in Australia'. [66]
3.80 Some conservationist have argued that, in essence, the IGAE goes
too far in abrogating the Commonwealth's responsibilities. This view has
recently been put by Mr Philip Toyne who agreed with arguments that the
IGAE involved a reversal of the trend towards a broader and more comprehensive
role for the Commonwealth. He also saw the IGAE's scope as being too narrow
and the process too slow. [67] For
example, the agreement does not include a specific assertion by the Commonwealth
of its 'right and obligation to identify, nominate and protect areas which
are, or may be of World Heritage value under the Convention'. This view
is somewhat difficult to reconcile with the sections of the agreement
which identify the Commonwealth's role in relation to foreign policy,
international agreements and the obligations under the World Heritage
Convention. [68]
3.81 The IGAE is important in defining Commonwealth and State roles.
It provides a reference point for resolving difficulties that might arise
in negotiations, but it does not overcome the need to separately establish
appropriate legal and administrative arrangements for each of the world
heritage areas. The IGAE does not by itself provide a sufficient basis
for the protection and management of world heritage areas, but needs to
be supported by more detailed and specific agreements for individual areas.
3.82 Arguments about whether the IGAE unduly limits the Commonwealth
will be resolved by the way it is implemented rather than by the text
of the Agreement itself. The effectiveness of the IGAE and the balance
that is struck between Commonwealth and State roles will vary from time
to time, depending on short term political considerations. In relation
to the management of world heritage areas, the Committee is concerned
is to see that appropriate arrangements are put in place. This will depend
on cooperation between the Commonwealth and the States on legislation,
policy and management arrangements of a very specific nature in relation
to specific world heritage areas. The deficiencies in the IGAE identified
in some of the submissions, as far as they relate to the management of
listed world heritage areas, are better addressed in more detailed Commonwealth\State
agreements relating to specific areas. In this context the broad principles
set out in the IGAE are adequate as a starting point, as long as they
are embraced with goodwill and fairly implemented at both Commonwealth
and State levels, and as long as it is also recognised that the IGAE is
just a starting point.
Conclusion
3.83 The protection of world heritage areas has been in the forefront
of legal battles between the Commonwealth and the States, notably Tasmania
and Queensland, over their respective powers in relation to the environment.
This litigation established the authority of the Commonwealth, at least
in respect of world heritage. It also demonstrated that a confrontationist
approach to ensuring the protection of these areas was not conducive to
their being efficiently and effectively managed. The validity of Commonwealth
legislation that provides an insurance against specific actions that might
damage a world heritage area has been established, but the capacity of
the Commonwealth to generally manage all such areas without first acquiring
them has not been so established.
3.84 The process of implementing Commonwealth/State agreements for the
protection and management of world heritage areas where the Commonwealth
does not have direct jurisdiction reflects the reality of the distribution
of Commonwealth and State powers. The best means of ensuring that the
Commonwealth meets its obligations under the World Heritage Convention
is provided by the combination of specific agreements for the management
of world heritage areas that give effect to the provisions of the IGAE
and Commonwealth legislation that can be used to ensure the protection
of such areas if other measures fail. The Commonwealth should not enter
into agreements with the States which provide that it will forego the
use of its powers to act if it considers it necessary to do so. It must
retain the option of applying its legislation for the protection of world
heritage areas.
3.85 Article 5(a) of the World Heritage Convention requires States Parties
to integrate the protection of world heritage areas into 'comprehensive
planning programmes'. This is something the Commonwealth acting alone
cannot do in those areas that are owned by the States or private land
owners. The need for cooperation and agreement between the Commonwealth,
the States and Territories, and other parties about the implementation
of satisfactory protection measures is paramount if Convention obligations
are to be fulfilled. The Commonwealth World Heritage Properties Conservation
Act is available as a means of last resort to ensure protection of world
heritage areas in those instances where other measures fail or are not
pursued.
3.86 The arrangements put in place for the management of the Wet Tropics
provide a useful model for large multi-tenure areas in State jurisdictions.
These arrangements will be complete when the draft plan of management
is finalised and Queensland legislation is amended as indicated by the
Queensland Government. The extent to which such a model can be applied
elsewhere, or might be said to already be in place, depends on the adequacy
and appropriateness of existing relevant State legislation. It is for
this reason that the Committee has recommended above that all such legislation
be reviewed.
3.87 Whenever the World Heritage Properties Conservation Act has been
used it has been in the context of a conflict. The Committee considers
that negotiated settlement would be a better outcome in these situations.
The Act should be used only as a last resort - as intended when it was
enacted.
Footnotes
[1] UNESCO, Operational Guidelines for the
Implementation of the World Heritage Convention,
February 1996, paragraph 44(b) (vi).
[2] Boer and Fowler discuss amendments to the
United States National Historic Preservation Act (Pub L. 96-315)
of 1980, and subsequent regulations, that set out major requirements which
United States properties must satisfy in order to be considered for world
heritage nomination (B Boer & R J Fowler The Management of World
Heritage Properties in Australia, Part II, undated, issued May 1996,
p 45).
[3] Mr David Haigh, transcript, 15 November
1995, p 226.
[4] David J Haigh, 'Hinchinbrook - in defence
of world heritage', paper given to the Second Public Interest Environmental
Law Conference, Adelaide, May 1995, p 9.
[5] Environmental Lawyers Group, submission
(number 40), p 1.
[6] Boer & Fowler, p 9.
[7] Richardson v Forestry Commission
(1987-8) 164 CLR 261 at p 346.
[8] Stephen Mattingley, Some Legal and Administrative
Aspects of Management of Natural World Heritage Areas in Australia,
Honours Degree Thesis, University of Adelaide, November 1990, pp 31-2.
[9] Boer & Fowler, pp 6-7.
[10] Boer & Fowler, p 10.
[11] Environmental Lawyers Group, submission
(number 40), p 7.
[12] Boer & Fowler, p 11.
[13] UNESCO, Operational Guidelines,
paragraphs 44(b)(i), (ii), (iii).
[14] UNESCO, Operational Guidelines,
paragraph 44(b)(vi).
[15] Environmental Lawyers Group, submission
(number 40), p 9.
[16] The Commonwealth v Tasmania (1983)
158 CLR 1 at p 266.
[17] The Commonwealth v Tasmania (1983)
158 CLR1 at p 236.
[18] Atticus Fleming, 'The World Heritage
Properties Conservation Act 1983', paper presented at the Australian
Committee for IUCN workshop on management of Australia's World Heritage
Areas, Richmond, NSW, 7-9 August 1995, p 7.
[19] Fleming, p 11.
[20] Department of the Environment, Sport and
Territories, submission (number 62), p 12.
[21] Boer & Fowler, p 37.
[22] Fleming, p 6.
[23] Department of the Environment, Sport and
Territories, submission (number 62), p 12.
[24] Australia, House of Representatives, 1983,
Debates, vol. HR131, p 52.
[25] Australian Mining Industry Council, Australian
Petroleum Exploration Association, Business Council of Australia, National
Association of Forest Industries & National Farmers' Federation, World
Heritage in Australia: Proposed Management Reforms, December 1994.
[26] Australian Mining Industry Council, submission
(number 28).
[27] Conversely Haigh, in his paper to the
Second Public Interest Environmental Law Conference (p 21), has argued
that a strict application of this limitation in this legislation has allowed
the Commonwealth to avoid doing its utmost to protect world heritage by
not considering its responsibilities under the Australian Heritage Commission
Act.
[28] B Martin Tsamenyi, Juliet Bedding &
L Wall, 'Determining the world heritage values of the Lemonthyme and Southern
Forests: lessons from the Helsham inquiry', Environmental and Planning
Law Journal, 5, 1989, p 85.
[29] Richardson v Forestry Commission
(1987-88) 164 CLR 261 at 293.
[30] Boer & Fowler, p 40.
[31] National Farmers' Federation, submission
(number 7), p 5.
[32] National Farmers' Federation, transcript,
27 November 1995, p 317.
[33] Cairns and Far North Environment Centre,
submission (number 53), pp 2-3.
[34] Mr David Haigh, submission (number 16),
p 7.
[35] Fleming, p 17.
[36] Mr David Haigh, submission (number 16),
p 6.
[37] 'Government powerless over Quaid Road',
Cairns Post, 8 December 1995, p 5.
[38] Fleming, pp 19-20.
[39] Boer & Fowler, p 41.
[40] Boer & Fowler, p 139.
[41] See for example, National Farmers' Federation,
transcript, 27 November 1995, p 314; Minerals Council of Australia, transcript,
30 November 1995, p 336.
[42] Australian Mining Industry Council, submission
(number 28), p 17.
[43] Minerals Council of Australia, transcript,
30 November 1995, p 337.
[44] Great Barrier Reef Marine Park Authority,
submission (number 59), p 1.
[45] Great Barrier Reef Marine Park Authority,
submission (number 59), p 14.
[46] Great Barrier Reef Marine Park Authority,
Nomination of the Great Barrier Reef by the Commonwealth of Australia
for Inclusion in the World Heritage List, January 1981, p 6.
[47] Great Barrier Reef Marine Park Authority,
submission (number 59), p 5.
[48] Great Barrier Reef Marine Park Authority,
transcript, 27 November 1995, p 283.
[49] Great Barrier Reef Marine Park Authority,
submission (number 59), p 7.
[50] Great Barrier Reef Marine Park Authority,
transcript, 27 November 1995, pp 284, 291.
[51] Robert J Fowler & Ben Boer, World
Heritage Project, Part 1, the Port Hinchinbrook Development, Report to
the Department of the Environment, Sport and Territories, May 1996,
p 27.
[52] A memorandum of understanding between
the GBRMPA and the EPA in relation to the administration of the Environment
Protection (Impact of Proposals) Act was signed in August 1989.
[53] Australia, House of Representatives, 1988,
Debates, vol. HR160, p 1398.
[54] Fowler & Boer, p 11.
[55] Fowler & Boer, p 68.
[56] Cairns and Far North Environment Centre,
submission (number 53), p 3.
[57] Mr David Haigh, submission (number 16),
p 4.
[58] Boer & Fowler, p 134.
[59] Mr Peter Valentine, submission (number
29), p 2.
[60] Australian Mining Industry Council, submission
(number 28), Attachment 3, p 8. This attachment is a report to the Australian
Mining Industry Council by Guy Barnett & Associates, Nomination
Listing and Management of World Heritage in the USA, Canada, United Kingdom
& New Zealand, February 1995.
[61] Letter from Mr Alan Brown, Ambassador
Permanent Delegate, Australian Permanent Delegation to UNESCO, 28 November
1995.
[62] Mr Peter Valentine, submission (number
29), pp 2, 4.
[63] Boer & Fowler, p 144.
[64] Department of the Environment, Sport and
Territories, submission (number 62), p 9.
[65] Gerry Bates, 'Environmental protection
- the Commonwealth's role' in Competitive Edge: Proceedings of the
29th Australian Legal Convention, Law Council of Australia, September
1995, p 410.
[66] Australian Mining Industry Council, submission
(number 28), pp 20-1.
[67] Phillip Toyne, The Reluctant Nation,
ABC Books, Sydney, 1994, p 183.
[68] See for example sections 2.2.1 (i), 2.5.2.1
and schedule 8 paragraphs 1 and 5.
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