New and continuing matters
1.1
This chapter provides assessments of the human rights compatibility of:
- bills introduced into the parliament between 10 and 20 October
2016 (consideration of seven bills from this period have
been deferred);[1]
- legislative instruments received between 19 August and 13
October 2016 (consideration of six legislative instruments from this
period have been deferred);[2] and
- bills and legislative instruments previously deferred.
1.2
The chapter also includes reports on matters previously raised, in
relation to which the committee seeks further information following
consideration of a response from the legislation proponent.
Instruments not raising human rights concerns
1.3
The committee has examined the legislative instruments received in the
relevant period, as listed in the Journals of the Senate.[3] Instruments raising human rights concerns are identified in this chapter.
1.4
The committee has concluded that the remaining instruments do not raise
human rights concerns, either because they do not engage human rights, they
contain only justifiable (or marginal) limitations on human rights or because
they promote human rights and do not require additional comment.
Response required
1.5
The committee seeks a response or further information from the relevant minister
or legislation proponent with respect to the following bills and instruments.
Fairer Paid Parental Leave Bill 2016
Purpose
|
Proposes to amend the Paid
Parental Leave Act 2010 to provide that primary carers of newborn
children will no longer receive both employer-provided primary carer leave
payments and the full amount of parental leave pay under the government‑provided
paid parental leave (PPL) scheme; and remove the requirement for employers to
provide paid parental leave to eligible employees
|
Portfolio
|
Social Services
|
Introduced
|
House of Representatives,
20 October 2016
|
Rights
|
Social security; work and
maternity leave; equality and non‑discrimination (see Appendix 2)
|
Background
1.6
The committee has previously examined the measures contained in the Paid
Parental Leave Amendment Bill 2014 (2014 bill) and Fairer Paid Parental Leave
Bill 2015 (2015 bill) in its Fifth Report of the 44th Parliament, Eighth Report of the 44th Parliament, Twenty‑fifth
Report of the 44th Parliament, and Thirty-seventh Report of the 44th Parliament.[4]
1.7
Following the commencement of the 45th Parliament, the Fairer Paid
Parental Leave Bill 2016 (the 2016 bill) was reintroduced to the House of
Representatives on 20 October 2016. While key measures in the 2016 bill remain
the same, there have also been some amendments to this bill (when compared to
the measures in the 2015 bill).
Restrictions on paid parental leave scheme
1.8
Schedule 1 to the 2016 bill would amend the Paid Parental Leave
Act 2010 (PPL Act) to provide that primary carers of newborn
children will no longer receive both employer‑provided primary carer
leave payments (such as maternity leave pay) and the full amount of parental
leave pay under the government-provided paid parental leave (PPL) scheme.
1.9
Primary carers who are entitled to receive employer-provided parental
leave payments will not be eligible to receive payments under the government's
PPL scheme, unless their employer-provided payments are valued at less than the
total amount of payments under the government's PPL scheme.
1.10
The 2016 bill sets out that these provisions will take effect from the
first 1 January, 1 April, 1 July or 1 October after the bill receives
Royal Assent. This means that, for example, if the bill were to pass and
receive Royal Assent prior to 1 January then there may be parents who are
currently pregnant but who will no longer qualify for the PPL scheme.
Compatibility of the measure with
human rights
1.11
The previous human rights assessment considered that the measures engage
the rights to social security, work and maternity leave, and equality and non‑discrimination.
1.12
This is because under the proposed measures primary carers who receive
employer-funded parental leave pay will have their government-funded
entitlements reduced or removed. In reducing the social security support
available to new parents, the measure is a retrogressive measure for the
purposes of international human rights law, and engages the right to social
security and the right to maternity leave.[5] Further, where a measure impacts on particular groups disproportionately, it
establishes prima facie that there may be indirect discrimination. As
women are the primary recipients of the paid parental leave scheme, reductions
to this scheme under the bill will disproportionately impact upon this group
and the right to equality and non‑discrimination is therefore engaged.
1.13
The committee was previously able to conclude that the measures were
compatible with these rights on the basis of further information provided by
the Minister for Social Services.[6] In particular, on the basis of this further information the previous analysis
accepted that the measures are a permissible limit on human rights as they
pursue a legitimate objective, are rationally connected to that objective and a
proportionate means of achieving that objective. Some of this further
information previously provided by the minister has been included in the
statement of compatibility to the 2016 bill. However, previous information
setting out the legitimate objective of the measure as creating savings in the
context of budgetary concerns has not been included in the new statement of
compatibility. While it is unclear as to whether this is still the objective of
the measure, it appears from the statement of compatibility that there may also
be additional objectives that are being pursued by the measure including to
create savings to allow expenditure in other key areas of benefit to families.[7] These objectives may also be considered legitimate objectives for the purposes
of international human rights law.
1.14
Yet, there are some aspects of the 2016 bill that raise questions as to
the proportionality of the reintroduced measures. As set out above at [1.10],
the provisions in the bill will take effect from the first 1 January, 1 April,
1 July or 1 October after the bill receives Royal Assent. The 2015 bill
allowed a period of approximately one year from the date of introduction of the
bill for the proposed measures to come into effect, ensuring expectant parents
who had planned care arrangements around the existing parental leave provisions
would not be affected by the changes. The 2016 bill contains a significant
reduction in the period of time before the provisions would take effect.
Accordingly, it has the potential to reduce the amount of payments for
expectant parents, or recent parents, who may have been anticipating both
employer-provided parental leave and PPL payments and made leave arrangements
and other plans accordingly. The statement of compatibility for the bill does
not explain why there has been a reduction in the proposed time period prior to
the entry into force of the measures. The potential adverse impact of the
measures, specifically on parents who are currently pregnant, or have recently
had a baby, may affect the proportionality of the 2016 bill.
Committee comment
1.15 On the basis of information provided by the minister, the previous
human rights assessments of the 2014 and 2015 bills concluded that proposed
restrictions to the paid parental leave scheme were compatible with human
rights.
1.16 However, in the 2016 bill the proposed period of time before which
the measures would enter into force has been reduced from the previous 2015
bill. The statement of compatibility has not identified or addressed this
issue.
1.17 The committee observes that the preceding legal analysis raises
questions as to whether the reduction in time before the measures take effect
is proportionate in the context of the scheme. That is, the committee has
concerns as to whether the limitations on human rights imposed by restrictions
to the paid parental leave scheme remain proportionate in light of this change.
1.18 The committee therefore seeks the advice of the Minister for Social
Services as to whether the limitation is a reasonable and proportionate measure
for the achievement of its stated objective, and in particular, why it is
necessary to reduce the period of time before the proposed measures will enter
into force.
Privacy Amendment (Notifiable Data Breaches) Bill 2016
Purpose
|
Proposes to amend the Privacy
Act 1988 to impose a data breach notification requirement on entities
regulated by the Act
|
Portfolio
|
Attorney-General
|
Introduced
|
House of Representatives,
19 October 2016
|
Rights
|
Privacy; effective remedy
(see Appendix 2)
|
Background
1.19
The Privacy Amendment (Notifiable Data Breaches) Bill 2016 (the bill)
seeks to impose a mandatory data breach notification requirement on entities
regulated by the Privacy Act 1988 (Privacy Act).[8] A data breach arises where there has been unauthorised access to, or
unauthorised disclosure of, personal information about one or more individuals,
or data is lost in circumstances likely to give rise to unauthorised access or
disclosure. Failure to comply with these obligations is deemed to be an
interference with the privacy of an individual for the purposes of the Privacy
Act. The bill allows for a number of exceptions to this mandatory notification
requirement.[9]
1.20
The statement of compatibility notes that the bill promotes the right to
privacy by providing the protection of the law against unlawful interference
with privacy.[10]
Accessing personal data and the right to an effective remedy
1.21
A mandatory data breach notification scheme, requiring certain entities
to notify persons if their personal information may have been interfered with,
promotes the right to privacy. It also promotes the right to an effective
remedy as knowledge of a data breach enables an affected person to bring legal
proceedings if appropriate.
1.22
The bill appears to address the government's intention, earlier
expressed to the committee in the context of the committee's consideration of
the Telecommunications (Interception and Access) Amendment (Data Retention)
Bill 2014 (TIA bill), to introduce legislation to enact a mandatory data breach
notification scheme. [11]
1.23
In the committee's consideration of the TIA bill in its Thirtieth
report of the 44th Parliament, the committee welcomed the
Attorney-General's advice that such legislation would be introduced. The
committee noted that, depending on the extent of the notification scheme, such
a bill may address many of the committee's concerns in relation to that bill as
to whether a person could seek redress in respect of breaches of their right to
privacy and freedom of expression relating to the interception of their
telecommunications data.[12] The committee also noted that it would assess any such proposed legislation in
future to determine whether it addresses these concerns.[13]
1.24
In its conclusion of its consideration of the TIA bill, the committee
also noted that a mechanism that ensures that individuals are notified when
their telecommunications data has been accessed is essential to ensuring that
persons are able to exercise their right to an effective review.[14]
1.25
However, the current bill applies only to unauthorised access to, or
disclosure of, personal information or data loss. It does not apply to lawful
interception of telecommunications data pursuant to the Telecommunications
(Interception and Access) Act 1979.
Committee comment
1.26 The bill imposes data breach notification requirements on entities
regulated by the Privacy Act, and in so doing, promotes the right to privacy
and is likely to be compatible with international human rights law.
1.27 The committee notes that the Attorney-General previously advised the
committee that the government would be introducing a mandatory data breach
notification scheme in the context of the interception of telecommunications
data. The committee responded at the time that a mechanism ensuring that
individuals are notified when their telecommunications data has been accessed
is essential to ensuring that people are able to exercise their right to an
effective remedy (which applies whether their data has been accessed lawfully
or unlawfully).
1.28 The current notification requirements do not apply to the lawful
interception of telecommunications data. The committee therefore seeks the
Attorney-General's advice as to whether the bill could be amended to ensure individuals
are notified when their telecommunications data has been lawfully accessed
(noting that there may be circumstances where such notification would need to
be delayed to avoid jeopardising any ongoing investigation).
Social Services Legislation Amendment (Transition Mobility Allowance to the
National Disability Insurance Scheme) Bill 2016
Purpose
|
Proposes to amend the Social
Security Act 1991 and the Social Security (Administration) Act 1999 to restrict the eligibility criteria for mobility allowance, to provide that
the allowance will no longer be payable to individuals who transition to the
National Disability Insurance Scheme (NDIS) and to close the mobility
allowance program from 1 July 2020
|
Portfolio
|
Social Services
|
Introduced
|
House of Representatives,
13 October 2016
|
Right
|
Equality and
non-discrimination (see Appendix 2)
|
Discontinuing the mobility allowance program
1.29
Schedule 1 of the bill seeks to amend the Social Security Act 1991 to replace the current definitions which determine who is qualified to receive
mobility allowance. Mobility allowance is a payment designed to assist with
transport costs for persons with a disability who participate in work and
certain approved activities and who are unable to use public transport without
substantial assistance.
1.30
The amendments will provide that the mobility allowance provisions only
apply to persons aged between 16 and 65 (the current age requirement is only
that the person be over 16). This eligibility criterion would apply to new
claimants from 1 January 2017. The bill also provides that the mobility
allowance will cease on 1 July 2020 consistent with the transition
from the mobility allowance to the NDIS.
Compatibility of the measure with
the right to equality and non-discrimination
1.31
It is acknowledged that the transition to the NDIS generally promotes
the rights of persons with disabilities and may involve the reallocation of
resources. However, limiting access to the mobility allowance so that those
aged over 65 would no longer quality for this additional allowance engages and
limits the right to equality and non-discrimination on the basis of age.[15]
1.32
The statement of compatibility addresses the issue of age
discrimination. It explains that the amendment is intended to provide
consistency with the access requirements for the NDIS, which applies to persons
under the age of 65, and:
The National Disability Insurance Scheme is part of a broader
system of support available in Australia and persons over the age of 65 who are
not eligible for assistance through the National Disability Insurance Scheme
can access support through the aged care system. This limitation is reasonable
and necessary because it supports the broader intent of an integrated system of
support operating nationally and providing seamless transition through
different phases of life.[16]
1.33
The statement of compatibility also addresses transitional arrangements
for those recipients of the mobility allowance who turn 65 prior to the
discontinuation of the mobility allowance program in 2020. These recipients
will not be affected by the change, and can continue to be paid the mobility
allowance. The statement of compatibility then states:
Once the mobility allowance program is
closed, any remaining recipients will either transition to the National
Disability Insurance Scheme or be supported under continuity of support
arrangements. Funding for continuity of support arrangements includes current
recipients aged 65 or over who will be ineligible to transition to the National
Disability Insurance Scheme.[17]
1.34
It is not clear from the statement of compatibility what the 'continuity
of support arrangements' for those over 65 years will be once the mobility
allowance program is closed. It is also not explained whether those aged 65 and
older who are not receiving mobility allowance when the program is closed (but
who would qualify for support under the existing law) will be eligible to
receive comparable support through the aged care system.
Committee comment
1.35 While the transition to the NDIS
generally promotes the rights of persons with disabilities, the
preceding legal analysis raises questions as to the compatibility of the
measure with the right to equality and non-discrimination on the basis of age.
1.36 The committee seeks the minister's advice as to whether the
'continuity of support' arrangements for existing recipients of mobility
allowance provides for the same level of support as that existing under the
current allowance.
1.37 The committee also seeks the minister's advice as to whether there is
comparable assistance under the aged care system for persons aged 65 and older
to participate in work and other approved activities (given there may be
persons who are not currently receiving the allowance and who, if the program
were not closed, would otherwise be eligible to receive mobility allowance).
Australian Public Service Commissioner's Directions 2016 [F2016L01430]
Purpose
|
Prescribes standards which
Agency Heads and Australian Public Service (APS) employees must comply with
to meet their obligations under the Public Service Act 1999
|
Portfolio
|
Prime Minister and Cabinet
|
Authorising legislation
|
Public Service Act 1999
|
Last day to disallow
|
30 November 2016
|
Rights
|
Privacy (see Appendix 2)
|
Background
1.38
The committee reported on the Australian Public Service Commissioner's
Directions 2013 [F2013L00448] (the 2013 directions) in its Sixth Report of
2013;[18] and on the Australian Public Service Commissioner's Amendment (Notification of
Decisions and Other Measures) Direction 2014 [F2014L01426] (the amendment
direction) in its Eighteenth and Twenty-first Reports of the 44th Parliament.[19]
1.39
The 2013 directions provided, among other things, for the notification
in the Public Service Gazette (the Gazette) of certain employment decisions.
The committee raised concerns about the compatibility of these measures,
particularly in relation to the publication of decisions to terminate
employment and the grounds for termination, with the right to privacy and the
rights under the Convention on the Rights of Persons with Disabilities (CRPD).
1.40
In response to these concerns, the Australian Public Service
Commissioner (the Commissioner) conducted a review of the 2013 directions. As a
result, the 2013 directions were amended to remove
most of the requirements to publish termination decisions. However, the
requirement to notify termination on the grounds of the breach of the Code of Conduct
in the Gazette was retained.
1.41
In its previous report, the committee acknowledged that the amendment
direction addressed the committee's concerns in relation to their compatibility
with the CRPD, and largely addressed the committee's concerns in relation to
their compatibility with the right to privacy. However, the committee
considered that the retained measure to publish details of an APS employee when
their employment has been terminated on Code of Conduct grounds limited the
right to privacy.
Publishing termination decision for breach of the Code of Conduct
1.42
Paragraph 34(1)(e) of the Australian Public Service Commissioner's
Directions 2016 (the directions) provides that decisions to terminate the
employment of an ongoing APS employee for breach of the Code of Conduct must be
published in the Gazette.
Compatibility of the measure with
the right to privacy
1.43
The right to privacy encompasses respect for informational
privacy, including the right to respect for private information and private
life, particularly the use and sharing of such information. The requirement to
publish details of an APS employee when their employment has been terminated on
the grounds of breach of the Code of Conduct in the Gazette engages and limits
the right to privacy.
1.44
The statement of compatibility to the directions states that the
notification of certain employment decisions in the Gazette promotes APS
employees' right to privacy insofar as there is an option for agency heads to
decide that a name should not be included in the Gazette because of the
person's work-related or personal circumstances.
1.45
As a matter of human rights law, it is not accurate to say that
the measure promotes the right to privacy. Rather, the requirement arising from
paragraph 34(1)(e) of the directions is a limit on the right to privacy, albeit
one that may be justified as reasonable and proportionate. The statement of
compatibility may be understood to mean that the limitation on the right to
privacy is a reasonable and proportionate one, because there is an option for
agency heads not to include a person's name in the Gazette, and therefore a
permissible limit under human rights law. However the statement of
compatibility provides no assessment of why the requirement arising from
paragraph 34(1)(e) of the directions is a reasonable and proportionate
limitation.
1.46
The committee's usual expectation is that, where a measure limits a
human right, the accompanying statement of compatibility provides a reasoned
and evidence-based explanation of how the measure supports a legitimate
objective, is rationally connected to that objective and is a proportionate way
to achieve that objective.
1.47
As noted with respect to the amendment direction, the committee accepts
that maintaining public confidence in the good management and integrity of the
APS is likely to be a legitimate objective for the purposes of international
human rights law.[20] However, it is unclear how the measure is rationally connected to and
proportionate to this objective.
1.48
Neither the statement of compatibility nor the Commissioner's response
to the committee's previous inquiries provides significant evidence as to how
publishing personal information would achieve its stated objective of showing
that the APS deals properly with serious misconduct. It could be argued that
the publishing of personal information contributes to showing that the APS
deals properly with serious misconduct, by making a public demonstration of the
APS's commitment to, and enforcement of, the Code of Conduct. However, the
statement of compatibility does not consider whether there are other, less
restrictive ways to achieve the same aim.
1.49
The measures would allow APS agencies and other employers to check the
employment records of applicants for employment for any history of misconduct.
However, there are other methods by which an employer could determine whether a
person has been dismissed from the APS for breach of the Code of Conduct,
rather than publishing an employee's personal details in the Gazette. For
example, it would be possible for the APS to maintain a centralised, internal
record of dismissed employees, or to use references to ensure that a previously
dismissed APS employee is not rehired by the APS. Indeed, these measures may be
more likely to be of use in the hiring process than an employer searching past
editions of the Gazette.
1.50
Further, it would be possible to publish information in relation to the
termination of employment for breaches of the Code of Conduct without the need
to name the affected employee (noting that the limitation on the right to
privacy occurs because the name of the person whose employment has been
terminated is listed in the Gazette). The statement of compatibility does not
explain why other less rights restrictive means cannot be used.
Committee comment
1.51 The committee notes that publishing details of an Australian Public
Service employee when their employment has been terminated for breach of the
Code of Conduct engages and limits the right to privacy. The statement of
compatibility has not identified or addressed this limitation.
1.52 The committee observes that the preceding legal analysis raises
questions as to whether there are other less rights restrictive means available
to achieve the stated objective.
1.53 The committee therefore seeks the advice of the Australian Public
Service Commissioner as to whether the limitation is a reasonable and
proportionate measure for the achievement of the apparent objective, and in
particular, whether there are other less rights restrictive means to achieve
the stated objective.
Further response required
1.54
The committee seeks a further response from the relevant minister or
legislation proponent with respect to the following bills and instruments.
Criminal Code Amendment (High Risk Terrorist Offenders) Bill 2016
Purpose
|
Proposes to establish a
scheme to permit the continuing detention of 'high risk terrorist offenders'
at the conclusion of their custodial sentence
|
Portfolio
|
Attorney-General
|
Introduced
|
Senate, 15 September 2016
|
Rights
|
Liberty; freedom from
arbitrary detention; right to humane treatment in detention; prohibition on
retrospective criminal laws (see Appendix 2)
|
Previous reports
|
7 of 2016
|
Background
1.55
The committee reported on the Criminal Code Amendment (High Risk
Terrorist Offenders) Bill 2016 in its Report 7 of 2016, and requested
further information from the Attorney-General in relation to the human rights
issues identified in that report.[21]
1.56
In order to conclude its assessment of the bill while it
is still before the Parliament, the committee requested that the
Attorney-General's response be provided by 27 October 2016. However, a
response was not received by this date.
1.57
Accordingly, the committee reiterates its previous request for further
information and seeks an additional response as outlined below.[22]
Continuing detention of persons currently imprisoned
1.58
The bill proposes to allow the Attorney-General (or a legal
representative) to apply to the Supreme Court of a state or territory for an
order providing for the continued detention of individuals who are imprisoned
for particular offences under the Criminal Code Act 1995 (Criminal
Code).[23] The Attorney-General may also apply for an interim detention order pending the
hearing of the application for a continuing detention order.[24] The effect of these orders is that a person may be detained in prison after the
end of their custodial sentence.[25]
1.59
The particular offences in respect of which a person may be subject to
continuing detention will include:
- international terrorist activities using explosive or lethal
devices;[26]
- treason;[27] and
- a 'serious offence' under Part 5.3,[28] or an offence under Part
5.5,[29] of the Criminal Code.
1.60
Individuals who have committed crimes under these sections of the
Criminal Code are referred to in the bill as 'terrorist offenders'.
1.61
The court is empowered to make a continuing detention order where:
- an application has been made by the Attorney-General or their legal
representative for the continuing detention of a 'terrorist offender';
- after having regard to certain matters,[30] the court is satisfied to a high degree of probability, on the basis of
admissible evidence, that the offender poses an unacceptable risk of committing
a serious Part 5.3 offence if the offender is released into the community;
and
- the court is satisfied that there is no other less restrictive measure
that would be effective in preventing the unacceptable risk.[31]
1.62
The Attorney-General bears the onus of proof in relation to the above
criteria.[32] The standard of proof to be applied is the civil standard of the balance of
probabilities.[33]
1.63
While each detention order is limited to a period of up to three years,
further applications may be made and there is no limit on the number of
applications.[34] This means that a person's detention in prison could be continued for an
extended period of time.
1.64
This bill provides that a person detained under a continuing detention
order must not be held in the same area or unit of the prison as those
prisoners who are serving criminal sentences, unless it is necessary for
certain matters set out in proposed section 105A.4(2).[35]
1.65
The measure allows ongoing preventative detention of individuals who
will have completed their custodial sentence. The previous analysis observed
that the use of preventative detention, that is, detention of individuals that
does not arise from criminal conviction but is imposed on the basis of future
risk of offending, is a serious measure for a state to take.
1.66
While noting that the measure engages and limits a range of human
rights, the focus of the initial human rights assessment was on the right to
liberty, which includes the right to be free from arbitrary detention. Forms of
detention that do not arise from a criminal conviction are permissible under
international law, for example, the institutionalised care of persons suffering
from mental illness. However, the use of such detention must be carefully
controlled: it must reasonable, necessary and proportionate in all the
circumstances to avoid being arbitrary, and thereby unlawful under article 9 of
the International Covenant on Civil and Political Rights (ICCPR).
1.67
The initial human rights analysis noted that post-sentence preventative
detention of persons who have been convicted of a criminal offence may be
permissible under international human rights law in carefully circumscribed
circumstances.[36] The UN Human Rights Committee (UNHRC) has stated that:
...to avoid arbitrariness, the additional
detention must be justified by compelling reasons arising from the gravity of
the crimes committed and the likelihood of the detainee's committing similar
crimes in the future. States should only use such detention as a last resort
and regular periodic reviews by an independent body must be assured to decide
whether continued detention is justified. State parties must exercise caution
and provide appropriate guarantees in evaluating future dangers. The conditions
in such detention must be distinct from the conditions for convicted prisoners
serving a punitive sentence and must be aimed at the detainee's rehabilitation
and reintegration into society.[37]
1.68
The initial analysis stated that the question therefore is
whether the proposed preventative detention regime is necessary and proportionate,
and not arbitrary within the meaning of article 9, bearing in mind the specific
guidance in relation to post-sentence preventative detention.
1.69
For the purposes of this initial analysis, it was accepted that
the proposed continuing detention order regime pursues the legitimate objective
of 'protecting the community from the risk of terrorist attacks',[38] and the measure is rationally connected to this stated objective in the sense
that the individual subject to an interim or continuing detention order will be
incapacitated while imprisoned. However, the initial analysis reasoned that
questions arise as to whether the regime contains sufficient safeguards to
ensure that preventative detention is necessary and proportionate to this
objective.
1.70
The proposed continuing detention order regime shares significant
features with the current continuing detention regimes that exist in New South
Wales (NSW),[39] and Queensland.[40] These state regimes apply in respect of sex offenders and/or 'high risk violent
offenders' and have the following elements:
- the Attorney-General or the state may apply to the Supreme Court
for a continuing detention order for particular classes of offenders;[41]
- the application must be accompanied by relevant evidence;[42]
- the effect of the continuing detention order is that an offender
is detained in prison after having served their custodial sentence in relation
to the offence;[43]
- the court may make a continuing detention order if it is
satisfied to a 'high degree of probability' that the offender poses an 'unacceptable
risk' of committing particular offences;[44]
- in determining whether to make the continuing detention order,
the court must have regard to a list of factors;[45]
- the court must consider whether a non-custodial supervision order
would be adequate to address the risk;[46]
- the term of continuing detention orders can be made for extended
periods of time;[47] and
- the availability of periodic review mechanisms.[48]
1.71
As noted in the previous analysis, these continuing detention schemes
were the subject of individual complaints to the UNHRC in Fardon v Australia,[49] and Tillman v Australia.[50] In Fardon v Australia, the author of the complaint had been convicted of
sex offences in 1989 and sentenced to 14 years imprisonment in Queensland. At
the end of his sentence, the complainant was the subject of continuing
detention from June 2003 to December 2006. In Tillman v Australia the
complainant was convicted of sex offences in 1998 and sentenced to 10 years'
imprisonment in NSW. At the end of his sentence, the complainant was the
subject of a series of interim detention orders, and finally a continuing
detention order of one year (effectively for a period from May 2007 until July
2008).
1.72
The UNHRC found that the continued detention in both cases was arbitrary
in violation of article 9 of the ICCPR. In summary, the UNHRC identified the
following as relevant to reaching these determinations:
- as the complainants remained incarcerated under the same prison
regime the continued detention effectively amounted to a fresh term of
imprisonment or new sentence. This was not permissible if a person has not been
convicted of a new offence; and is contrary to the prohibition against
retrospective criminal laws (article 15 of the ICCPR), particularly as in both
instances the enabling legislation was enacted after the complainants were
first convicted;
- the procedures for subjecting the complainants to continuing
detention were civil in character, despite an effective penal sentence being
imposed. The procedures therefore fell short of the minimum guarantees in
criminal proceedings prescribed in article 14 of the ICCPR;
- the continued detention of offenders on the basis of future
feared or predicted dangerousness was 'inherently problematic'. The application
process for continuing detention orders required the court to 'make a finding
of fact on the suspected future behaviour of a past offender which may or may
not materialise.' The complainants' predicted future offending was based on
past conduct, for which they had already served their sentences; and
- the state should have demonstrated that the complainant could not
have been rehabilitated by means other than detention which were less rights
restrictive.
1.73
The UNHRC's findings and the Australian government's formal response
were not referred to in the statement of compatibility.
1.74
The previous analysis stated that a number of the concerns about the NSW
and Queensland schemes are relevant to an assessment of the current continuing
detention proposal, including:
- individuals currently incarcerated may be subject to continuing
detention contrary to the prohibition on retrospective criminal law;
- the civil standard of proof applies to proceedings (that is, the
standard of the balance of probabilities rather than the criminal standard of
beyond reasonable doubt);[51] and
- the difficulties arising from the court being asked to make a
finding of fact in relation to the risk of future behaviour.
1.75
The analysis noted that there are however two points of difference to
the NSW and Queensland schemes.
1.76
First, the bill provides that a person detained under a continuing
detention order must not be held in the same area or unit of the prison as
those prisoners who are serving criminal sentences, except in certain
circumstances. This safeguard appears to respond to one of the bases upon which
the state-level regimes were incompatible with article 9, namely, that the
applicants were incarcerated within the same prison regime, and therefore their
preventative detention in effect constituted a fresh term of imprisonment after
they had served their sentence. However, it is noted the bill nonetheless does
provide that persons subject to continuing detention orders are to be detained
in prison and that there is a series of circumstances in which they may be
detained in the same area or unit as those prisoners serving criminal
sentences.
1.77
Second, the bill requires that a court may only make a continuing
detention order if satisfied that there is 'no other less restrictive measure
that would be effective in preventing the unacceptable risk'.[52] Accordingly, the bill appears to incorporate some aspects of the test of
proportionality under international human rights law.[53]
1.78
The initial analysis noted that this aspect of the bill appears to be a
safeguard against the use of a continuing detention order in circumstances
where an alternative to detention is available. However, it is not apparent from
the bill how this safeguard would operate in practice including whether and how
the court would be able to assess or provide for less restrictive alternatives.
Under the NSW and Queensland regimes, if satisfied that a prisoner is a serious
danger to the community (in Queensland) or is a high risk sex offender or high
risk violent offender (in NSW), it is open to a court to make either a
continuing detention order or a supervision order.[54] By contrast, the bill does not empower the court to make an order other than a
continuing detention order.[55]
1.79
Further, the previous analysis noted that the proposed legislative test
requires consideration of whether the continuing detention order is the least
rights restrictive only at the particular point of time at which it is being
contemplated by the court, at or towards the end of the sentence. It is likely
that interventions might be possible earlier in respect of a particular
offender, such as effective de‑radicalisation and rehabilitation
programs. Including a requirement to consider this type of intervention, both
prior to and after making any continuing detention order, would support an
assessment of the proposed regime as proportionate, particularly that
post-sentence detention is provided as a measure of last resort and is aimed at
the detainee's rehabilitation and reintegration into society.
1.80
Finally, in the proposed scheme the assessment of 'unacceptable risk' is
crucial in determining whether the court is empowered to make a continuing
detention order. As the risk being assessed relates to future conduct there are
inherent uncertainties in what the court is being asked to determine, akin to
the concerns in Fardon v Australia and Tillman v Australia. The
bill provides for the court to obtain expert evidence in reaching a
determination in relation to risk, though given the nature of the task inherent
uncertainties with risk assessments remain.[56] Other jurisdictions have sought to minimise these uncertainties by recommending
that a 'Risk Management Monitor' be established to undertake a range of
functions including developing best practices for risk assessments; developing
guidelines and standards; validating new assessment tools; providing for
procedures by which experts become accredited for assessing risk; providing
education and training in the assessment of risk; and developing risk
management plans.[57] Such a body is intended to act as a safeguard in relation to the quality of
risk assessments.
1.81
The committee noted that the bill contains certain safeguards which may support
an assessment that the regime of continuing detention orders is necessary,
reasonable and proportionate; however, the analysis above raises questions
regarding the adequacy of these safeguards, particularly in light of the
UNHRC's determinations in relation to the state-level regimes.
1.82
Accordingly, the committee sought the advice of the Attorney-General as
to the extent to which the proposed scheme addresses the specific concerns
raised by the UNHRC as set out at [1.72] in respect of existing post-sentencing
preventative detention regimes.
1.83
The committee further sought the advice of the Attorney-General as to
how the court's consideration of less restrictive measures pursuant to proposed
section 105A.7 is intended to operate in practice, including:
- what types of less restrictive measures may be considered by the
court;
- what options might be available to the court to assess or make
orders in relation to the provision of less restrictive alternatives; and
- whether the Attorney-General will consider whether there are less
restrictive alternatives in deciding whether to make an application for a
continuing detention order.
1.84
The committee also sought the advice of the Attorney-General as to the
feasibility of the following recommendations:
- to address concerns regarding the application of the civil
standard of proof to proceedings, that the bill be amended to provide for a
criminal standard of proof (as currently is the case under the Dangerous
Sexual Offenders Act 2006 (WA), section 40);
- to assist in addressing concerns regarding assessments of future
'unacceptable risk', that a Risk Management Monitor be established including
the functions outlined at [1.80];
- to assist in addressing concerns regarding the application of
retrospective criminal laws (article 15 of the ICCPR), that the bill be amended
to only apply to new offenders; and
- that the bill be amended to ensure the availability of
rehabilitation programs to offenders that may be subject to the continuing
detention order regime.
1.85
In the absence of this information, it is not possible to conclude that
the proposed continuing detention regime is compatible with the right to
liberty.
Committee response
1.86 The committee observes that the proposed continuing detention regime
engages and limits the right to liberty, and that the statement of compatibility
did not sufficiently justify this limitation.
1.87 The UNHRC has previously found that substantially similar existing
preventative detention regimes in Queensland and NSW were incompatible with the
right to be free from arbitrary detention and lacked sufficient safeguards.
1.88 A response was not received from the Attorney-General regarding
the human rights issues identified in the committee's initial assessment of the
bill. The committee remains concerned that the measure may not be compatible
with the right not to be subject to arbitrary detention.
1.89 The committee therefore seeks the further advice of the
Attorney-General in relation to the proposed scheme, including the specific
matters set out in its previous request at [1.82].
1.90 The committee seeks the further advice of the Attorney-General in
relation to the following possible amendments which may assist with the human
rights compatibility of the scheme:
- to address concerns about whether the court would be empowered
to make orders in relation to the provision of less restrictive alternatives,
that the bill be amended to provide for alternative orders;
- to assist with concerns about whether continuing detention
would be the least rights restrictive in an individual case, that the bill be
amended to provide that, prior to making an application for a continuing
detention order, the Attorney-General should be satisfied that there is no
other less restrictive measure to address any risk;
- to address concerns regarding the application of the civil
standard of proof to proceedings, that the bill be amended to provide for a
criminal standard of proof (as currently is the case under the Dangerous
Sexual Offenders Act 2006 (WA), section 40);
- to assist in addressing concerns regarding assessments of
future 'unacceptable risk', that a Risk Management Monitor be established
including the functions outlined at [1.80];
- to assist in addressing concerns regarding the application of
retrospective criminal laws (article 15 of the ICCPR), that the bill be amended
to only apply to new offenders; and
- that the bill be amended to ensure the availability of
rehabilitation programs to offenders that may be subject to the continuing
detention order regime.
Advice only
1.91
The committee draws the following bills and instruments to the
attention of the relevant minister or
legislation proponent on an advice only basis. The committee does not require a
response to these comments.
Australian Postal Corporation (Unsolicited Political Communications) Bill
2016
Purpose
|
Proposes to amend the Australian
Postal Corporation Act 1989 to prevent Australia Post from
delivering unaddressed political material to a premises where a sticker or
sign specifically requests that unaddressed mail or political material not be
delivered
|
Sponsor
|
Mr Wilkie MP
|
Introduced
|
House of Representatives,
17 October 2016
|
Rights
|
Freedom of expression; take
part in public affairs (see Appendix 2)
|
Preventing delivery of unaddressed political materials
1.92
The bill would prevent Australia Post delivering unaddressed political
materials to a premises if there is a sign displayed at that premises
requesting that unaddressed or political material not be delivered.
Compatibility of the measure with
human rights
1.93
The right to freedom of expression as set out in article 19 of the
International Covenant on Civil and Political Rights (ICCPR) extends to the
communication of information or ideas through any medium, including written and
oral communications, the media, public protest, broadcasting, artistic works
and commercial advertising. The United Nations Human Rights Committee further
sets out in its General Comment No. 25 that the right is particularly important
in the context of public and political affairs:
In order to ensure the full enjoyment of rights protected by
article 25 [the right to take part in public affairs], the free communication
of information and ideas about public and political issues between citizens,
candidates and elected representatives is essential. This implies a free press
and other media able to comment on public issues without censorship or
restraint and to inform public opinion. It requires the full enjoyment and
respect for the rights guaranteed in articles 19, 21 and 22 of the Covenant,
including freedom to engage in political activity individually or through
political parties and other organizations, freedom to debate public affairs, to
hold peaceful demonstrations and meetings, to criticize and oppose, to publish
political material, to campaign for election and to advertise political ideas.[58]
1.94
Any restrictions on the distribution of political materials therefore
engages and limits the right to freedom of expression, as political parties and
candidates should be able to freely communicate information or opinions to the
public prior to elections without undue restriction.
1.95
The statement of compatibility for the bill sets out that any
restrictions on the right to freedom of expression are 'considered fair and
reasonable in order to protect the rights of others'.[59] However, it does not set out a justification for the limitation in line with
the committee's analytical framework, including whether or not the measure
pursues a legitimate objective for the purposes of international human rights
law, whether the measure is rationally connected to its stated objective, and
whether it is a proportionate means of achieving this objective.
1.96
Further, given that the measure relates to political material, the
measure also engages and may limit the right to take part in public affairs as
set out in article 25 of the ICCPR. This right is an essential part of a
democratic government that is accountable to the people, and requires other
rights such as freedom of expression, association and assembly to be respected
in order for it to be meaningful. As such, any restriction on the communication
of voting information, electoral materials, or political communication may
serve to limit the ability of citizens to fully and effectively take part in
elections and exercise their enjoyment of this right.
1.97
The statement of compatibility to the bill does not address the
engagement of the right to take part in public affairs, and so does not provide
any justification for any potential limitation.
Committee comment
1.98 Noting the human rights concerns identified in the preceding legal
analysis in relation to the bill, the committee draws the human rights
implications of the bill to the attention of Mr Wilkie MP and the Parliament.
1.99 If the bill proceeds to further stages of debate, the committee may
request further information from the legislation proponent.
Criminal Code Amendment (Firearms Trafficking) Bill 2016
Purpose
|
Proposes to amend the Criminal
Code Act 1995 to provide for mandatory minimum sentences and increased
maximum penalties for the offences of trafficking firearms or firearms parts
within Australia, and into and out of Australia
|
Portfolio
|
Justice
|
Introduced
|
Senate, 15 September 2016
|
Rights
|
Security of the person and
freedom from arbitrary detention; fair trial and fair hearing (see Appendix
2)
|
Background
1.100
The committee previously considered these measures in its Tenth
Report of the 44th Parliament, Fifteenth Report of the 44th
Parliament, Nineteenth Report of the 44th Parliament, Twenty-second
Report of the 44th Parliament, Twenty-fourth Report of the 44th
Parliament, and Thirty-third Report of the 44th Parliament.[60] The bill was reintroduced to the Senate on 31 August 2016, in identical form,
following the commencement of the 45th Parliament.
1.101
The previous human rights analysis of the measures requested further
information from the minister in relation to mandatory minimum sentences, and
the imposition of strict liability and absolute liability elements of the
proposed offences.
1.102
The committee was able to conclude that the strict liability and
absolute liability elements of the proposed offences were compatible with human
rights on the basis of additional information provided by the minister.[61] The analysis regarding mandatory minimum sentences is set out below.
Mandatory minimum sentences for international firearms and firearm parts
trafficking offences
1.103
The bill proposes to introduce new offences into the Criminal Code
Act 1995 of trafficking prohibited firearms and firearm parts
into and out of Australia (proposed Division 361). The proposed amendments also
extend the existing offences of cross-border disposal or acquisition of a
firearm and taking or sending a firearm across borders within Australia to
include firearm parts as well as firearms (Division 360).
1.104
A mandatory minimum five year term of imprisonment for the new offences
in Division 361 as well as for existing offences in Division 360 would also be
inserted.
Compatibility of the measure with
human rights
1.105
Mandatory minimum sentences of imprisonment engage the right to be free
from arbitrary detention.[62] The notion of 'arbitrariness' under international human rights law includes
elements of inappropriateness, injustice and lack of predictability. In order
for detention not to be considered arbitrary in international human rights law
it must be reasonable, necessary and proportionate in the individual case.
Detention may be considered arbitrary where it is disproportionate to the crime
that has been committed (for example, as a result of a blanket policy). As
mandatory sentencing removes judicial discretion to take into account all of
the relevant circumstances of a particular case, it may lead to the imposition
of disproportionate or unduly harsh sentences of imprisonment.
1.106
The proposed mandatory minimum sentencing provisions also engage and
limit article 14(5) of the International Covenant on Civil and Political
Rights, which protects the right to have a sentence reviewed by a higher
tribunal (right to a fair trial). This is because mandatory sentencing prevents
judicial review of the severity or correctness of a minimum sentence.
1.107
The previous human rights assessment of the measure noted that mandatory
minimum sentencing would not apply to children and that the proposed measures
do not impose a minimum non-parole period on offenders. Accordingly, the
measure preserves some of the court's discretion as to sentencing.
1.108
Nonetheless, following the committee's correspondence with the minister,
the previous human rights assessment of the bill concluded that the
proposed mandatory minimum sentencing provisions were likely to be incompatible
with the right not to be arbitrarily detained and the right to a fair trial:
information from the minister had not shown that mandatory minimum sentencing
is necessary in pursuit of the stated objective, and that less restrictive
measures would not achieve the same result.[63]
1.109
In so doing, the previous analysis included concerns that the mandatory
minimum sentence may be seen by courts as a 'sentencing guidepost', which is to
say, the appropriate sentence for the least serious case. Further, it noted
that courts may feel constrained to impose a non-parole period that is in the
usual proportion to the head sentence. This is generally two-thirds of the head
sentence (or maximum period of the sentence to be served).
1.110
The concluding comments on the measures recommended that, in the event
that mandatory minimum sentencing provisions are retained, the provision be
amended to clarify to the courts that the mandatory minimum sentence is not
intended to be used as a 'sentencing guidepost' and that there may be a
significant difference between the non-parole period and the head sentence.[64] This would ameliorate some of the concerns outlined at paragraph [1.109] above,
by ensuring that the scope of the discretion available to judges would be clear
on the face of the provision itself.
1.111
The minister subsequently undertook to amend the explanatory memorandum
to provide that 'the mandatory minimum sentence is not intended as a guide to
the non-parole period, which in some cases may differ significantly from the
head sentence'. This information was included in the revised explanatory
memorandum to the Crimes Legislation Amendment (Psychoactive Substances and
Other Measures) Bill 2014, and the explanatory memorandums of all subsequent
reintroductions of the measure.[65]
1.112
The previous human rights analysis considered that this step was likely
to provide some protection of judicial discretion in sentencing. However, the
committee also reiterated its recommendation that the legislation itself should
be amended to clarify the issue.[66]
Committee comment
1.113
The committee thanks the minister for his previous considered
engagement in relation to the issue of mandatory minimum sentencing and welcomes
the inclusion in the explanatory memorandum of a statement that 'the mandatory
minimum sentence is not intended as a guide to the non-parole period, which in
some cases may differ significantly from the head sentence'. This statement was
included following correspondence between the committee and the minister in
relation to these measures as part of the committee's examination of the Crimes
Legislation Amendment (Psychoactive Substances and Other Measures) Bill 2014.
1.114 The committee previously noted that while the inclusion of this
statement in the explanatory memorandum is likely to provide clarification of
the available judicial discretion in sentencing, the previous human
rights assessment of the measures concluded that the proposed mandatory
minimum sentencing provisions are likely to be incompatible with the right not
to be arbitrarily detained and the right to a fair trial.
1.115
The committee also notes its previous recommendation that, if
mandatory minimum sentencing was retained, the provisions themselves be amended
to clarify to the courts that the mandatory minimum sentence is not intended to
be used as a 'sentencing guidepost' and that there may be a significant
difference between the non-parole period and the head sentence.
1.116
Noting the human rights concerns raised by the bill, the committee
draws the human rights implications of the bill to the attention of the
Parliament.
Freedom to Marry Bill 2016
Purpose
|
Proposes to amend the Marriage
Act 1961 to define marriage as a union of two people and the Sex Discrimination
Act 1984 to provide that it is not unlawful for people who provide goods,
services or facilities for marriages to discriminate against someone because
of their sexual orientation, gender identity, intersex status, marital or
relationship status
|
Sponsor
|
Senator Leyonhjelm
|
Introduced
|
Senate, 13 September 2016
|
Right
|
Equality and
non-discrimination (see Appendix 2)
|
Discrimination in relation to marriage services
1.117
The bill seeks to amend the Marriage Act 1961 (Marriage Act) to
permit marriage between two people.[67] The bill also seeks to amend the Sex Discrimination Act 1984 (Sex
Discrimination Act) to permit people providing goods, services or facilities in
connection with the solemnisation of a marriage to discriminate against a
person because of their sexual orientation, gender identity, intersex status,
marital or relationship status. The focus of the below analysis is in relation
to the proposed changes to the Sex Discrimination Act; the human rights
implications of the proposed amendments to the Marriage Act are dealt with
elsewhere in this report.[68]
Compatibility of the measure with
the right to equality and non-discrimination
1.118
The right to equality and non-discrimination includes a requirement that
states have laws and measures in place to ensure that people are not subjected
to discrimination by others. The proposed amendments to the Sex Discrimination
Act engage and limit the right to equality and non-discrimination by seeking to
permit direct discrimination as described above.
1.119
The statement of compatibility describes the purpose of the bill as
being to allow all Australians the right to marry and states that the
amendments provide for 'freedom of conscience for people who provide goods,
services or facilities for marriages'.[69] However, it provides no assessment of the impact of the proposed amendments to
the Sex Discrimination Act on the right to equality and non‑discrimination
of the provision of goods, services or facilities in the context of the bill.
This does not meet the standards outlined in the committee's Guidance
Note 1, which require that, where a limitation on a right is proposed,
the statement of compatibility provides a reasoned and evidence-based
assessment of how the measure pursues a legitimate objective, is rationally
connected to that objective, and is proportionate.
Committee comment
1.120 The committee draws to the attention of the legislation proponent the
requirement for the preparation of statements of compatibility under the Human
Rights (Parliamentary Scrutiny) Act 2011, and the committee's expectations
in relation to the preparation of such statements as set out in its Guidance
Note 1.
1.121 If the bill proceeds to further stages of debate, the committee may
request further information from the legislation proponent.
Marriage Legislation Amendment Bill 2016
Marriage Legislation Amendment Bill 2016 [No. 2]
Purpose
|
Proposes to amend the Marriage
Act 1961 to define marriage as a union of two people
|
Sponsors
|
Marriage Legislation
Amendment Bill 2016: Mr Shorten MP
Marriage Legislation
Amendment Bill 2016 [No. 2]: Mr Bandt MP; Ms McGowan MP; Mr Wilkie MP
|
Introduced
|
Both bills were introduced
into the House of Representatives on 12 September 2016
|
Rights
|
Equality and
non-discrimination; freedom of religion; respect for the family (see Appendix
2)
|
Background
1.122
As both the text of the Marriage Legislation Amendment Bill 2016 and the
Marriage Legislation Amendment Bill 2016 [No. 2] (collectively, the bills) and
their explanatory memoranda are identical, this analysis considers both bills
together.
1.123
The bills are identical to the Marriage Legislation Amendment Bill 2015,
which the committee previously considered and reported on in its Thirtieth
report of the 44th Parliament.[70] This previous analysis is referred to below.
Changes to the Marriage Act to permit same-sex marriage
1.124
The bills seek to make a number of changes to the Marriage Act 1961 (Marriage Act) in order to permit same-sex couples to marry.
1.125
As noted in the previous analysis, the bills seek to remove the existing
domestic law prohibition on same-sex couples marrying. The committee's task is
to assess whether the removal of the prohibition on same-sex marriage is
compatible with Australia's human rights obligations. This is distinct from the
question of whether international human rights law recognises a right to same-sex
marriage, although this is explained as background below.
Compatibility of the measure with
the right to equality and non-discrimination
1.126
The statement of compatibility for each bill acknowledges that the right
to equality and non-discrimination is engaged 'because it extends the right to
marry to any two people regardless of sex, sexual orientation, gender identity
or intersex status'. On this basis, the statements of compatibility conclude
that the bills promote those rights.
1.127
Under article 26 of the International Covenant on Civil and Political
Rights (ICCPR), states are required to prohibit any discrimination and
guarantee to all people equal and effective protection against discrimination
on any ground. Article 26 lists a number of grounds as examples as to when
discrimination is prohibited, which includes sex and 'any other status'. While
sexual orientation is not specifically listed as a protected ground, the United
Nations Human Rights Committee (the UNHRC) has specifically recognised that the
treaty includes an obligation to prevent discrimination on the basis of sexual
orientation.[71]
1.128
By restricting marriage to between a man and a woman, the current
Marriage Act directly discriminates against same-sex couples on the basis of
sexual orientation. The bill proposes to remove this restriction.
1.129
International human rights law jurisprudence has not to date
recognised an obligation on states to grant access to same-sex marriage. The
committee's previous analysis noted that in Joslin v New Zealand (2002)
the UNHRC determined that the right to marry in article 23 of the ICCPR is
confined to a right of opposite-sex couples to marry.[72] However, international jurisprudence has
recognised that same-sex couples are equally as capable as opposite-sex couples
of entering into stable, committed relationships and are in need of legal
recognition and protection of their relationship.[73]
1.130
The previous analysis also acknowledged that, since Joslin v New
Zealand was decided in 2002, there has been a
significant evolution of the legal treatment of same-sex couples
internationally. The ICCPR is a living document and is to be interpreted
in accordance with contemporary understanding. The UNHRC has emphasised that
the ICCPR should be 'applied in context and in the light of present‑day
conditions'.[74] Accordingly, it may be argued that the definition of marriage under the ICCPR
is in the process of evolving to include same-sex marriage.
1.131
While international jurisprudence has not
recognised a right to same-sex marriage under international human rights law,
so that states would be required to remove any prohibition on same-sex
marriage, it is clear that a law which prohibits marriage on the grounds of
sexual orientation engages the right to equality and non‑discrimination.
By removing the current prohibition on same-sex couples marrying, the bill promotes the right to equality and non‑discrimination.
1.132
Given that discrimination on the grounds of sexual orientation is
recognised as a ground on which states are required to guarantee all persons
equal and effective protection against, the committee concluded that extending
the definition of marriage to include a union between two people (rather than
only for opposite-sex couples) promotes the right to equality and
non-discrimination.
Committee comment
1.133 The committee has previously concluded that
expanding the definition of marriage to include same-sex couples promotes the
right to equality and non‑discrimination.
1.134 The committee does not express a view as to the merits of
the bill as a whole or the principle of same sex marriage itself, both of which
are matters of individual conscience and on which there are differences of
opinion among members of the committee.
1.135 Noting these previous conclusions regarding the right to
equality and non‑discrimination, the committee draws the human rights
implications of this measure to the attention of the Parliament.
1.136 The committee notes that its attention was drawn to the
previous dissenting report in the Thirtieth report of the 44th Parliament.[75]
Compatibility of the measure with the right to freedom of religion
1.137
The previous human rights assessment considered that the measures engage
and limit the right to freedom of religion under article 18 of the ICCPR.
1.138
The Marriage Act currently grants a minister of religion of a recognised
denomination the discretion whether to solemnise a marriage. The bills would
amend the Marriage Act to extend this discretion to ensure that nothing in the
Marriage Act 'or in any other law' imposes an obligation on a minister of
religion to solemnise any marriage. The reference to 'any other law' extends to
federal anti‑discrimination laws. Accordingly, ministers of religion
would be free not to solemnise a same-sex marriage for any reason, including if
this was contrary to their religious beliefs.
1.139
Importantly, provided that a minister of religion is authorised by their
religion to solemnise marriages, they retain absolute discretion under the law
as to whether or not they wish to solemnise a particular marriage. This
individual discretion exists notwithstanding the particular view of same-sex
marriage that a denomination of religion has adopted.
1.140
In contrast, under the Marriage Act registered civil celebrants are
required to abide by existing anti-discrimination laws. The amendments in the
bill would mean that civil celebrants (who are not ministers of religion) would
be prohibited from refusing to solemnise same-sex marriages on the ground that
the couple are of the same sex. This would apply even if the civil celebrant
had a religious objection to the marriage of same-sex couples. In such a
circumstance, the proposed measure would engage and limit the right to freedom
of religion under article 18 of the ICCPR.
1.141
The previous analysis considered that the objective of the bill, in
allowing any two people to marry and thereby recognising the right of all
people to equality before the law, is a legitimate objective for the purposes
of international human rights law. It also considered that the measure is
clearly rationally connected to this objective. The central question is
whether, by providing an exemption from anti‑discrimination laws only for
ministers of religion and not for civil celebrants, the measure is
proportionate to the objective of promoting equality and non‑discrimination.
1.142
Article 18(3) of the ICCPR permits
restrictions on the freedom to manifest religion or belief only if limitations
are prescribed by law and are necessary to protect public safety, order, health
or morals, or the fundamental rights and freedoms of others.[76]
1.143
The UNHRC has concluded that the right to
exercise one's freedom of religion may be
limited to protect equality and non-discrimination.[77] As set out above, the right to
equality and non-discrimination has been extended to sexual orientation. The
previous human rights analysis considered that it is therefore permissible to
limit the right to exercise one's freedom
of religion in order to protect the equal and non‑discriminatory
treatment of individuals on the grounds of sexual orientation, provided that
limitation is proportionate.
1.144
In assessing the proportionality of the limitation, it is relevant that
civil celebrants, acting under the Marriage Act, are performing the role of the
state in solemnising marriages.[78] In Eweida and Ors v United Kingdom,[79] the
European Court of Human Rights dismissed Ms Ladele's complaint that she was
dismissed by a UK local authority (the Islington Council) from her job as a
register of births, death and marriages, because she refused on religious
grounds to have civil partnership duties of same-sex couples assigned to her.
The court upheld the finding of the UK courts that the right to freedom of
religion (under article 9 of the European Human Rights Convention) did not
require that Ms Ladele's desire to have her religious views respected should
'override Islington's concern to ensure that all its registrars manifest equal
respect for the homosexual community as for the heterosexual community.'[80]
1.145
Regarding the question of proportionality, the previous human rights
analysis considered that the measures appear to take the least rights
restrictive approach to the limit placed on the right to freedom of religion,
because they maintain the exception for ministers of religion to refuse to
solemnise a marriage on any basis. The absence of an exception for celebrants
who officiate a civil marriage ceremony aligns with the existing difference in
the position of religious and civil marriage celebrants. Accordingly, the previous analysis considered that not
granting civil celebrants the discretion to refuse to solemnise same-sex
marriages on the ground that the couple are of the same sex, regardless of their personal religious views, is a
proportionate limit on the right to freedom of religion to ensure the right of
same-sex couples to equality and non-discrimination.
1.146
Nothing in the bills affects the body of existing anti-discrimination
law provisions which prohibit persons who provide goods or services to the
public from discriminating against persons on the basis of their sexual orientation.
Committee comment
1.147 Under the Marriage Act registered civil celebrants are required to
abide by existing anti-discrimination laws. The amendments in the bill would
mean that civil celebrants (who are not ministers of religion) would be
prohibited from refusing to solemnise same-sex marriages on the ground that the
couple are of the same sex.
1.148 This engages and limits the right to freedom of religion under
article 18 of the ICCPR, insofar as a civil celebrant has a religious objection
to the marriage of same-sex couples.
1.149 The committee notes that the preceding legal analysis indicates this
limitation is permissible under international human rights law.
1.150 Noting the previous human rights assessment, the committee draws the
human rights implications of this measure to the attention of the Parliament.
Compatibility of the measure with
the right to respect for the family
1.151
To the extent that the bills would expand the protections afforded to
married couples under Australian domestic law to same-sex couples, they may
engage the right to respect for the family. The statement of compatibility
states that it supports families 'by extending the stability embodied in a
marriage relationship to all families, regardless of the sex, sexual
orientation, gender identity or intersex status of the parents'.[81]
1.152
The previous analysis noted that the right to respect for the family
under international human rights law applies to a diverse range of family
structures, including same-sex couples, and the bill is consistent with this right.
1.153
For example, recognising the diversity of family structures worldwide,
the UNHRC has adopted a broad conception of what constitutes a family, noting
that families 'may differ in some respects from State to State...and it is
therefore not possible to give the concept a standard definition'.[82] Consistent with this approach, the European Court of Human Rights noted in 2010
that same-sex couples without children fall within the notion of family, 'just
as the relationship of a different-sex couple in the same situation would'.[83]
1.154
Similarly, the UN Committee on the Rights of the Child noted in 1994
that the concept of family includes diverse family structures 'arising from
various cultural patterns and emerging familial relationships', and stated:
...[the Convention on the Rights of the Child (CRC)] is
relevant to 'the extended family and the community and applies in situations of
nuclear family, separated parents, single-parent family, common-law family and
adoptive family'.[84]
1.155
The previous analysis considered that this statement on family
diversity, along with the UNHRC's more recent inclusion of sexual orientation
as a prohibited ground of discrimination against a child and a child's parents,
is consistent with the view that the CRC extends protection of the family to
same-sex families.[85] It further considered that the UNHRC has recognised that 'the human rights of
children cannot be realized independently from the human rights of their
parents, or in isolation from society at large'.[86]
Committee comment
1.156 The previous human rights assessment of the measures concluded that expanding the definition of marriage promotes
the right to respect for the family.
1.157 The committee does not express a view as to the merits of the bill as
a whole or the principle of same sex marriage itself, both of which are matters
of individual conscience and on which there are differences of opinion among
members of the committee.
1.158 Noting these previous conclusions regarding the right to respect for
the family, the committee draws the human rights implications of this measure
to the attention of the Parliament.
1.159 The committee notes that its attention was drawn to the previous
dissenting report in the Thirtieth report of the 44th Parliament.[87]
Compatibility of the measure with
rights of the child
1.160
The statement of compatibility for each bill states that they promote
the best interests of children by:
...extending the stability embodied in a marriage relationship
to all families, regardless of the sex, sexual orientation, gender identity or
intersex status of the parents.[88]
1.161
They also state that the bills do not affect the status quo regarding
the parentage of children and therefore do not 'adversely affect the rights of
children'.[89]
1.162
As the bills relate strictly to marriage they do not directly engage the
rights of the child.[90] The regulation of marriage provides legal recognition for a relationship
between two people, which in and of itself has no impact on whether the persons
in that relationship have children—there are many married couples who do not
have children and many unmarried couples that do have children.
1.163
Further, the bills would not amend any laws regulating adoption,
surrogacy or in vitro fertilisation (IVF), including existing laws that allow
same-sex couples to have children. The previous analysis considered that such
laws therefore fall outside the scope of the committee's examination of the
bill for compatibility with human rights.
1.164
In addition, the previous analysis noted that whether or not a child's
parents or guardians are married has no legal effect on the child. In
compliance with the requirements of international human rights law, there are
no laws in Australia that discriminate against someone on the basis of their
parents' marital status.[91] Therefore, amending the definition of marriage in the Marriage Act will not
affect the legal status of the children of married or unmarried couples.
1.165
The previous assessment noted that the CRC refers to 'parents' and
'legal guardians' interchangeably and refers to 'family' without referencing
mothers or fathers.[92] The preamble notes that a child 'should grow up in a family environment, in an
atmosphere of happiness, love and understanding'.[93] There is no reference to marriage in the CRC. Provisions in the CRC relating to
a child's right to know its parents and a right to remain with its parents,[94] are not engaged by the bill, which is limited to the legal recognition of
relationships.
1.166
There is an obligation in the CRC to take into account the best
interests of the child 'in all actions concerning children', and this legal
duty applies to all decisions and actions that directly or indirectly affect
children. The UN Committee on the Rights of the Child has said that this
obligation applies to 'measures that have an effect on an individual child,
children as a group or children in general, even if they are not the direct
targets of the measure'.[95] This applies to the legislature in enacting or maintaining existing laws, and
the UN Committee on the Rights of the Child has given the following guidance as
to when a child's interests may be affected:
Indeed, all actions taken by a State affect children in one
way or another. This does not mean that every action taken by the State needs
to incorporate a full and formal process of assessing and determining the best
interests of the child. However, where a decision will have a major impact on a
child or children, a greater level of protection and detailed procedures to
consider their best interests is appropriate.[96]
1.167
In this regard, the previous human rights assessment of the measures
considered that it is not certain whether the legal recognition of a parent's
relationship would have a major impact on a child. If it were considered to
have a major impact on a child, then it is necessary to assess whether
legislating to allow same‑sex marriage would promote or limit the rights
of the child to have his or her best interests assessed and taken into account
as a primary consideration.
1.168
There is no evidence to demonstrate that legal recognition of same-sex
parents' relationships would be contrary to the best interests of the children
of those couples.
1.169
There is some evidence to suggest that legal recognition of same-sex
couples would promote the best interests of children of those couples. The
previous human rights assessment identified some evidence suggesting that
children living with cohabiting, but unmarried, parents may do less well than
those with married parents.[97] That analysis also noted that there is also some evidence that children of
same-sex parents 'felt more secure and protected' when their parents were
married.[98]
1.170
Further, to the extent that any existing laws provide greater protection
for married couples compared to non-married couples, the previous human rights
assessment of the measures considered that extending the protection of marriage
to same-sex couples may indirectly promote the best interests of the child.
Committee comment
1.171 The committee notes that the previous human rights assessment of the measures concluded that, as they are
limited to the legal recognition of a relationship between two people, and do
not regulate procreation or adoption, the rights of the child are not engaged
by the bills.
1.172 The committee further notes that the previous human rights assessment
concluded that, to the extent that
the obligation to consider the best interests of the child is engaged, the
measures do not limit, and may promote, the obligation to consider the best
interests of the child.
1.173 The committee does not express a view as to the merits of the bill as
a whole or the principle of same sex marriage itself, both of which are matters
of individual conscience and on which there are differences of opinion among
members of the committee.
1.174 Noting these previous conclusions regarding the rights of the child,
the committee draws the human rights implications of this measure to the
attention of the Parliament.
1.175 The committee
notes that its attention was drawn to the previous dissenting report in the Thirtieth
report of the 44th Parliament.[99]
National Integrity Commission Bill 2013
Purpose
|
Establishes a National
Integrity Commission to investigate corruption in relation to public
officials and Commonwealth agencies, Australian Federal Police and the
Australian Crimes Commission
|
Sponsor
|
Senator Milne (restored to
the Notice Paper by Senator Siewert)
|
Introduced
|
Senate, 13 November 2013
|
Rights
|
Reputation; freedom of
expression and assembly; not to incriminate oneself (see Appendix 2)
|
Background
1.176
The committee previously examined the National Integrity Commission Bill
2013 (the bill) in its First Report of the 44th Parliament.[100] In that report the committee considered that a number of provisions in the bill
gave rise to human rights concerns, and requested further information from the
legislation proponent in order to conclude its consideration of the bill.
1.177
The bill was restored to the Notice Paper by Senator Siewert following
the commencement of the 45th Parliament.
Compatibility of the bill with human rights
1.178
The previous human rights analysis found that a number of measures in
the bill raised human rights concerns. Accordingly, the committee wrote to the
legislation proponent seeking further information regarding these concerns, but
to date a response has not been received by the committee. The previous human
rights assessment of the bill and the committee's requests are summarised
further below.
1.179
The bill would create and confer wide-ranging powers on the National
Integrity Commissioner (the commissioner) to inquire into and report on matters
relating to alleged or suspected corruption in a range of government agencies.
The previous human rights analysis noted that it was unclear whether the
National Integrity Commission (the commission) would have the ability to make
findings critical of a person without the person first having had the
opportunity to respond to the issue. The analysis stated that if this were the
case, there would be an interference with the person's right to reputation. The
committee therefore requested further information from the legislation
proponent to clarify this issue.
1.180
Proposed section 63(1) of the bill provides that a person commits an
offence if they knowingly insult, disturb or use insulting language towards the
commissioner during the exercise of his or her powers. The previous analysis
considered that this therefore limited the right to freedom of expression. Proposed
section 63(2) provides that a person commits an offence if they knowingly
create a disturbance in or near a place where a hearing is being held for the
purpose of investigating a corruption issue or conducting a public inquiry. The
previous analysis found that this new offence may limit both the right to
freedom of expression and the right to freedom of assembly. The committee
therefore requested further information from the legislation proponent as to
whether the offences created by clauses 63(1) and 63(2) may be justified
as permissible restrictions on the exercise of freedom of expression and the
right of assembly under the International Covenant on Civil and Political
Rights.
1.181
Further, the bill would confer power on the commissioner to order the
provision of information or the production of documents or things. Failure to
provide such documents would constitute an offence which is punishable by up to
two years' imprisonment. A similar punishment would also apply to a person who
has been summoned to attend a hearing before the commissioner and fails to
answer a question that the commissioner requires them to answer. Partial use
immunity would be provided for these offences, meaning that no information or
documents provided are admissible as evidence against the person in criminal
proceedings or any other proceedings for the imposition or recovery of a
penalty. However, no derivative use immunity would be provided.[101] The previous human rights analysis considered that these measures engaged the
right not to incriminate oneself, but that this limitation had not been
adequately justified in the statement of compatibility for the bill. The
committee therefore requested further information from the legislation
proponent as to why the limitations of the right to not incriminate oneself by
the above new clauses are not accompanied by derivative use immunity as well as
use immunity.
Committee comment
1.182 Noting the human rights concerns raised by the bill, the committee
draws the human rights implications of the bill to the attention of Senator
Siewert and the Parliament.
1.183 If the bill proceeds to further stages of debate, the committee may
request further information from the legislation proponent.
Regulatory Powers (Standardisation Reform) Bill 2016
Purpose
|
Proposes to amend a number
of Acts to remove current provisions
providing for regulatory regimes and to apply the standard provisions of the Regulatory
Powers (Standard Provisions) Act 2014
|
Portfolio
|
Attorney-General
|
Introduced
|
Senate, 12 October 2016
|
Right
|
Privacy (see Appendix 2)
|
Background
1.184
The committee previously considered the Regulatory Powers (Standard
Provisions) Bill 2012 (2012 bill) in its Sixth report of 2012 and Tenth
report of 2013; and the Regulatory Powers Bill (Standard Provisions)
Bill 2014 (2014 bill) in its Fifth report of the 44th Parliament.[102]
1.185
In its Fifth report of the 44th Parliament, the
committee welcomed particular changes between the 2012 bill and the 2014 bill,[103] but reiterated that a final assessment of the compatibility of
the application of the standard provisions in the bill to a specific regulatory
scheme would need to be made in the context of that particular bill.
1.186
The 2014 bill passed both Houses of Parliament on 10 July 2014 and
received Royal Assent on 21 July 2014, becoming the Regulatory Powers
(Standard Provisions) Act 2014 (Regulatory Powers Act).
1.187
The committee then considered the Regulatory Powers (Standardisation
Reform) Bill 2016 (2016 bill) in its Thirty-sixth report of the 44th Parliament.[104] Following the commencement of the 45th Parliament, the current bill was
reintroduced to the Senate on 12 October 2016, in identical form to the
previous iteration of the bill.
Implementing the Regulatory Powers Act with respect to 15 Commonwealth Acts
1.188
The bill proposes to amend 15 Commonwealth Acts in order to implement
the Regulatory Powers Act including in relation to monitoring powers,
investigation powers, civil penalty provisions, infringement notices,
enforceable undertakings and injunctions. Existing provisions in the
Commonwealth Acts will be replaced by the relevant standard provisions in the
Regulatory Powers Act, some with minor adjustments to the application of the
standard provisions of that Act. [105]
Compatibility of the measure with
human rights
1.189
The statement of compatibility to the bill usefully refers to the
previous human rights assessment of the 2014 bill (now Regulatory Powers Act)
and states:
As noted by the Parliamentary Joint Committee on Human Rights
in its consideration of the Regulatory Powers (Standard Provisions) Bill 2014,
it is necessary to consider the human rights impact in the specific context of
each legislative regime that triggers the Regulatory Powers Act. Accordingly,
the human rights impact is considered separately for each of the Acts to be
amended by this Bill.[106]
1.190
In accordance with the committee's previous advice, the statement of
compatibility then discusses in detail the application of the relevant
provisions of the Regulatory Powers Act to the specific context of each of the
15 Commonwealth Acts that are amended by the bill and assesses the human rights
compatibility of these amendments against Australia's human rights obligations.
1.191
Based on the information contained in this detailed assessment, the bill
is likely to be compatible with human rights.
Committee comment
1.192 The previous human rights analysis of the Regulatory Powers Act noted
that it would be necessary to consider the human rights implications of the Act
in the specific context of each legislative regime that applies provisions in
the Act.
1.193 The committee welcomes the detailed human rights assessment contained
in the statement of compatibility to the bill relating to the proposed
application of the Regulatory Powers Act to each of the affected 15
Commonwealth Acts.
1.194 Noting the preceding legal analysis, the committee considers that the
bill is likely to be compatible with human rights.
Comptroller-General of Customs Directions (Use of Force – Norfolk Island)
2016 [F2016L01033]
Purpose
|
Gives directions to customs
officers exercising powers on Norfolk Island with respect to the use of force
|
Portfolio
|
Immigration and Border
Protection
|
Authorising legislation
|
Customs Act 1901
|
Last day to disallow
|
21 November 2016
|
Right
|
Life (see Appendix 2)
|
Background
1.195
The Comptroller-General of Customs (Use of Force) Directions 2015 (the Australian directions) set out directions to customs officers exercising
powers on mainland Australia in accordance with the Operational Safety
Order (2015) (OSO 2015). This includes directions in relation to the
deployment of approved firearms and other approved items of personal defence
equipment, and the use of force.
1.196
The committee considered and reported on the Australian directions in
its Twenty-sixth and Twenty-ninth reports of the 44th Parliament.[107] That human rights assessment of the Australian directions raised concerns in
relation to whether the use of force (including lethal force) in accordance
with procedures set out in the OSO 2015 was a justifiable limitation on
the right to life.
1.197
The OSO 2015 was not publicly available at the time of the committee's
initial examination of the Australian directions but was referred to in those
directions. The human rights analysis of the Australian directions considered
that it was necessary also to examine the OSO 2015 in order to determine
whether there were sufficient safeguards with respect to the use of force. Upon
provision of and review by the committee of the OSO 2015, the committee was
able to conclude that it appeared to contain sufficient safeguards to justify
the potential limitation on the right to life. Based on this assessment, as
well as a commitment by the Australian Border Force Commissioner that a
redacted version of the OSO 2015 would be published on the Department of
Immigration and Border Protection's website, the committee concluded that the
OSO 2015 and the Australian directions were likely to be compatible with human
rights.
1.198
The current instrument (the Norfolk directions) sets out identical
directions to those contained in the Australian directions with respect to
customs officers exercising powers on Norfolk Island.
Use of force
1.199
The Norfolk directions permit the use of force by customs officers
exercising powers on Norfolk Island in accordance with procedures set out in
the OSO 2015, including where an officer of customs is exercising powers to:
direct; detain; physically restrain; arrest; enter or remain on coasts,
airports, ports, bays, harbours, lakes and rivers; execute a seizure or search
warrant; remove persons from a restricted area; or board, detain vessels or
require assistance.
Compatibility of the measure with
the right to life
1.200
The use of force engages and may limit the right to life. The right to
life imposes an obligation on the state to protect people from being killed
arbitrarily by the state or being killed by others or identified risks.
1.201
The statement of compatibility for the Norfolk directions is identical
to the statement of compatibility for the Australian directions, and notes
that:
[The Norfolk directions] promote the inherent right to life
as they only direct officers of Customs to use lethal force when reasonably
necessary... when other options are insufficient and only in self‑defence from the
immediate threat of death or serious injury or in defence of others against who
there is an immediate threat of death or serious injury. [The Norfolk
directions] specifically states that lethal force is an option of last resort,
and that an officer of Customs who considers using lethal force must do so with
a view to preserving human life.[108]
1.202
In line with an undertaking by the Australian Border Force Commissioner
in previous correspondence to the committee, a redacted version of the OSO 2015
is now publicly available on the Department of Immigration and Border
Protection's website.[109]
Committee comment
1.203 The committee notes that the previous human rights assessment of the
OSO 2015 and the Australian directions concluded that both were likely to be
compatible with human rights on the basis of further information provided by
the Australian Border Force Commissioner. Similarly, the committee considers
that the Norfolk Directions are likely to be compatible with human rights.
1.204 The committee further notes that a redacted version of the
OSO 2015 is now available on the Department of Immigration and Border
Protection's website in accordance with the Australian Border Force
Commissioner's undertaking to the committee. The committee thanks the
Australian Border Force Commissioner for his engagement on this issue.
Social Security (Administration) (Trial Area - Ceduna and Surrounding
Region) Amendment Determination (No. 2) 2016 [F2016L01424]
Purpose
|
Delays the cessation of the
Social Security (Administration) (Trial Area - Ceduna and Surrounding Region)
Determination 2015 until 14 March 2017
|
Portfolio
|
Social Services
|
Authorising legislation
|
Social Security
(Administration) Act 1999
|
Last day to disallow
|
28 November 2016
|
Rights
|
Social security; private
life; equality and non-discrimination (see Appendix 2)
|
Extending a trial of cashless welfare arrangements
1.205
The Social Security (Administration) (Trial Area - Ceduna and
Surrounding Region) Amendment Determination (No. 2) 2016 [F2016L01424] (the
determination) extends a trial of cashless welfare arrangements in Ceduna and
its surrounding region for six months, bringing the total period of the trial
to 12 months.[110]
Compatibility of the measure with
human rights
1.206
The committee has considered these measures in previous reports in
relation to the Social Security Legislation Amendment (Debit Card Trial) Bill
2015 (Debit Card bill),[111] and the Social Security (Administration) (Trial - Declinable Transactions)
Amendment Determination (No. 2) 2016 [F2016L01248] (declinable transactions
determination).[112] The Debit Card bill amended the Social Security (Administration) Act 1999 to provide for a trial of cashless welfare arrangements in prescribed
locations. Persons on working age welfare payments in the prescribed locations
would have 80 percent of their income support restricted, so that the
restricted portion could not be used to purchase alcoholic beverages or to
conduct gambling. The trial arrangements are currently operating in two trial
locations of Ceduna and East Kimberley. Explanatory material for the Debit Card
bill and declinable transactions determination noted that the policy intention
was for the trial to take place for only 12 months in each location.[113]
1.207
The previous human rights assessments of the cashless welfare trial
measures raised concerns in relation to the compulsory quarantining of a
person's welfare payments and the restriction of a person's agency and ability
to spend their welfare payments at businesses including supermarkets. These
concerns related to the right to social security, the right to a private life
and the right to equality and non-discrimination.[114]
Committee comment
1.208 The effect of the determination is to extend the trial of cashless
welfare arrangements in Ceduna and its surrounding region for six months.
1.209
Noting the human rights concerns raised by the previous human
rights assessments of the trial, and concerns regarding income management
identified in the committee's 2016 Review of Stronger Futures measures,
the committee draws the human rights implications of the determination to the
attention of the Parliament.
Bills not raising human rights concerns
1.210
Of the bills introduced into the parliament 10 and 20 October 2016, the
following did not raise human rights concerns:[115]
- Aged Care (Living Longer Living Better) Amendment (Review) Bill
2016;
- Appropriation (Parliamentary Departments) Bill (No. 1) 2016-2017;
- Banking Commission of Inquiry Bill 2016;
- Commonwealth Electoral Amendment (Foreign Political Donations)
Bill 2016;
- Corporations Amendment (Life Insurance Remuneration Arrangements)
Bill 2016;
- Criminal Code Amendment (Misrepresentation of Age to a Minor)
Bill 2016;
- Criminal Code Amendment (Private Sexual Material) Bill 2016;
- Customs Amendment (2017 Harmonized System Changes) Bill 2016;
- Customs Tariff Amendment (2017 Harmonized System Changes) Bill
2016;
- Customs Tariff Amendment (Expanded Information Technology
Agreement Implementation and Other Measures) Bill 2016;
- Foreign Acquisitions and Takeovers Amendment (Strategic Assets)
Bill 2016;
- Income Tax Rates Amendment (Working Holiday Maker Reform) Bill
2016;
- Passenger Movement Charge Amendment Bill 2016;
- Register of Foreign Ownership of Agricultural Land Amendment
(Water) Bill 2016;
- Social Security Legislation Amendment (Youth Jobs Path: Prepare,
Trial, Hire) Bill 2016;
- Social Services Legislation Amendment (Family Assistance
Alignment and Other Measures) Bill 2016;
- Superannuation (Departing Australia Superannuation Payments Tax)
Amendment Bill 2016;
- Treasury Laws Amendment (Working Holiday Maker Reform) Bill 2016;
- VET Student Loans Bill 2016;
- VET Student Loans (Consequential Amendments and Transitional
Provisions) Bill 2016;
- VET Student Loans (Charges) Bill 2016; and
- Veterans' Affairs Legislation Amendment (Budget and Other
Measures) Bill 2016.
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