New and continuing matters
1.1
This chapter provides assessments of the human rights compatibility of:
-
bills introduced into the Parliament between 25 and 28 June 2018 (consideration of 2 bills from this period has been
deferred);[1]
-
legislative instruments registered on the Federal Register of
Legislation between 24 May and 18 June 2018 (consideration of 2 legislative
instruments from this period has been deferred);[2] and
- bills and legislative instruments previously deferred.
1.2
The committee has concluded its consideration of three legislative
instruments that were previously deferred.[3]
Instruments not raising human rights concerns
1.3
The committee has examined the legislative instruments registered in the
period identified above, as listed on the Federal Register of Legislation. 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.
Family Assistance (Public Interest Certificate Guidelines) (Education)
Determination 2018 [F2018L00464]
Purpose |
Makes guidelines for the
Secretary of the Department of Education and Training or their delegate in
exercising their power under paragraph 168(1)(a) of the A New Tax System
(Family Assistance) (Administration) Act 1999 to disclose certain
information if it is necessary in the public interest to do so |
Portfolio |
Education |
Authorising legislation |
A New Tax System (Family
Assistance) (Administration) Act 1999 |
Last day to disallow |
15 sitting days after
tabling (tabled House of Representatives 8 May 2018; tabled Senate 8 May
2018) |
Rights |
Privacy; rights of the
child (see Appendix 2) |
Status |
Seeking additional
information |
Background
1.6
The Family Assistance (Public Interest Certificate Guidelines)
(Education) Determination 2018 (2018 Determination) replaces the Family
Assistance (Public Interest Certificate Guidelines) Determination 2015 (2015
Determination).
1.7
The committee considered the human rights compatibility of the 2015
Determination in its Twenty-eighth Report of the 44th Parliament and Thirtieth Report of the 44th Parliament.[4]
Disclosure of personal information
1.8
The 2018 Determination sets out the circumstances in which the secretary
may give a public interest certificate, which allows for the disclosure of
information obtained by an officer in the course of their duties or in
exercising their powers.[5] The secretary may give a public interest certificate if the following conditions
are satisfied:
- the information cannot reasonably be obtained from a source other
than the department;
- the person to whom the information will be disclosed has
sufficient interest in the information; and
- the secretary is satisfied that the disclosure is for at least
one of a number of specified purposes, including:
-
to prevent, or lessen, a threat to the life, health or welfare of
a person;
-
to make or support a proceeds of crime order;
-
to correct a mistake of fact in relation to the administration of
a program of the department;
-
to brief a minister;
-
to assist with locating a missing person or in relation to a
deceased person;
- for research, statistical analysis and policy development;
- to facilitate the progress or resolution of matters of relevance
within the portfolio responsibilities of a department that is administering any
part of the family assistance law or the social security law;
- to contact a person in respect of their possible entitlement to
recompense in a reparations process;
-
to enable a child protection agency of a state or territory to
contact the parent or relative in relation to a child;
- to facilitate the administration of public housing;
- to ensure a child is enrolled in or attending school; or
- to plan for, meet or monitor the infrastructure and resource
needs in one or more schools.[6]
1.9
Section 6 of the 2018 Determination further provides that in giving
a public interest certificate, other than to facilitate 'enforcement related
activities', the secretary must have regard to:
- whether the person to whom the information relates is, or may be,
subject to physical, psychological or emotional abuse; and
- whether the person in question may be unable to give notice of
his or her circumstances because of age; disability; or social, cultural,
family or other reasons.[7]
1.10
Section 7(3) of the 2018 Determination provides that public
interest certificates to facilitate 'enforcement related activities'[8] can be given 'in any case where the Secretary considers doing so is in the
public interest', without any other limitation.[9] In other
words, when issuing a public interest certificate for
the disclosure of information to facilitate enforcement related activities, the
secretary is not required to have regard to the factors prescribed in
section 6 set out in paragraph [1.9] above. This is a new ground of
disclosure that was not included in the 2015 Determination.[10]
Compatibility of the measure with
the right to privacy
1.11
The right to privacy encompasses respect for informational privacy,
including the right to respect private and confidential information,
particularly the use and sharing of such information and the right to control
the dissemination of information.[11]
1.12
The disclosure of protected information (including personal information)
pursuant to a public interest certificate engages and limits the right to
privacy.
1.13
The statement of compatibility acknowledges that the 2018 Determination
engages and may limit the right to privacy.[12] However, apart from stating generally that the determination 'ensure[s] that
protected information may only be disclosed for specified grounds and purposes
that are recognised as necessary in the public interest',[13] the statement of compatibility only provides an assessment of compatibility
with the right to privacy in relation to the issuing of public interest
certificates to disclose information to facilitate 'enforcement related
activities'.[14] It does not assess whether disclosure of personal information for the other
purposes set out at [1.8] above constitutes a justifiable limitation on the
right to privacy.
1.14
The right to privacy may be subject to permissible limitations which are
provided by law and are not arbitrary. In order for limitations not to be
arbitrary, they must seek to achieve a legitimate objective and be rationally
connected (that is, effective to achieve) and proportionate to that objective. The
committee's usual expectation is that each limitation on human rights will be
assessed on the basis of a reasoned and evidence-based explanation of how the
measure supports a legitimate objective for the purposes of international human
rights law.
1.15
The statement of compatibility explains that the objective of permitting
information to be disclosed to facilitate 'enforcement related activities' is
to 'allow for the monitoring or intelligence gathering activities before
deciding to undertake an enforcement activity'.[15] It also notes that the provisions align the Family Assistance Law secrecy
provisions with the 'enforcement body' exceptions that apply under the Privacy
Act 1988 in relation to personal information.[16] In relation to whether these objectives address a pressing or substantial
concern, the explanatory statement states that:
The narrow construct of the previous Guidelines has hampered
the Department’s ability to share information with other agencies and
departments for enforcement related activities. This severely reduced the
Department’s capacity to effectively manage complex risks faced by the
Department and other regulators, as well as the public.[17]
1.16
While this
appears to be capable of constituting a legitimate objective for the purposes
of human rights law, further information is required to determine why this
objective is important in the context of the particular measure. This would
include, for example, information as to what the 'complex risks faced by the
department and other regulators' entail, and how the broad power to disclose
for enforcement related activities would facilitate management of these. To be
capable of justifying a proposed limitation on human rights, a legitimate
objective must address a pressing or substantial concern and not simply seek an
outcome regarded as desirable or convenient.
1.17
Further, in order to be a proportionate limitation on the right to
privacy, regimes that permit
the collection and disclosure of personal information need to be sufficiently
circumscribed and accompanied by sufficient safeguards.
1.18
The statement of compatibility explains that there are 'safeguards built
into the legislative scheme to ensure that any protected information disclosed
in the public interest is only used for the public interest purpose'.[18] It notes, for example, that the disclosure of information in accordance with
the 2018 Determination does not give the person to whom the information is
disclosed the authority to disclose that information to further parties, unless
such disclosure is permitted by section 162(2)(e) of the Act,[19] or otherwise authorised by law.[20]
1.19
The statement of compatibility also explains that:
While a public interest certificate will provide the
authority under law for the purposes of use and disclosure, key requirements of
the Privacy Act 1988 will still apply to APP [Australian Privacy
Principles] entities, such as requirements relating to collection notices.[21]
1.20
However, it remains unclear whether all recipients of the information
disclosed for a purpose outlined in the 2018 Determination would be subject to
the provisions of the Privacy Act. In particular, the expansion of the public
interest disclosure powers to disclosure for 'enforcement related activities'
would allow disclosure to state and territory enforcement bodies (such as
state or territory police services), and it is unclear from the information
provided the extent to which the safeguards in the Privacy Act would be
applicable to them. This concern is also present for other purposes for which
information may be disclosed. In particular, the determinations allow personal
protected information to be shared with the 'agent or contracted service
provider' of a state or territory department or authority. However, no
information is given as to who such agents or contractors might be and whether
they would be bound by the provisions of the Privacy Act (which does not apply
to most state or territory government agencies).
1.21
Further, as the committee has noted previously,[22] the Australian Privacy Principles (APPs) in the Privacy Act are not a
complete answer to concerns about interference with the right to privacy in
this context, as those principles contain a number of exceptions to the
prohibition on disclosure of personal information. This includes permitting use
or disclosure for a secondary purpose where it is authorised under an
Australian law or where reasonably necessary for one or more 'enforcement
related activities'. These exemptions to the general prohibition on disclosure
for a secondary purpose may be broader than the scope permitted under
international human rights law.[23] Therefore, further information
is required as to the operation of the specific safeguards in the Privacy Act
so as to determine whether that Act provides effective safeguards for the right
to privacy in these circumstances.
1.22
There are also
questions as to whether the public interest disclosure power pursues the least
rights restrictive approach. For example, it is not clear from the information
provided why the power to disclose for 'enforcement related activities' is not
limited by the requirement that the secretary have regard to any
situation in which the person to whom the information relates is, or may be,
subject to physical, psychological or emotional abuse, as is required for other
public interest disclosures.[24] Further, and more broadly, it
is unclear why it is necessary to enable the disclosure of protected personal
information in a form that identifies individuals when the information is being
disclosed for purposes such as research, statistical analysis, policy
development, briefing the minister and meeting or monitoring infrastructure and
resource needs. In such cases it would appear that the information could be
disclosed in a de-identified form, which would be a less rights restrictive
approach.
Committee comment
1.23
The preceding analysis raises questions as to whether the power
to disclose personal information is compatible with the right to privacy.
1.24
The committee therefore seeks the advice of the minister as to:
- whether each of the proposed purposes for which information can
be shared (as outlined in paragraph [1.8] to [1.10] above) is aimed at
achieving a legitimate objective for the purposes of international human rights
law;
- how the measure is effective to achieve (that is, rationally
connected to) that objective;
- whether the limitation on the right to privacy is proportionate
to the achievement of each objective (including whether the purposes for which
information can be disclosed are sufficiently circumscribed, and what safeguards
apply to the collection, storage and disclosure of personal and confidential
information); and
-
whether the Australian Privacy Commissioner has been consulted in
relation to the 2018 Determination.
Disclosure of personal information relating to homeless young people
1.25
Part 3 of the 2018 Determination applies to the disclosure of
information relating to homeless young people.[25] It provides that the secretary may issue a public interest certificate for the
disclosure of such information if satisfied:
-
the information cannot reasonably be obtained from a source other
than the department;
-
the disclosure will not result in harm to the homeless young
person; and
- the disclosure is for one of the following purposes:
-
the information is about a homeless young person's family member
and the secretary is satisfied the homeless young person or a family member has
been subjected to abuse or violence (abuse or violence);[26]
- the disclosure is necessary to verify qualifications for a
payment under family assistance law or a social security payment on the grounds
of being a homeless person (verification for payment);[27]
- the disclosure will facilitate reconciliation between a homeless
young person and his or her parent or parents (reconciliation);[28] and
- the disclosure is necessary to inform the parent or parents
whether the homeless young person has been in contact with the Department of
Education and Training or Human Services Department (assurance).[29]
1.26
Section 6 of the 2018 Determination, discussed at paragraph [1.8],
also applies to the disclosure of information relating to homeless young
people.
Compatibility of the measure with
the right to privacy and the rights of the child
1.27
Children have special rights under human rights law taking into account
their particular vulnerabilities. Children's rights are protected under a
number of treaties, particularly the Convention on the Rights of the Child
(CRC). All children under the age of 18 years are guaranteed these rights.
1.28
Article 16 of the CRC provides that children have the right not to be
subjected to arbitrary or unlawful interference with their privacy.[30] The right has the same content as the general right to privacy, discussed
above.
1.29
Article 3 of the CRC requires states parties to ensure that, in all
actions concerning children, the best interests of the child are a primary
consideration.[31] The disclosure of personal information relating to homeless young people under
the age of 18 years engages and limits these rights. The statement of
compatibility acknowledges that the 2018 Determination engages article 3 of the
CRC generally. However, it does not specifically address how disclosure of
personal information relating to homeless young people is compatible with
article 3. It also does not address the limitation the measure imposes on the
child's right to privacy. As noted above, the committee's usual expectation
where a measure may limit a human right is that the accompanying statement of
compatibility provides a reasoned and evidence-based explanation of how the
measure supports a legitimate objective for the purposes of international human
rights law. Further information is therefore required to determine whether the
power to disclose information relating to homeless young people pursues a
legitimate objective and is rationally connected to this objective.
1.30
In relation to proportionality, it is noted that under the
determination, the secretary can only issue a public interest certificate to
disclose information relating to homeless young people if they are satisfied
that the disclosure 'will not result in harm to the homeless young person'.[32] However, at international law, the right of a child to have his or her best
interests taken as a primary consideration is broader than the right of a child
not to be harmed. The child's best interests includes the enjoyment of the
rights set out in the CRC, and, in the case of individual decisions, 'must be
assessed and determined in light of the specific circumstances of the
particular child'.[33] On this basis, this raises concerns that there may be a less rights restrictive
approach to the sharing of a homeless young person's personal information, such
as requiring the decision-maker to be satisfied that the disclosure would be in
the best interests of the child, rather than that the disclosure will not
result in harm to the child.
Committee comment
1.31
The preceding analysis indicates that the measure engages and
limits the right of children to have their best interests taken as a primary
consideration and the child's right to privacy. The committee therefore seeks
the advice of the minister as to:
- whether the disclosure of personal information relating to
homeless young people is aimed at achieving a legitimate objective for the
purposes of international human rights law;
- how the measure is effective to achieve (that is, rationally
connected to) that objective; and
- whether the limitation is a reasonable and proportionate
measure for the achievement of that objective.
Migration (IMMI 18/046: Determination of Designated Migration Law)
Instrument 2018 [F2018L00446]
Purpose |
Makes subdivision AF of
Part 2, Division 3, of the Migration Act 1958 part of the 'designated
migration law' for the purposes of section 495A of that Act |
Portfolio |
Home Affairs |
Authorising legislation |
Migration Act 1958 |
Last day to disallow |
Exempt from disallowance[34] |
Right |
Liberty (see Appendix 2) |
Status |
Seeking additional information |
Use of computer to determine status as 'eligible non-citizen'
1.32
The Migration (IMMI 18/046: Determination of Designated Migration Law)
Instrument 2018 (2018 instrument) makes subdivision AF of Part 2, Division 3 of
the Migration Act 1958 (Migration Act) part of the 'designated migration
law'. The designation permits the minister to arrange for computer programs to
be used to make a decision, exercise a power, comply with an obligation or do
anything else related to these actions in subdivision AF of Part 2, Division 3
of the Migration Act.[35]
1.33
Subdivision AF of the Migration Act regulates bridging
visas.[36] Section 73 of the Migration Act provides that the minister may grant a
bridging visa to an 'eligible non-citizen' if certain criteria prescribed by
the regulations are satisfied.[37] Under section 72 of the Migration Act, non-citizens are 'eligible
non-citizens' if they have been 'immigration cleared',[38] belong to a particular class of persons,[39] or have been determined by the minister to be 'eligible non-citizens'.[40] The minister may make such a determination if certain criteria are satisfied,
including that 'the minister thinks that the determination would be in the
public interest'.[41] The power to make the determination may only be exercised by the minister
personally.[42]
Compatibility of the measure with
the right to liberty
1.34 Article 9 of the International Covenant on Civil and Political
Rights (ICCPR), prohibits the arbitrary and unlawful deprivation of liberty.
This prohibition against arbitrary detention requires that detention must be
lawful, reasonable, necessary and proportionate in all the circumstances and
subject to regular review. The concept of 'arbitrariness' extends beyond the
apparent 'lawfulness' of detention to include
elements of injustice, lack of predictability and lack of due process.[43] The right to liberty applies to all forms of deprivations of liberty, including
immigration detention, although what is considered arbitrary may vary depending
on context.
1.35 Bridging visas are generally only available to people who do not
otherwise hold an effective visa.[44] Under the Migration Act, a non-citizen who does not hold a valid visa (such as
a bridging visa) is classified as an unlawful non-citizen and is subject to
mandatory detention prior to removal or deportation.[45] The detention of a non-citizen pending deportation will generally not
constitute arbitrary detention, as it is permissible to detain a person for a
reasonable period of time in these circumstances. However, detention may become
arbitrary in the context of mandatory detention, where individual circumstances
are not taken into account, and a person may be subject to a significant length
of detention.
1.36
The use of a computer by the minister to exercise their personal power
to determine whether a non-citizen is an 'eligible non-citizen' (and therefore
eligible to apply for a bridging visa), including whether such a determination
is 'in the public interest',[46] could engage and limit the right to liberty. This is because, in the absence of
a bridging visa or other valid visa, a non-citizen will be classified as an
'unlawful non-citizen' and subject to immigration detention.
1.37
The right to
liberty may be subject to permissible limitations which are provided by law and
are not arbitrary. In order for limitations not to be arbitrary, the measure
must pursue a legitimate objective and be rationally connected (that is, effective
to achieve) and proportionate to achieving that objective.
1.38
The explanatory statement does not provide sufficient information
to assess whether the measure engages and may limit the right to liberty. In
particular, the explanatory statement does not explain why there is a need to
use computers to make a decision, exercise a power, comply with an obligation
or do anything else related to these actions associated with eligibility to
apply for and grant bridging visas.
1.39
The explanatory memorandum to the Migration Legislation
Amendment (Electronic Transactions and Methods of Notification) Act 2001 (2001
Act), which inserted section 495A of the Migration Act, under which the
2018 instrument is made, does provide some information as to the intended
operation of computer programs:
In the migration context, a computer program will only be
making decisions on certain visa applications where the criteria for grant are
simple and objective. There is no intention for complex decisions, requiring
any assessment of discretionary criteria, to be made by computer programs.
Those complex decisions will continue to be made by persons who are delegates
of the Minister.[47]
1.40
However, it appears that under the 2018 instrument some matters which could
be subject to decision by computer program may involve complex or discretionary
considerations. Specifically, for the minister to determine whether a person is
an 'eligible non-citizen' involves a decision as to whether the minister thinks
such a determination would be in the 'public interest'.[48] By contrast, it is noted that, in relation to other provisions of the Migration
Act that involve consideration of the 'public interest', the Migration Act has
exempted such determinations from being 'designated migration law' (that is,
the decision cannot be made by computer).[49] It is unclear why subsection 72(2)(e) of the Migration Act is not similarly
exempted from the 'designated migration law' or excluded from the 2018
instrument.
1.41
Noting that a potential consequence of a determination that a person is
not an 'eligible non-citizen' is that the person may be subject to immigration
detention, further information is required as to how the 2018 instrument will
operate and be applied. This includes the extent to which a computer program
will be used for determining a person's eligibility to apply for a bridging
visa (including the assessment of whether it is in the 'public interest' to
make such a determination). Further information is also required as to the
safeguards in place to ensure a person is not deprived of liberty as a
consequence of such a decision where it is not reasonable, necessary and
proportionate.
Committee comment
1.42
The preceding analysis raises questions as to the compatibility with the
right to liberty of the designation of subdivision AF of Part 2, Division 3 of
the Migration Act as part of the 'designated migration law'.
1.43
The committee seeks further information from the minister as to the
compatibility of the measure with the right to liberty, including:
- whether, and to what extent, a computer program will be used
to exercise the minister's personal powers in subdivision AF of Part 2,
Division 3 of the Migration Act; and
- whether 'public interest' considerations by the minister could
be exempted from the 'designated migration law'.
1.44
If a computer program will be used to exercise the minister's personal
power in subdivision AF of Part 2, Division 3 of the Migration Act, the
committee seeks further information about the compatibility of this measure
with the right to liberty, including:
-
the existence of adequate and effective safeguards to ensure a
person is not deprived of liberty where it is not reasonable, necessary and
proportionate; and
- whether less rights restrictive alternatives are reasonably
available.
Migration (Validation of Port Appointment) Bill 2018
Purpose |
Seeks to validate the
appointment of a proclaimed port in the Territory of Ashmore and Cartier
Islands |
Portfolio |
Home Affairs |
Introduced |
House of Representatives, 20 June 2018 |
Rights |
Non-refoulement; liberty;
fair hearing; not to be expelled
without due process; effective remedy (see Appendix 2) |
Status |
Seeking additional
information |
Validation of a 'proclaimed port'
1.45
Under subsection 5(5)(a) of the Migration Act 1958 (the Migration
Act) the minister may, by notice published in the Gazette, appoint ports in an
external territory as 'proclaimed ports'.[50]
1.46
On 23 January 2002 a notice was published purporting to appoint an area
of waters within the Territory of Ashmore and Cartier Islands as a 'proclaimed
port' (2002 appointment).[51]
1.47
The effect of this 2002 appointment was to provide that people arriving
by boat without a valid visa, who entered certain waters of the Territory of
Ashmore and Cartier Islands, would be entering an 'excised offshore place' for
the purposes of the Migration Act and would thereby become 'offshore entry
persons', now 'unauthorised maritime arrivals' (UMAs) under the Migration Act.[52]
1.48
On 11 July 2018, the Federal Circuit Court held, in DBC16 v Minister
for Immigration & Anor,[53] that the purported appointment as a proclaimed port, of an area of waters
within the Territory of Ashmore and Cartier Islands, was invalid. Accordingly,
the applicant in that case was not an UMA.[54]
1.49
The bill would correct a number of errors in the 2002 appointment and
retrospectively validate it including by:
- providing that there was a properly proclaimed port at Ashmore
and Cartier Islands at all relevant times;
- correcting the geographical coordinates of the area of waters
specified in the 2002 appointment noting that the 2002 appointment omitted some
details relating to the geographical coordinates;
- validating things done under the Migration Act that would be
invalid or ineffective directly or indirectly because of the terms of the 2002 appointment.[55]
1.50
Section 5 provides that the bill will not affect rights or liabilities
arising between parties to proceedings where judgment has been delivered by a
court prior to the commencement of the bill, if the validity of the appointment
was at issue in the proceedings and the judgment set aside the appointment or
declared it to be invalid.[56]
Compatibility of the measure with the obligation of
non-refoulement and the right to an effective remedy
1.51
Australia has non-refoulement obligations under the Refugee Convention
for refugees[57] and under both the International Covenant on Civil and Political Rights (ICCPR)
and the Convention against Torture and Other Cruel, Inhuman or Degrading
Treatment or Punishment (CAT) for all people, including people who are found
not to be refugees.[58] This means that Australia must not return any person to a country where
there is a real risk that they would face persecution, torture or other serious
forms of harm, such as the death penalty; arbitrary deprivation of life; or
cruel, inhuman or degrading treatment or punishment.[59] Non-refoulement
obligations are absolute and may not be subject to any limitations.
1.52
Independent, effective and impartial review by a court or tribunal of
decisions to deport or remove a person, including merits review in the
Australian context, is integral to complying with non-refoulement obligations.[60]
1.53
Given that the 2002 appointment has been found to have been invalidly
made, this will have a range of consequences. Specifically, the effect of the
2002 appointment being invalid may be that persons who entered the area of
waters within the Territory of Ashmore and Cartier Islands without a valid visa
may not have been correctly classified as 'offshore entry persons' (now UMAs).
1.54
The classification of a person as an UMA significantly affects how their
rights and obligations under the Migration Act are to be determined and how
their applications for a visa may be processed. For example, persons who
entered the area of waters within the Territory of Ashmore and Cartier Islands
between 13 August 2012 and 1 June 2013 without a valid visa and were classified
as UMAs became 'fast track applicants' under the Migration Act.[61] This would have resulted in the 'fast track' process applying to the assessment
and review of their claims for refugee status and applications for protection
visas.
1.55
However, the committee has previously considered that the 'fast track' assessment
process raises serious human rights concerns.[62] In particular, the committee has found elements of the 'fast track' assessment
process are likely to be incompatible with the obligation of non-refoulement
and the right to an effective remedy.[63]
This was on the basis that as the 'fast track' assessment process does not
provide for full merits review it is likely to be incompatible with Australia's
obligations under the ICCPR and the CAT of ensuring independent, effective and
impartial review, including merits review, of non-refoulement decisions.[64] While the statement of compatibility acknowledges that the measure engages the
obligation of non-refoulement, it does not acknowledge the concerns outlined in
the committee's previous reports.[65]
1.56
The statement of compatibility argues that the validation merely
maintains the 'status quo'.[66] However, as noted above, in circumstances where the appointment was not validly
made, this may fundamentally change how people should have been treated under
the Migration Act. In this respect, the statement of compatibility provides no
information as to how those individuals would have been treated if the
appointment had never been made. It may be that a process that was capable of
complying with Australia's obligations of non-refoulement may have applied to
these individuals. It is unclear from the information provided how many people
may be adversely affected by the validation. There are also questions as to the
extent of the impact of the validation on Australia's non-refoulement
obligations including how many persons who entered the waters of the Territory
of Ashmore and Cartier Islands during the relevant period:
- are yet to have their claims for asylum or applications for
protection visas determined;
- have had their applications refused under the 'fast track'
process (and are present in Australia, offshore immigration detention or have
been subject to removal or return).
Committee comment
1.57
The obligation of non-refoulement is absolute and may not be
subject to any limitations.
1.58
Given the 2002 appointment has been found by the courts to be
invalid, persons who entered waters of the Territory of Ashmore and Cartier
Islands without a valid visa may not have been correctly classified as
'offshore entry persons' (now 'unauthorised maritime arrivals') and the 'fast
track' assessment process may have been incorrectly applied to them.
1.59
The committee has previously considered that the 'fast track'
assessment process is likely to be incompatible with Australia's obligations
under the International Covenant on Civil and Political Rights and the
Convention Against Torture of ensuring independent, effective and impartial
review, including merits review, of non-refoulement decisions.
1.60
Accordingly, by retrospectively validating the 2002 appointment,
the measure engages the obligation of non-refoulement and the right to an
effective remedy. The committee seeks the advice of the minister as to the
extent of the impact of the validation on Australia's obligations, including:
- how individuals arriving at the area of waters within the
Territory of Ashmore and Cartier Islands would have been treated if the 2002
appointment had not been made;
- the extent of any detriment to individuals if the 2002
appointment is validated;
- how many persons who entered the area of waters within the
Territory of Ashmore and Cartier Islands without a valid visa during the
relevant period:
- are yet to have their claims for asylum or applications for
protection visas determined (either in Australia or offshore immigration detention);
- have had their applications refused under the 'fast track'
process (including how many are present in Australia, are present in offshore
immigration detention and how many have been subject to removal or return);
- any other information relevant to the compatibility of the
measure with the obligation of non-refoulement.
Compatibility of the measure with the right to a fair hearing
1.61
Validating the 2002 appointment may engage and limit the right to a fair
hearing on a number of grounds.
1.62
First, given the 2002 appointment has been found to be invalid, the
'fast track' assessment process may have incorrectly been applied to
individuals who arrived at the area of waters within the Territory of Ashmore
and Cartier Islands. Previous human rights analysis of the 'fast track'
assessment process noted that the 'fast track' assessment and review process is
quite limited and there were concerns as to the independence and the impartiality
of such a review. Accordingly, the committee previously concluded that the
fast-track assessment process may be incompatible with the right to a fair
hearing.[67]
1.63
Secondly, validating the 2002 appointment may adversely affect any
person who seeks to challenge an act or decision under the Migration Act on the
basis that the impugned action or decision is invalid under the 2002
appointment. Accordingly, the validation may further limit the right to a fair
hearing. The minister, in his second reading speech explains that the:
...validity of the Appointment is now being challenged in the
Federal Circuit Court and the Federal Court...A successful challenge to the
Appointment could mean that affected persons did not enter Australia at an
excised offshore place and are therefore not unauthorised maritime arrivals
under the act. It could also mean that some affected persons are not fast-track
applicants under the act.[68]
1.64
It is noted that the court in DBC16 v Minister for Immigration &
Anor[69] reached precisely this finding in relation to the invalidity of the
appointment and accordingly made a declaration that the applicant was not an
UMA. No further information is provided in the statement of compatibility about
the nature of any other challenges related to the 2002 appointment.
Nevertheless section 5 of the bill provides that the bill will not affect
rights or liabilities arising between parties to proceedings where judgment has
been delivered by a court prior to the commencement of the bill, if the
validity of the appointment was at issue in the proceedings and the judgment
set aside the appointment or declared it to be invalid. While this may operate
as a relevant safeguard, it does not address circumstances where a proceeding
is on foot but judgment has not been issued. It also does not address the
situation where proceedings have not yet been commenced by affected
individuals. This raises questions as to whether the measure is the least
rights restrictive approach.
1.65
More generally, the right to a fair hearing is not addressed in the
statement of compatibility, and accordingly no assessment was provided as to
whether any limitation is permissible.
Committee comment
1.66
The committee requests the advice of the minister as to the
compatibility of the measure with the right to a fair hearing, including:
- whether the measure is aimed at achieving a legitimate
objective for the purposes of human rights law;
- how the measure is effective to achieve (that is, rationally
connected to) that objective; and
- whether the limitation is a reasonable and proportionate
measure to achieve the stated objective (including whether it is the least
rights restrictive approach and the scope of individuals likely to be affected),
particularly in light of the fact that the 2002 appointment has been found to
be invalid.
Compatibility of the measure with the right to an
effective remedy for impermissible limitations on human rights
1.67
Where measures impermissibly limit human rights, those affected have a
right to an effective remedy. The right to an effective remedy is protected by
article 2 of the ICCPR, and may include restitution, guarantees of
non-repetition of the original violation, or satisfaction. The UN Human Rights
Committee has stated that while limitations may be placed in particular
circumstances on the nature of the remedy provided (judicial or otherwise),
states parties must comply with the fundamental obligation to provide a remedy
that is effective.[70]
1.68
As outlined above, classification as an UMA may have led to the
imposition of measures which were likely to be incompatible with human rights
including the obligation of non-refoulement. Those classified as an UMA will
have been subject to mandatory immigration detention[71] and may also have been transferred to offshore immigration detention.[72] In some cases, it may have resulted in prolonged immigration detention
(including offshore detention) or delays in processing claims.[73] The committee has previously raised human rights concerns about the impact of both
onshore and offshore immigration detention including in relation to:
-
the right to liberty and the prohibition on arbitrary detention;
- the right to humane treatment in detention;
- the right to health; and
-
the rights of the child.[74]
1.69
Classification as an UMA may also have impacted upon whether an
individual found to be a refugee was entitled to a permanent protection visa or
temporary protection visa. The consequence of being granted a temporary rather
than permanent visa may also have restricted access to family reunion and the
right to the protection of the family.[75]
1.70
It appears that the validation could operate to close a potential avenue
for individuals who entered certain waters of the Territory of Ashmore and
Cartier Islands and were classified as UMAs to seek a remedy in relation to
possible violations of such human rights. However, the statement of
compatibility does not acknowledge that the right to an effective remedy is
engaged by the measure and accordingly does not provide an assessment as to
whether it is compatible with this right. As noted above, while there is a
potential safeguard in the bill in relation to proceedings where judgment has
been delivered, there is no such safeguard more generally in relation to
ongoing proceedings or proceedings that have not yet been brought. Further,
that safeguard would appear to only operate in relation to a person who is a
party to the particular proceedings where judgment has been delivered, rather
than all those who may be affected by the judgment.
Committee comment
1.71
The committee seeks the advice of the minister as to whether the
measure is compatible with the right to an effective remedy (including how individuals
who arrived at the area of waters within the Territory of Ashmore and Cartier
Islands would have been treated if the 2002 appointment had not been made and
the effect of the validation on the ability of individuals to seek remedies in
relation to possible violations of human rights).
National Disability Insurance Scheme (Incident Management and Reportable Incidents)
Rules 2018 [F2018L00633]
National Disability Insurance Scheme (Complaints Management and Resolution)
Rules 2018 [F2018L00634]
Purpose |
[F2018L00633]: prescribes
the requirements for NDIS providers to implement and maintain incident
management systems to record reportable incidents, and for inquiries by the
NDIS Quality and Safeguards Commissioner in relation to reportable incidents.
[F2018L00634]: prescribes
the requirements for the resolution of complaints relating to NDIS providers,
complaints to and inquiries by the NDIS Quality and Safeguards Commissioner |
Portfolio |
Social Services |
Authorising legislation |
National Disability
Insurance Scheme Act 2013 |
Last day to disallow |
15 sitting days after
tabling (tabled Senate 18 June 2018) |
Rights |
Privacy; fair hearing;
rights of persons with disabilities (see Appendix 2) |
Status |
Seeking additional
information |
Disclosure of information relating to complaints
1.72
The National Disability Insurance Scheme (Complaints Management and
Resolution) Rules 2018 (the Complaints Management Rules) set out the rules
governing the resolution of complaints about NDIS providers that have been made
to the Commissioner.
1.73
Section 25 of the Complaints Management Rules provides that the
Commissioner may give information, including about any action taken in relation
to an issue raised in a complaint, to any person or body that the Commissioner
considers has a sufficient interest in the matter.
Compatibility of the measure with
the right to privacy
1.74
Article 22 of the Convention on the Rights of Persons with Disabilities
(CRPD) guarantees that no person with disabilities shall be subjected to
arbitrary or unlawful interference with their privacy.[76] The right to privacy includes respect for private and confidential information,
particularly the storing, use and sharing of such information, and the right to
control the dissemination of information about one's private life.
1.75
The statement of compatibility addresses the right to privacy in
relation to a different aspect of the Complaints Management Rules,[77] but does not specifically address whether section 25 engages and limits the
right to privacy. However, it would appear that the provision of 'information'
could include personal information, including information about complainants or
persons the subject of a complaint. If this is the case, then the provision
would engage and limit the right to privacy.
1.76
The right to privacy may be subject to permissible limitations which are
provided by law and are not arbitrary. In order for limitations not to be
arbitrary, the measure must pursue a legitimate objective and be rationally
connected and proportionate to achieving that objective.
1.77
The statement of compatibility describes the overall objective of the
Complaints Management Rules as being to 'ensure providers are responsive to the
needs of people with disability and focussed on the timely resolution of issues
and that, when things go wrong, something is done about it'.[78] While this is capable of being a legitimate objective for the purposes of international
human rights law, no information is provided as to the importance of this
objective in the context of
the particular measure. Further information as to the purpose of the
particular measure (that is, the purpose of allowing the Commissioner to give
information to 'any person or body that the Commissioner considers has a
sufficient interest in the matter') would assist in determining whether the
measure pursues a legitimate objective. Additional information in this respect
would also assist in determining whether the measure is rationally connected to
(that is, effective to achieve) the objective.
1.78
As to proportionality, the statement of compatibility explains that any
personal information collected by the Commissioner in the performance of their functions
is 'protected Commission information' under the National Disability
Insurance Scheme Act 2013 (the NDIS Act). It states that therefore:
[protected Commission information] will be handled in
accordance with the limitations placed on the use and disclosure of protected
Commission information under the Act, the National Disability Insurance
Scheme (Protection and Disclosure of Information – Commissioner) Rules 2018, the Privacy Act 1988, and any other applicable Commonwealth, State or
Territory legislation. Information will only be dealt with where reasonably
necessary for the fulfilment of the Commissioner's lawful and legitimate
functions.[79]
1.79
However, this general description of the safeguards does not assist in
determining whether the measure is a proportionate limitation on the right to
privacy. In order to be proportionate, limitations on the right to privacy must
be no more extensive than what is strictly necessary to achieve the legitimate
objective of the measure, and be accompanied by adequate safeguards to protect
the right to privacy. Further information as to the specific safeguards in the
NDIS Act, the National Disability Insurance Scheme (Protection and Disclosure
of Information – Commissioner) Rules 2018 and the Privacy Act 1988 that would protect personal and confidential information that may disclosed
pursuant to section 25 of the Complaints Management Rules would assist in
determining whether the measure is proportionate.
1.80
It is also not clear from the information provided what is meant by a
person having a 'sufficient interest' in the information. The explanatory
statement states that a person may have 'sufficient interest' in the matter 'if
the Commissioner is satisfied that, in relation to the purpose of disclosure,
the proposed recipient has a genuine and legitimate interest in the
information'.[80] The explanatory statement further states:
Other persons or bodies that may have a sufficient interest
in the matter may include:
- with the consent of the person with disability affected by an issue
raised in a complaint, independent advocates or representatives;
- with the consent of a person with disability affected by an issue
raised in a complaint, their family members, carers or other significant
people.
In providing information, the Commissioner must comply with
his or her obligations under the Privacy Act 1988, and should consider
whether providing the information is appropriate or necessary for the proper
handling of the complaint.[81]
1.81
However, beyond the reference to these safeguards in the explanatory
statement, it is not clear from the information provided whether these
safeguards and limitations on the meaning of 'sufficient interest' (such as the
requirement to provide information with the consent of the person with
disability, or the requirement that the Commissioner should consider whether
providing information is appropriate or necessary for the proper handling of
the complaint) are required as matters of law, or whether they are matters of
discretion for the Commissioner.
Committee comment
1.82
The preceding analysis indicates that the Commissioner's power to give information, including about any action taken in relation to an issue
raised in a complaint, to any person or body that the Commissioner considers
has a sufficient interest in the matter may engage and limit the right to
privacy.
1.83
The committee seeks the advice of the minister as to:
- whether the measure is aimed at pursuing a legitimate objective
for the purposes of international human rights law;
- how the measure is effective to achieve (that is, rationally
connected to) its stated objective; and
- whether the limitation is a reasonable and proportionate measure
to achieve the stated objective (including information as to the specific
safeguards in the NDIS Act, the National Disability Insurance Scheme
(Protection and Disclosure of Information – Commissioner) Rules 2018 and
the Privacy Act 1988 that protect personal and confidential information
when the Commissioner exercises their power under section 25 of the rules).
Record keeping and incident and complaint management requirements
1.84
Section 10(2) of the Complaints Management Rules states that appropriate
records of complaints received by the NDIS provider must be kept and include
information about complaints, any action taken to resolve complaints, and the
outcome of any action taken. Those records must be kept for 7 years from the
day the record is made.[82] The complaints management system must also provide for the collection of
statistical and other information relating to complaints made to the provider
to review issues raised in complaints, identify and address systemic issues
raised through the complaints management and resolution process, and report
information relating to complaints to the Commissioner if requested to do so.[83]
1.85
Similarly, section 12 of the National Disability Insurance Scheme
(Incident Management and Reportable Incidents) Rules 2018 (Reportable Incidents
Rules) sets out the documentation, record keeping and statistics requirements
in relation to the incident management systems. An NDIS provider must provide
specified information in the record of each incident that occurs, including a
description of the incident, the names and contact details of the persons
involved in the incident, the names and contact details of any witnesses to the
incident, the name and contact details of the person making the record of the
incident, and the details and outcomes of any investigations into the incident.[84] These records must also be kept for 7 years from the day the record is made and
the incident management system must also provide for the collection of
statistical and other information relating to incidents.[85]
Compatibility of the measure with
the right to privacy
1.86
As the provisions in the Complaints Management Rules and Reportable
Incidents Rules relate to the storing, use and sharing of information
(including personal information), the provisions engage and limit the right to
privacy.
1.87
The statement of compatibility to the Complaints Management Rules
discusses the right to privacy in general terms (discussed above), but does not
specifically address the record keeping requirements in those rules. The
statement of compatibility to the Reportable Incidents Rules does not
acknowledge that the rules may engage and limit the right to privacy.
1.88
The explanatory statement to the Reportable Incidents Rules states that
it is 'crucial that the incident management system is documented so that
compliance with the system can be monitored and enforced, including by quality
auditors and the Commissioner'.[86] Similarly, the explanatory statement to the Complaints Management Rules states
that the documentation and record keeping requirement 'is fundamental to the
proper functioning of a complaints management and resolution system as it
ensures that persons with disability and their families and carers are aware of
their rights and can advocate for their needs and safety where appropriate'.[87] The explanatory statement to each of the instruments explains that the
collection of statistics and other information is for the purpose of
identifying any systemic issues that may exist.[88] Each of these objectives appear to be legitimate objectives for the purposes of
international human rights law, and the measures appear to be rationally
connected to this objective.
1.89
As to proportionality, as noted above, limitations on the right to
privacy must be accompanied by adequate safeguards. There is limited
information in the explanatory statement or statement of compatibility as to
the safeguards that apply to the information stored pursuant to the record
keeping requirements, such as requirements for keeping records secure and
confidential, or penalties for unauthorised disclosure. Further information as
to these matters would assist in determining whether the limitation on the right
to privacy is proportionate.
1.90
Further, in relation to the collection of statistical and 'other
information', this appears to be very broad and, according to the explanatory
statement to the Reportable Incidents Rules, would allow disclosure of 'who is
involved in incidents (for example, whether particular workers and/or people
with disability are involved in multiple incidents)'.[89] No information is provided in the explanatory statements or statements of
compatibility as to the safeguards that would apply to protect the right to
privacy of those persons whose information is disclosed pursuant to the
statistical collection requirements.
Committee comment
1.91
The preceding analysis indicates that the record keeping requirements
relating to incident management and complaints management may engage and limit
the right to privacy.
1.92
The committee seeks the advice of the minister as to the proportionality
of the limitation on the right to privacy. In particular, the committee seeks
information as to the safeguards that would apply to protect the right to
privacy.
Inquiry powers and procedural fairness requirements relating to complaints
and incident management
1.93
Section 9 of the Complaints Management Rules provides that the
complaints management and resolution system of a registered NDIS provider must
ensure that people are afforded procedural fairness when a complaint is dealt
with by a provider. Similarly, section 11 of the Reportable Incidents Rules
provides that incident management systems of registered NDIS providers must
require that people are afforded procedural fairness when an incident is dealt
with by a provider. The Commissioner must have due regard to the rules of
procedural fairness when taking action in relation to a reportable incident,[90] and must give due regard to procedural fairness when considering any
complaints.[91] For each of these provisions, the Commissioner may make guidelines relating to
procedural fairness.[92]
1.94
The Complaints Management Rules also give the Commissioner powers to
authorise inquiries in relation to issues connected with complaints, a series
of complaints or about support or services provided by NDIS providers.[93] The Reportable Incidents Rules allow for the Commissioner to authorise
inquiries in relation to reportable incidents.[94]
Compatibility of the measure with
the right to a fair hearing
1.95
Article 14(1) of the ICCPR requires that in the determination of a
person's rights and
obligations in a suit at law, everyone shall be entitled to a fair and public
hearing by a competent, independent and impartial tribunal established by law.
Australia also has obligations to ensure effective access to justice for
persons with disabilities on an equal basis with others.[95]
1.96
The concept of 'suit at
law' encompasses judicial procedures aimed at determining rights and
obligations, equivalent notions in the area of administrative law and also
extends to other procedures assessed on a case-by-case basis in light of the
nature of the right in question.[96]
1.97
It is not clear from the information provided the extent to which the
processes in relation to incident and complaints management by NDIS providers
and the Commissioner would involve the determination of rights and obligations
of persons subject to the complaints (such as persons employed or engaged by
NDIS providers) such as to constitute a 'suit at law'. However, it is noted
that some of the outcomes of resolving incidents by NDIS providers appear to
include corrective action,[97] the Commissioner may refer incidents to authorities with responsibility in
relation to incidents (such as child protection authorities),[98] or 'take any other action that the Commissioner considers reasonable in the
circumstances'.[99] In relation to complaints management, the Commissioner must undertake a
resolution process in relation to complaints which appears to include the
ability to make adverse findings against persons employed or engaged by NDIS
providers.[100] Similarly in relation to inquiries the Commissioner may 'prepare and publish a
report setting out his or her findings in relation to the inquiry'.[101]
1.98
To the extent that these processes may involve the determination of
rights and obligations, fair hearing rights may apply. This matter was not
addressed in the statement of compatibility. The instruments and the
explanatory statement refer to the development of the National Disability
Insurance Scheme (Procedural Fairness) Guidelines 2018. A copy of these
guidelines would assist in determining whether the procedural fairness
requirements afforded are consistent with fair hearing rights.
1.99
Another relevant factor in determining compatibility with fair hearing
rights is the availability of independent review of decisions. The explanatory
statement states that decisions of the Commissioner may be the subject of
complaint to the Commonwealth Ombudsman.[102] This would be a relevant safeguard. However, further information, including
information as to any external review of decisions of the Commissioner (such as
merits review), would assist in determining whether these review options are
sufficient for the purposes of the right to a fair hearing.
Committee comment
1.100
The preceding analysis raises questions as to the compatibility of the
inquiry powers, incident management processes and complaints management
processes with fair hearing rights under Article 14 of the ICCPR.
1.101
The committee seeks the advice of the minister as to the compatibility
of the measures with this right, including:
- a copy of the National Disability Insurance Scheme (Procedural
Fairness) Guidelines 2018 (or if a copy is not available, a detailed
overview of the guidelines having regard to the matters discussed above
including any relevant safeguards); and
- safeguards to protect fair hearing rights (including information
as to any external review of decisions).
Compatibility of the measure with
the right to privacy
1.102
The relevant principles relating to the right to privacy are discussed
above.
1.103
The ability of the Commissioner to prepare and publish reports setting
out their findings in relation to an inquiry may engage and limit the right to
privacy, insofar as those reports may contain personal and confidential
information. The privacy implications of the inquiry process were not
specifically addressed in the statements of compatibility to either the
Reportable Incidents Rules or the Complaints Management Rules.
1.104
The explanatory statements to the Reportable Incidents Rules and the
Complaints Management Rules explain that the inquiry function is 'intended to
determine or define potential matters including any systemic issues which may
be connected with support services provided under the NDIS'. This is likely to
be a legitimate objective for the purposes of international human rights law,
and the ability to publish reports on such matters appears to be rationally
connected to this objective.
1.105
Further information from the minister, including the safeguards in place
to protect personal and confidential information, would assist in determining
the proportionality of the measure.
Committee comment
1.106
The preceding analysis indicates that the Commissioner's inquiry
powers may engage and limit the right to privacy.
1.107
The committee seeks the advice of the minister as to the
compatibility of the measure with the right to privacy and, in particular,
information as to the safeguards in place to protect personal and confidential
information.
National Disability Insurance Scheme (Protection and Disclosure of
Information—Commissioner) Rules 2018 [F2018L00635]
Purpose |
Provides for the disclosure
of information in certain circumstances by the NDIS Quality and Safeguards
Commissioner |
Portfolio |
Social Services |
Authorising legislation |
National Disability
Insurance Scheme Act 2013 |
Last day to disallow |
15 sitting days after
tabling (tabled Senate 18 June 2018) |
Right |
Privacy (see Appendix 2) |
Status |
Seeking additional
information |
Background
1.108
The National Disability Insurance Scheme (NDIS) Quality and Safeguards
Commission and Commissioner (commissioner) were established by the National
Disability Insurance Scheme Amendment (Quality and Safeguards Commission and
Other Measures) Act 2017 (the NDIS Amendment Act). The committee
considered the human rights compatibility of the NDIS Amendment Act in Report
7 of 2017.[103] In that report, the committee noted that there were questions as to the
compatibility of the Act with the right to privacy in light of the broad
disclosure power of the commissioner in section 67E(1) of the National
Disability Insurance Scheme Act 2013 (NDIS Act).
1.109
The statement of compatibility for the NDIS Amendment Act explained that
the proposed information gathering and disclosure powers were proportionate to
achieving a legitimate objective because, amongst other factors, the commissioner
would first need to satisfy the relevant NDIS rules,[104] which would 'enumerate specific bodies and purposes' for which the commissioner
could disclose information in the public interest and 'include limitations on
the further use and disclosure of such information'.[105] The committee noted that without a copy of these rules it was unclear whether
the rules would sufficiently constrain the exercise of the commissioner's
disclosure powers, such that the disclosure powers would constitute a
permissible limitation on the right to privacy. Consequently, the committee advised
that it would revisit the matters raised in its assessment when reviewing the
rules once they were made.[106]
Information sharing – disclosure powers
1.110
Part 3 of the National Disability Insurance Scheme (Protection and
Disclosure of Information—Commissioner) Rules 2018 (Disclosure Rules) prescribe
the rules and guidance regarding the commissioner's disclosure powers in
section 67E(1) of the NDIS Act.
1.111
Division 1 sets out the rules which the commissioner must follow in
disclosing any 'NDIS information',[107] where:
-
the commissioner is satisfied on reasonable grounds that it is in
the public interest to do so;[108] or
-
the NDIS information is being disclosed to:
- the head of a Commonwealth, state or territory department or
authority for the purposes of that department or authority;[109] or
- a state or territory department or authority with responsibility
for matters relating to people with disabilities.[110]
1.112
Subject to a number of exceptions,[111] in these circumstances the commissioner must:
- de-identify personal information included in NDIS information,
where doing so would not adversely affect the purpose for which the information
is disclosed;[112]
- notify and seek the consent of the affected individual about the
proposed disclosure prior to disclosure, and provide them with a reasonable
opportunity to comment;[113]
- notify the recipient of the NDIS information about the purpose of
and limitations on the disclosure, and state that the information may only be
used in accordance with the purpose of the disclosure;[114] and
- ensure a record of the disclosure is made, containing prescribed
information.[115]
1.113
Division 2 of part 3 of the Disclosure Rules outlines matters to which
the commissioner must have regard in determining whether there are reasonable
grounds on which to disclose NDIS information in the public interest under
section 67E(1) of the NDIS Act. Section 14 of the Disclosure Rules
requires the commissioner to have regard to:
- whether the affected individual would be likely to be in a
position to seek assistance themselves or notify the proposed recipient of the
information of their circumstances;
- the purpose for which the information was collected, including
any information provided to the affected individual at that time about how the
information would or would not be used or disclosure;
- whether the affected individual would reasonably expect the
commissioner to disclose the information for the proposed purpose and to the
proposed recipient;
- whether the disclosure would be contrary to a request by a complainant
under section 15(3) of the National Disability Insurance Scheme
(Complaints Management and Resolution) Rules 2018;
- whether the proposed recipient has 'sufficient interest' in the
information;[116]
- whether the proposed recipient could reasonably obtain the
information from a source other than the commissioner; and
- whether sections 15 to 19 of the Disclosure Rules apply.
1.114
Sections 15 to 19 set out additional matters about which the
commissioner must be satisfied if the proposed disclosure is for one of the
following purposes:
- enforcement of laws and related circumstances;[117]
- briefing the minister;[118]
- missing or deceased persons;[119]
- assisting child welfare agencies;[120] and
- assisting professional bodies;[121]
1.115
For example, where the proposed disclosure is to assist a 'professional
body',[122] the commissioner must be satisfied that:
- the commissioner holds information about a person employed or
otherwise engaged by an NDIS provider; and
-
the disclosure is necessary to assist a professional body to
consider whether the person's conduct meets the standards required to attain or
maintain membership of the professional body.[123]
Compatibility of the measure with
the right to privacy
1.116
The right to privacy includes respect for private and confidential
information, particularly the storing, use and sharing of such information, and
the right to control the dissemination of information about one's private life.[124]
1.117
Allowing for the disclosure of NDIS information (including personal
information) under section 67E of the NDIS Act engages and limits the
right to privacy. By setting out the factors that the commissioner must
consider in determining whether to disclose NDIS information, the statement of
compatibility acknowledges that the Disclosure Rules engage this right.[125]
1.118
The right to privacy may be subject to permissible limitations which are
provided by law and are not arbitrary. In order for limitations not to be
arbitrary, they must seek to achieve a legitimate objective and be rationally
connected (that is, effective to achieve) and proportionate to that objective.
1.119
In relation to whether the measure pursues a legitimate objective, the
statement of compatibility explains that the objective of permitting the
commissioner to disclose NDIS information is to enhance system-level oversight
of serious incidents involving the abuse, neglect or exploitation of people
with disabilities, by facilitating coordination with the family or carers of
people with disabilities and relevant professional bodies and government
departments and agencies.[126] Regarding the importance of this objective, the statement cites three inquiries
in 2014-2015 into abuse in the disability sector, which emphasised the need for
system-level oversight to adequately identify and address systemic issues in
the sector.[127]
1.120
As acknowledged in the committee's assessment of the primary
legislation, this is likely to constitute a legitimate objective for the
purposes of international human rights law.[128]
1.121
The statement of compatibility provides further information about the
individual measures in division 2 of part 3 (summarised at [1.113] above),
which assists in determining how each disclosure power is effective to achieve
(that is, rationally connected to) the stated objective. For example, the
statement of compatibility notes that section 16, which permits
disclosures to brief the minister, is designed 'to enable matters to be
escalated and managed appropriately' by the relevant minister.[129] In light of the minister's oversight role, the escalation and management of
issues by the minister is likely to be rationally connected to the legitimate
objective of promoting effective system-level oversight of, and response to,
the abuse of people with disabilities. For this reason, and having regard to
the committee's previous conclusions in relation to the primary legislation,
the measures appear to be rationally connected to this objective.
1.122
As noted by the committee in its analysis of the NDIS Amendment Act,[130] the extent to which the Disclosure Rules constrain the commissioner's exercise
of the disclosure powers in section 67E(1) of the NDIS Act is key to
determining whether the disclosure powers are a proportionate limitation on the
right to privacy.
1.123
The statement of compatibility highlights a number of provisions
in division 2 of the Disclosure Rules which are intended to 'limit the scope of
the exercise of the [commissioner's] decision making power'.[131] For example, amongst other
factors, the statement of compatibility notes that the commissioner must
consider whether the proposed recipient of the information could reasonably
obtain the information from another source,[132] and whether the person requesting the information has 'sufficient interest' in
the information.[133] Section 14(2) of the Disclosure Rules imposes an additional limitation on
this threshold by prescribing that a person has a 'sufficient interest' if they
have a 'genuine and legitimate interest in the information', or are a
Commonwealth, state or territory minister. Section 14 also requires the commissioner
to consider whether a person about whom information would be disclosed is
likely to be in a position to seek assistance themselves or give notice to the
proposed recipient of the information, where the information concerns their life,
health or safety.[134] The statement of compatibility explains that this provision is:
...intended to insure that, as far as possible, the
Commissioner takes into account the interests of the person concerned and...is a
further protection against arbitrary interference with the privacy of a person...[135]
1.124
The statement of compatibility also identifies some specific further
restrictions on the disclosure of information for the purposes defined in
sections 15 to 19 of the Disclosure Rules, summarised above at [1.114]. For
example, disclosure of information to brief the minister is limited to the
prescribed purposes of enabling the minister to consider complaints, incidents
or issues, and if necessary respond to the affected person; informing the
minister about an error or delay on the part of the Commission; or alerting the
minister to an anomalous or unusual operation of the Act, regulations or rules.[136] Such restrictions are relevant to the proportionality of the measure and assist
to ensure that disclosure is sufficiently circumscribed.
1.125
However, sections 15, 17, 18 and 19 of the Disclosure Rules
may permit the disclosure of personal information to bodies that are not
constrained by the Privacy Act 1988 (Privacy Act). While compliance with
the Privacy Act is not a complete answer to concerns about the right to privacy,
it may provide relevant safeguards that assist in determining whether a
limitation on the right to privacy is proportionate. Noting this potential gap
in coverage, the relevant sections do not require the commissioner to be
satisfied of how bodies that are not subject to the Privacy Act will collect,
store and disclose personal information that is disclosed to them. The
statement of compatibility does not provide any additional information about
this issue. The potential for information to be disclosed to bodies that are
not constrained by the Privacy Act raises a question as to whether there are
other, relevant safeguards in place to protect the right to privacy.
1.126
There are also a number
of exceptions to the safeguards in division 1, which may restrict the
effectiveness of the safeguards. For example, under section 10(3)(b), the commissioner is not
required to de-identify personal information if they are satisfied that to do
so would result in an unreasonable delay. A similar exception applies to the
consent and consultation requirements in section 11.[137] Neither the Disclosure Rules nor the statement of compatibility explain what
constitutes an 'unreasonable delay' or how this is determined. Further
information as to how this threshold is determined would assist the committee
to assess whether the limitation on the right to privacy is proportionate to
the legitimate objective sought.
1.127
Finally, the Disclosure
Rules do not appear to make decisions made by the commissioner under part 3 of
the rules reviewable, nor does the NDIS Act make decisions under
section 67E reviewable. This raises concerns about the sufficiency of the
safeguards in place to protect the right to privacy. These matters were not
fully addressed in the statement of compatibility for the Disclosure Rules.
1.128
Accordingly, while part
3 of the Disclosure Rules significantly constrains the commissioner's disclosure
powers under section 67E(1) of the NDIS Act, some questions remain as to
the proportionality of the measures, such as whether the exceptions to the
safeguards in division 1 are the least rights restrictive approach to achieving
the legitimate objective and whether the safeguards in division 2 for public
interest disclosures are sufficient to constitute a proportionate limitation on
the right to privacy.
Committee comment
1.129
The preceding analysis raises questions as to whether the
Disclosure Rules are a proportionate limitation on the right to privacy.
1.130
The committee seeks the advice of the minister as to whether the
Disclosure Rules ensure that the limitation on the right to privacy in
section 67E(1) of the NDIS Act is proportionate to achieve the objective, in
particular:
- whether information may be disclosed to organisations that are
not covered by the Privacy Act and, if so, the sufficiency of other relevant
safeguards to protect the right to privacy;
- whether the exceptions to the safeguards on the commissioner's
disclosure powers in division 1 are the least rights restrictive approach to
pursue the legitimate objective; and
- whether decisions made by the commissioner in part 3 of the
Disclosure Rules are reviewable.
National Disability Insurance Scheme (Restrictive Practice and Behaviour Support)
Rules 2018 [F2018L00632]
Purpose |
Provides oversight relating
to behaviour support, monitoring the use of restrictive practices within the
National Disability Insurance Scheme (NDIS) |
Portfolio |
Social Services |
Authorising legislation |
National Disability
Insurance Scheme Act 2013 |
Last day to disallow |
15 sitting days after
tabling (tabled Senate 18 June 2018) |
Rights |
Torture, cruel, inhuman and
degrading treatment or punishment; liberty; rights of persons with
disabilities (see Appendix 2) |
Status |
Seeking additional
information |
Conditions relating to the use of regulated restrictive practices by NDIS
providers
1.131
The National Disability Insurance Scheme (Restrictive Practice and
Behaviour Support) Rules 2018 (rules) sets out the conditions of registration
that apply to all registered National Disability Insurance Scheme (NDIS)
providers who use 'regulated restrictive practices' in the course of delivering
NDIS support. A 'regulated restrictive practice' involves any of the following:
- seclusion,
which is the sole confinement of a person with disability in a room or a
physical space at any hour of the day or night where voluntary exit is
prevented, or not facilitated, or it is implied that voluntary exit is not
permitted;
- chemical
restraint, which is the use of medication or chemical substance for the primary
purpose of influencing a person’s behaviour. It does not include the use of
medication prescribed by a medical practitioner for the treatment of, or to
enable treatment of, a diagnosed mental disorder, a physical illness or a
physical condition;
- mechanical
restraint, which is the use of a device to prevent, restrict, or subdue a
person’s movement for the primary purpose of influencing a person’s behaviour
but does not include the use of devices for therapeutic or non-behavioural
purposes;
- physical
restraint, which is the use or action of physical force to prevent, restrict or
subdue movement of a person’s body, or part of their body, for the primary
purpose of influencing their behaviour. Physical restraint does not include the
use of a hands-on technique in a reflexive way to guide or redirect a person
away from potential harm/injury, consistent with what could reasonably be
considered the exercise of care towards a person.
- environmental
restraint, which restricts a person’s free access to all parts of their
environment, including items or activities.[138]
1.132
The rules prescribe different conditions of registration of NDIS
providers depending on the regulation of restrictive practices in a state or
territory. Broadly, for those states and territories that prohibit the use of
a restrictive practice, it is a condition of registration of the NDIS provider
that the provider must not use the restrictive practice in relation to a person
with a disability.[139]
However, where the practice is not prohibited but rather is regulated by an
authorisation process,[140] registration is conditional upon the use of the regulated restrictive practice
being authorised (other than a 'single emergency use'[141]),
and the provider must lodge with the NDIS Quality and Safeguards Commissioner
(Commissioner) evidence of that authorisation as soon as reasonably practicable
after the use of the regulated restrictive practice.[142]
1.133
The rules also prescribe the conditions of registration where a
'behaviour support plan' is used in relation to a regulated restrictive
practice. Behaviour support plans may only be developed by a NDIS behaviour
support practitioner[143] and are subject to certain conditions, including the requirement that all
reasonable steps be taken to reduce and eliminate the need for the use of
regulated restrictive practices.[144] In particular, section 21 of the rules sets out the minimum content of
behaviour support plans containing regulated restrictive practices, and
provides that the registration of specialist behaviour support providers[145] is subject to the condition a regulated restrictive practice must:
-
be clearly identified in the behaviour support plan;
- if the state or territory in which the regulated restrictive
practice is to be used has an authorisation process – be authorised in
accordance with that process;
-
be used only as a last resort in response to risk of harm to the
person with disability or others, and after the provider has explored and
applied evidence-based, person-centred and proactive strategies; and
- be the least restrictive response possible in the circumstances
to ensure the safety of the person and others; and
- reduce the risk of harm to the person with disability or others;
and
- be in proportion to the potential negative consequence or risk of
harm; and
- be used for the shortest possible time to ensure the safety of
the person with disability or others.[146]
1.134
Where an NDIS provider provides support or services in accordance with a
behaviour support plan that includes the use of a restrictive practice,
registration as a provider is conditional on the regulated restrictive practice
being used in accordance with the behaviour support plan.[147]
1.135
The rules also set out registration requirements where the use of a
regulated restrictive practice may be unauthorised by state or territory law
but be in accordance with a behaviour support plan, and vice versa. In
particular:
- where the NDIS provider uses a regulated restrictive practice
pursuant to an authorisation process but not in accordance with a behaviour
support plan (described as the 'first use' in the rules), and the use of such
practices will or is likely to continue, the NDIS provider must take all steps
to develop an interim behaviour support plan within one month after the use of
the regulated restrictive practice and a comprehensive behaviour support plan
within six months;[148]
- where the NDIS provider uses a regulated restrictive practice
that is not authorised pursuant to an authorisation and is not in
accordance with a behaviour support plan, and the use of such practices will or
is likely to continue, the NDIS provider must (relevantly) obtain authorisation
for the ongoing use of the regulated restrictive practice and take all
reasonable steps to develop an interim behaviour support plan within one month
and a comprehensive behaviour support plan within six months;[149] and
- where the NDIS provider uses a regulated restrictive practice
that is not in accordance with a behaviour support plan but authorisation is
not required in the state or territory, and the use will or is likely to
continue, the NDIS provider must take all reasonable steps to develop an
interim behaviour support plan within one month and a comprehensive behaviour
support plan within six months that covers the use of the regulated restrictive
practice.[150]
Compatibility of the measure with
the prohibition on torture, cruel, inhuman or degrading treatment or punishment
1.136
Australia has an obligation not to subject any person to torture or to
cruel, inhuman or degrading treatment or punishment.[151] The prohibition on torture, cruel, inhuman and degrading treatment or
punishment is absolute and may never be subject to any limitations. The UN
Committee on the Rights of Persons with Disabilities (UNCRPD) has stated that
Australia's use of restrictive practices may raise concerns in relation to freedom
from torture and cruel, inhuman or degrading treatment or punishment, and has
recommended that Australia take immediate steps to end such practices.[152]
1.137
The statement of compatibility acknowledges that the rules engage the
prohibition on torture, cruel, inhuman or degrading treatment or punishment,[153] and also acknowledges the concerns raised by the UNCRPD about the unregulated
use of restrictive practices.[154]
1.138
The statement of compatibility emphasises the minimum requirements in
behaviour support plans that include the use of regulated restrictive practices
(summarised above at [1.133]) and also emphasises that behaviour support plans
'must contain strategies that aim to reduce and eliminate the use of
restrictive practices, both in the long-term and in the short-term'.[155] It also states that the oversight of behaviour support plans (including lodging
the plans with the Commissioner and reviewing the plans every 12 months) and
the obligations on behaviour support providers 'act as a safeguard against
inhumane treatment'.[156] However, while the safeguards that ensure regulated restrictive practices are
(for example) 'proportionate' or the 'least restrictive response' are
important, they would not be of assistance where the practice amounted to
torture, cruel, inhuman or degrading treatment or punishment. This is because, as
noted earlier, Australia's obligations in relation to torture, cruel, inhuman
or degrading treatment or punishment are absolute.
1.139
There are also particular questions in circumstances where the regulated
restrictive practice may be used against a disabled person not in accordance
with a behaviour support plan and/or without authorisation. It is possible that
a disabled person could be subject to a regulated restrictive practice without
authorisation or a behaviour support plan (and the accompanying safeguards),
and the NDIS provider could still obtain registration as a provider so long as
the provider is subsequently authorised and develops a behaviour support plan.[157]
There is limited information provided in the statement of compatibility that
specifically addresses how the NDIS provider registration scheme will ensure
that the regulated restrictive practices used without authorisation or a
behaviour support plan do not amount to torture, cruel, inhuman or degrading
treatment or punishment. Further information as to the safeguards to prevent
such practices in breach of Australia's obligations occurring in the first
instance, rather than requirements imposed after the practice has occurred,
would be of assistance in determining human rights compatibility.
1.140
Questions also arise in circumstances where an NDIS provider engages in
a 'single emergency use' of the regulated restrictive practice without
authorisation.[158] 'Single emergency use' is not defined in the rules. The explanatory statement
indicates that 'single emergency use' refers to a practice 'that has not
previously been identified as being required in response to behaviour of that
person with a disability previously'.[159] The explanatory statement provides the following example:
For example, if a person
suddenly presents with behaviour that poses a risk of harm to themselves and
immediate steps have to be taken to protect them from that harm, the emergency
use of a restrictive practice may be required. An example would be where a person
receives unexpected news causing them distress and in their distress they are
about to run out onto a busy highway and the disability worker has to stand in
front of him and physically restrain him by grabbing his wrists to prevent him
from running onto the road.[160]
1.141
While the explanatory statement appears to indicate that a 'single
emergency use' is restricted to certain circumstances (such as where immediate
steps need to be taken to protect a person from harm), those restrictions and
safeguards do not appear in the rules. It is not clear from the information
provided what safeguards there are in place to prevent the 'single emergency
use' occurring in circumstances where that practice may amount to torture,
cruel, inhuman or degrading treatment or punishment.
Committee comment
1.142
The preceding analysis indicates that the use of regulated
restrictive practices may engage Australia's absolute obligation not to subject
persons to torture, cruel, inhuman or degrading treatment or punishment.
1.143
The committee seeks the advice of the minister as to the
compatibility of the rules with this right, including:
- safeguards to prevent regulated restrictive practices (including
'first use' of a regulated restrictive practice and 'single emergency use' of a
regulated restrictive practice) amounting to torture, cruel, inhuman or
degrading treatment or punishment; and
- whether the rules could be amended to include safeguards to
prevent regulated restrictive practices (in particular 'first use' regulated
restrictive practices and 'single emergency use' regulated restrictive
practices) amounting to torture, cruel, inhuman or degrading treatment or
punishment.
Compatibility of the measure with
multiple other rights relating to the protection of persons with disabilities
1.144
The statement of compatibility also acknowledges that the use of
regulated restrictive practices engages the following rights in the Convention
on the Rights of Persons with Disabilities (see Appendix 2):
- the right to equal recognition before the law and to exercise
legal capacity;[161]
- the right of persons with disabilities to physical and mental
integrity on an equal basis with others;[162]
- the right to liberty and security of the person;[163]
- the right to freedom from exploitation, violence and abuse;[164] and
- he right to freedom of expression and access to information.[165]
1.145
Each of these rights may be subject to permissible limitations provided
the limitation addresses a legitimate objective, is effective to achieve (that
is, rationally connected to) that objective and is a proportionate means to
achieve that objective.
1.146
The objective of the rules is stated to be to oversee behaviour support
and 'the reduction and elimination of restrictive practices in the NDIS'.[166] While this is capable of being a legitimate objective for the purposes of
international human rights law, the statement of compatibility provides limited
information as to the importance of these objectives in the context of the
particular measure. This is particularly significant given that the rules
regulate the use of restrictive practices, that is, are directed toward
oversight of their use rather than explicitly eliminating their use. Further
information as to whether regulating the use of restrictive practices is a
legitimate objective in circumstances where the ultimate objective is to
eliminate such practices would therefore be of assistance. The same information
would assist in determining whether the measures are rationally connected to
the objective.
1.147
As to proportionality, the statement of compatibility identifies several
safeguards, including the minimum requirements for the use of regulated
restrictive practices in behaviour support plans, and reporting and monitoring
requirements. All of these safeguards are relevant in determining the
proportionality of the measure. The requirement that the use of any regulated
restrictive practice pursuant to a behaviour support plan be the 'least
restrictive', as a matter of last resort and proportionate are particularly
relevant. However, it is not clear from the information provided who determines
whether a measure is the 'least restrictive' and 'proportionate', the criteria
that are relevant to making such a determination, and whether there is any
oversight of such a determination.
1.148
There are also questions as to proportionality in circumstances where
the use of the regulated restrictive practice occurs not in accordance with a
behaviour support plan or without authorisation. In that circumstance, it is
not clear what safeguards would be in place to ensure that use of the regulated
restrictive practice occurs in a manner compatible with the human rights
outlined above. This includes what safeguards would be in place to ensure that
any use of the restrictive practice (including but not limited to the 'first
use' and a 'single emergency use') occurs in the least rights restrictive
manner possible. It would appear that there would be other, less rights
restrictive, approaches which could be taken by the rules, such as requiring all use (including 'first use' and 'single emergency use' practices) to be the
subject of authorisation and behaviour support plans.
Committee comment
1.149
The preceding analysis indicates that the use of regulated restrictive
practices engages the right to equal recognition before the law and to exercise
legal capacity, the right of persons with disabilities to physical and mental
integrity on an equal basis with others, the right to liberty and security of
the person, the right to freedom from exploitation, violence and abuse, and the
right to freedom of expression and access to information.
1.150
The committee seeks the advice of the minister as to the compatibility
of the use of regulated restricted practices with these rights, including:
-
whether the measure is aimed at achieving a legitimate objective
for the purposes of human rights law;
- how the measure is effective to achieve (that is, rationally
connected to) that objective;
- whether the limitation is a reasonable and proportionate measure
to achieve the stated objective;
- information as to safeguards to ensure that the 'first use' of a
regulated restrictive practice and any 'single emergency use' occurs in a
manner that is compatible with human rights;
- whether the rules could be amended to include safeguards to ensure
regulated restrictive practices (in particular 'first use' regulated
restrictive practices and 'single emergency use' regulated restrictive
practices) occur in a manner that is compatible with the human rights discussed
in the preceding analysis.
Record keeping requirements
1.151
The rules also prescribe record keeping requirements in relation to the
use of regulated restrictive practices, including a requirement to record the
details of the names and contact details of the persons involved in the use of
the regulated restrictive practice and of any witnesses.
Compatibility of the measure with
the right to privacy
1.152
Article 22 of the CRPD guarantees that no person with disabilities shall
be subjected to arbitrary or unlawful interference with their privacy.[167] The right to privacy includes respect for private and confidential information,
particularly the storing, use and sharing of such information, and the right to
control the dissemination of information about one's private life.
1.153
As the record keeping requirements relate to the storing and use of
information (including personal information) the measures engage and limit the
right to privacy. The right to privacy is not addressed in the statement of
compatibility.
1.154
The statement of compatibility explains that the reporting and record
keeping requirements 'allow appropriate action to be taken in response to any
issues raised and to inform future policy development, education and guidance
to providers, participants and their support networks'.[168] The record keeping requirements appear to be rationally connected to this
objective.
1.155
As to proportionality, limitations on the right to privacy must be accompanied
by adequate safeguards. There is limited information in the explanatory
statement or statement of compatibility as to the safeguards that apply to the
information stored pursuant to the record keeping requirements, such as
requirements to keep records secure and confidential, or penalties for
unauthorised disclosure. Further information as to these matters would assist
in determining whether the limitation on the right to privacy is proportionate.
Committee comment
1.156
The preceding analysis indicates that the record keeping requirements
relating to the use of regulated restrictive practices may engage and limit the
right to privacy.
1.157
The committee seeks the advice of the minister as to the proportionality
of the limitation on the right to privacy. In particular, the committee seeks
information as to the safeguards that would apply to protect the right to
privacy.
Office of National Intelligence Bill 2018
Office of National Intelligence (Consequential and Transitional Provisions)
Bill 2018
Purpose |
Seeks to establish the Office
of National Intelligence as an independent statutory agency within the prime
minister's portfolio, subsuming the role, functions and staff of the Office
of National Assessments.
Seeks to repeal the Office
of National Assessments Act 1977, make consequential amendments to a
range of Acts and provide for transitional arrangements |
Portfolio |
Prime Minister |
Introduced |
House of Representatives,
28 June 2018 |
Rights |
Freedom of expression;
presumption of innocence; privacy; equality and non-discrimination; life;
torture, cruel, inhuman and degrading treatment or punishment (see Appendix
2) |
Status |
Seeking additional
information |
Offences for unauthorised use or disclosure of information
1.158
The Office of National Intelligence Bill 2018 (the bill) seeks to create
a number of offences related to the unauthorised communication, use or
recording of information or matters acquired or prepared by or on behalf of the
Office of National Intelligence (ONI) in connection with its functions or that
relates to the performance by ONI of its functions (ONI information).
1.159
Proposed section 42 would create an offence for persons to communicate
ONI information or matters in circumstances where the person is or was a staff
member of ONI, is otherwise engaged by ONI, or is an employee or agent of a
person engaged by ONI (in other words, an ONI 'insider').[169] The offence carries a maximum penalty of 10 years' imprisonment.
1.160
Proposed section 43 would create an offence for the subsequent
disclosure of ONI information or matters which come to the knowledge or into
the possession of a person other than due to their employment or association
with ONI[170] (in other words, an ONI 'outsider'), in circumstances where the person intends that
the communication cause harm to national security or endanger the health or
safety of another person, or where the person knows that the communication will
or is likely to cause harm to national security or endanger the health or
safety of another person. The offence carries a maximum penalty of 5 years'
imprisonment.
1.161
Proposed section 44 would create offences for the unauthorised 'dealing
with'[171] or making records of ONI information where the person is an ONI 'insider'. The
offences carry a maximum penalty of 3 years' imprisonment.
Defences and exceptions
1.162
There are specific exemptions to the offences in proposed sections 42
and 44 where the communication is made:
- to the Director-General[172] or a staff member by the person in the course of their duties as a staff member
or in accordance with a contract, agreement or arrangement; or
- within the limits of authority conferred on the person by the
Director-General or with the approval of the Director-General or a staff member
having the authority of the Director-General to give such an approval.
1.163
The bill also provides for a number of defences to each of the offences
in proposed sections 42, 43, and 44, including where:
-
the information or matter is already publicly available with the
authority of the Commonwealth;[173]
- the information is communicated to an Inspector-General of
Intelligence and Security (IGIS) official for the purpose of the official
exercising a power or performing a function or duty as an IGIS official;[174]
- the person deals with, or makes, a record for the purpose of an
IGIS official exercising a power or performing a function or duty as an IGIS
official;[175] and
- the subsequent communication is in accordance with any
requirement imposed by law or for the purposes of relevant legal proceedings or
any report of such proceedings.[176]
1.164
The defendant bears an evidential burden in relation to these matters.
Compatibility of the measures with
the right to freedom of expression
1.165
The right to freedom of expression requires the state not to arbitrarily
interfere with freedom of expression, particularly restrictions on political
debate. By criminalising the disclosure of certain information, as well as
particular forms of use of such information, the proposed secrecy provisions
engage and limit the right to freedom of expression.
1.166
The committee has previously raised concerns in relation to limitations
on the right to freedom of expression relating to secrecy offences introduced
or amended by the National Security Legislation Amendment (Espionage and
Foreign Interference) Bill 2018; the Australian Border Force Amendment
(Protected Information) Bill 2017; the Counter-Terrorism Legislation Amendment
Bill (No. 1) 2016; and the National Security Legislation Amendment Bill (No. 1)
2014 (all now Acts).[177] The secrecy offences examined in this report raise similar concerns.
1.167
Measures limiting the right to freedom of expression may be permissible
where the measures pursue a legitimate objective, are rationally connected to that
objective, and are a proportionate way to achieve that objective.[178]
1.168
The statement of compatibility for the bill acknowledges that the
secrecy offences engage and limit the right to freedom of expression but argues
that the measures are reasonable, necessary and proportionate to achieve the
objectives of protecting national security; protecting the right to privacy of
individuals whose personal information may be provided to ONI; and enabling ONI
to perform its functions, including promoting a well-integrated intelligence
community.[179] While generally these matters are likely to constitute legitimate objectives
for the purposes of international human rights law, it would have been useful
if the statement of compatibility provided further information as to the
importance of these objectives in the specific context of the secrecy measures.
1.169
As to whether the measures are rationally connected to the stated
objective, the statement of compatibility explains that:
By providing a deterrent against the disclosure or handling
of information without authorisation, the risk of national security being
prejudiced through that disclosure or inappropriate handling is minimised, the
risk of a person’s privacy being breached is lowered, and agencies will be more
willing to provide information to ONI in the knowledge that there are strict
penalties for unauthorised disclosure of that information.[180]
1.170
It is acknowledged that, to the extent that the type of information or
matters prohibited from unauthorised use or disclosure under the bill may
prejudice national security or contain an individual's personal information,
the measures may be capable of being rationally connected to the objectives
stated above. However, the breadth of information or matters that the proposed
offences may apply to raises questions as to whether the measures would in all
circumstances be rationally connected to the stated objectives.
1.171
Similar questions arise in relation to the proportionality of the
measures as drafted.
Breadth of information
1.172
As set out at [1.158], the proposed offences apply to information or
matters acquired or prepared by or on behalf of ONI in connection with its
functions or that relate to the performance by ONI of its functions. ONI's
functions are extensive and include leading and evaluating the activities of
the 'national intelligence community' (NIC);[181] collecting information and preparing assessments on matters of political,
strategic or economic significance to Australia, including of a domestic or
international nature; and providing advice to the Prime Minister on national
intelligence priorities, requirements and capabilities and other matters
relating to the NIC. Under the bill, ONI may receive information on matters of
political, strategic or economic significance to Australia from a Commonwealth
authority, an intelligence agency or agency with an intelligence role, and may
request such information subject to certain restrictions.[182]
1.173
In relation to the type of information prohibited from unauthorised use
or disclosure under the bill, the statement of compatibility explains that:
Such information is likely to be sensitive, and unauthorised
disclosure or handling could threaten Australia’s national security. The
provisions also provide for NIC agencies to give ONI documents or things that
relate to ONI’s functions. This information is likely to relate to highly
sensitive information that could prejudice national security if disclosed – for
example, information relating to intelligence workforce information,
intelligence capabilities or national intelligence priorities.[183]
1.174
While it is acknowledged that the disclosure of some types of ONI
information may potentially harm national security, as noted above, proposed
section 42 of the bill prohibits the unauthorised disclosure of ONI information
or matters generally, regardless of the material's security classification or
whether it concerns national security or is otherwise deemed to be potentially
harmful. It therefore appears that the 'insider' offence set out in proposed
section 42 would criminalise the unauthorised communication of information that
is not necessarily harmful to national security, to Australia's interests or to
a particular individual, and is not intended to cause harm. This raises
concerns that the measures may not be the least rights restrictive way of
achieving the stated objectives and may be overly broad.
Breadth of application and definition of 'national
security'
1.175
In this context, the breadth of the proposed 'insider' offence in
section 44, which prohibits the unauthorised 'dealing with'[184] or recording of ONI information or matters, is also a concern. It appears that
a person does not have to publicly communicate the information or matter, or
intend to do so, in order to commit an offence. It is unclear whether
criminalising unauthorised 'dealing with' all information or matters classified
as ONI information, including where the information is not otherwise harmful or
sensitive and is not communicated publicly, is rationally connected or proportionate
to achieve the legitimate objectives.
1.176
The proposed 'outsider' offence in section 43 relating to the subsequent
communication of information or matters by persons other than, for example, ONI
employees or contractors, applies to the same broad range of information.
However, the offence only applies where the person intends that the
communication cause harm to national security or endanger the health or safety
of another person, or knows that it will or is likely to. While this may
potentially assist with the proportionality of the limitation on the right to
freedom of expression, concerns remain that the offence is overly broad with
respect to the stated objectives.
1.177
In particular, the scope of information or matters
that may be considered as causing harm to Australia's national security if
publicly disclosed is potentially broad. Under the bill, national security has
the same meaning as in the National Security Information (Criminal and Civil
Proceedings) Act 2004 (NSI Act), which provides that 'national security
means Australia’s defence, security, international relations or law enforcement
interests'.[185] International relations is in turn defined in the NSI Act as the 'political,
military and economic relations with foreign governments and international
organisations'.[186] In light of these definitions, it appears that the proposed offence in section
43 would apply to a journalist who publishes an article containing ONI
information that they know will likely cause harm to Australia's political
relations with an international organisation, notwithstanding that the
communication may be in the course of reporting on an issue considered to be in
the public interest. It would also appear possible that the public disclosure
of certain information may endanger the health or safety of another person —
for example, a person held in immigration detention — and therefore constitute
an offence despite the information being in the public interest, including in
circumstances where the affected person consents to the information being made
public. It is therefore not clear whether the measure, as drafted, is
sufficiently circumscribed in order to be a proportionate limitation on the
right to freedom of expression.
1.178
Further, it may not be clear to a person as to whether information or
matters that they come to know or possess constitutes ONI information and is
therefore protected from subsequent disclosure subject to the exceptions set
out above. As noted at [1.172], ONI information may potentially include a very
broad range of documents or other matters that may initially have been produced
by a range of Commonwealth agencies, including non-intelligence agencies. It is
possible that a person may receive information that was originally produced by,
for example, the Department of Home Affairs, but may be unaware that the
information has also become ONI information by reason of it having been
acquired by ONI. Under proposed section 43, the prosecution is only required to
prove that the defendant was reckless as to whether information or a matter is
ONI information.[187]
Safeguards and penalties
1.179
There are also questions about whether the defences (set out at [1.163])
act as adequate safeguards in respect of the right to freedom of expression.
For example, the defences may not sufficiently protect the disclosure of
information that is in the public interest or in aid of government
accountability and oversight. There is no general defence related to public
reporting in the public interest or general protections for whistleblowers,
other than for the communication of information to the IGIS. This raises
further questions about the proportionality of the limitation on the right to
freedom of expression.
1.180
Further, the severity of the penalties is also relevant to whether the
limitation on the right to freedom of expression is proportionate. In this
case, it is noted that the proposed penalties are serious and range from 3 to
10 years' imprisonment.
Committee comment
1.181
The measures engage and limit the right to freedom of expression.
1.182
The preceding analysis raises questions about whether the measures
are compatible with this right.
1.183
The committee therefore seeks the advice of the Prime Minister
and the Attorney-General as to:
- how the measures are effective to achieve (that is, rationally
connected to) the stated objectives of the bill; and
- whether the limitations are reasonable and proportionate to
achieve the stated objectives (including in relation to the breadth of
information subject to secrecy provisions; the range of information or matters
that may be considered as causing harm to Australia's national security or the
health and safety of another person; the adequacy of safeguards; and the
severity of the criminal penalties).
1.184
In relation to the proportionality of the measures, in light of
the information requested above, advice is also sought as to whether it would
be feasible to amend the secrecy offences to:
- appropriately circumscribe the scope of information subject to
the prohibition on unauthorised disclosure or use under proposed sections 42
and 44 (by, for example, introducing a harm element or otherwise restricting
the offences to defined categories of information);
- appropriately circumscribe the definition of what causes harm
to national security for the purposes of proposed section 43;
- expand the scope of safeguards and defences (including, for
example, a general 'public interest' defence); and
- reduce the severity of the penalties which apply.
Compatibility of the measures with
the right to be presumed innocent
1.185
Article 14(2) of the International Covenant on Civil and Political
Rights (ICCPR) protects the right to be presumed innocent until proven guilty
according to law. The right to be presumed innocent usually requires that the
prosecution prove each element of an offence beyond reasonable doubt.
1.186
An offence provision which requires the defendant to carry an evidential
or legal burden of proof (commonly referred to as 'a reverse burden') with
regard to the existence of some fact also engages and limits the presumption of
innocence. This is because a defendant's failure to discharge the burden of
proof may permit their conviction despite reasonable doubt as to their guilt.
Where a statutory exception, defence or excuse to an offence is provided in
legislation, these defences or exceptions may effectively reverse the burden of
proof and must be considered as part of a contextual and substantive assessment
of potential limitations on the right to be presumed innocent in the context of
an offence provision.
1.187
Reverse burden offences will not necessarily be inconsistent with the
presumption of innocence provided that they are within reasonable limits which
take into account the importance of the objective being sought and maintain the
defendant's right to a defence. In other words, such provisions must pursue a
legitimate objective, be rationally connected to that objective and be a
proportionate means of achieving that objective.
1.188
As set out at [1.163] above, proposed sections 42, 43 and 44 include offence-specific
defences to the various secrecy offences in the bill. In doing so, the
provisions reverse the evidential burden of proof as subsection 13.3(3) of the
Criminal Code provides that a defendant who wishes to rely on any exception,
exemption, excuse, qualification or justification bears an evidential burden in
relation to that matter.
1.189
While the objectives of the secrecy provisions are stated generally as
being to protect national security and individual privacy, the statement of
compatibility does not expressly explain how reversing the evidential burden in
the offences pursues a legitimate objective or is rationally connected to this
objective.
1.190
The statement of compatibility acknowledges that the offence-specific
defences engage and limit the presumption of innocence but argues that the
measures are reasonable, necessary and proportionate.[188] The justification provided in the explanatory memorandum and statement of
compatibility is, generally, that the relevant evidence 'should be readily
available to the accused'[189] or that it is 'far more reasonable' to require a defendant to point to the
relevant evidence than to require the prosecution to demonstrate that such
evidence does not exist.[190] However, this does not appear to be a sufficient basis to constitute a
proportionate limitation on human rights.
1.191
It is unclear that reversing the evidential burden, as opposed to
including additional elements within the offence provisions themselves, is
necessary. For example, it is a defence for a person to provide ONI information
to an IGIS official for the purpose of the official exercising a power or
performing a function or duty as an IGIS official. This would appear to leave
individuals who provide information to the IGIS open to a criminal charge and
then place the evidential burden of proof on them to raise evidence to
demonstrate that they were in fact acting appropriately. In this context, the
approach of including the fact that the information was not provided to an IGIS
official as described above as an element of the offence provisions themselves,
would seem to be a less rights restrictive alternative. This raises questions
as to whether the current construction of the offences is a proportionate
limitation on the right to be presumed innocent.
Committee comment
1.192
The preceding analysis raises questions as to the compatibility
of the reverse burden offences with the right to be presumed innocent. The
committee therefore requests the advice of the Prime Minister and the
Attorney-General as to:
- whether the reverse burden offences are aimed at achieving a
legitimate objective for the purposes of international human rights law;
- how the reverse burden offences are rationally connected to
(that is, effective to achieve) this objective;
- whether the limitation is a reasonable and proportionate
measure to achieve the stated objective; and
- whether it would be feasible to amend the measures so that the
relevant matters (currently in defences) are included as elements of the
offences or, alternatively, to provide that despite section 13.3 of the
Criminal Code, a defendant does not bear an evidential (or legal) burden of
proof in relying on the offence-specific defences.
Information gathering powers
1.193
The bill would provide ONI with a number of information gathering powers.
Under proposed section 7 ONI will have broad statutory functions, including to:
- assemble, correlate and analyse information related to
international and other matters that are of political, strategic or economic
significance to Australia and prepare assessments and reports (section
7(1)(c)-(d)); and
- collect, interpret and disseminate information relating to
matters of political, strategic or economic significance to Australia that is
accessible to any section of the public (section 7(1)(g)).
1.194
Under proposed section 37, for the purpose of ONI performing its
function under section 7(1)(c), the Director-General of ONI may make a written
request that a Commonwealth authority provide information, documents or things
in its possession that relate to international matters of political, strategic
or economic significance to Australia; or domestic aspects relating to such
international matters.
1.195
Proposed section 38 provides that a Commonwealth authority may provide
to ONI information, documents or things that the head of the authority
considers relate to matters of political, strategic or economic significance to
Australia.
1.196
Proposed section 39 provides that an intelligence agency or agency with
an intelligence role or function may provide to ONI information, documents or
things that relate to any of ONI's functions.
Compatibility of the measures with
the right to privacy
1.197
The right to privacy includes respect for private and confidential
information, particularly the collection, storing, use and sharing of such information,
and the right to control the dissemination of information about one's private
life.[191] The statement of compatibility acknowledges that the above measures, by
enabling ONI to obtain, and in some cases compel, information, including
personal information, engage and limit the right to privacy.[192]
1.198
The right to privacy may be subject to permissible limitations which are
provided by law and are not arbitrary. In order for limitations not to be
arbitrary, they must seek to achieve a legitimate objective and be rationally
connected (that is, effective to achieve) and proportionate to that objective.
In this respect, the statement of compatibility states that the measures
constitute a permissible limitation on the right to privacy and are aimed at
two legitimate objectives:
...firstly, to ensure national security, by collecting,
interpreting and disseminating open source intelligence on matters of
significance to Australia, and by promoting the collective performance of the
NIC agencies through its leadership and enterprise management functions; and
secondly, to promote well-informed and rigorous policy making by the Australian
government through preparing and communicating assessments on matters of
significance.[193]
1.199
These are likely to constitute a legitimate objective for the purposes
of international human rights law. Collecting relevant information is likely to
be rationally connected to (that is, effective to achieve) these stated
objectives.
1.200
In order to be a proportionate limitation on the right to privacy, a measure
must be no more extensive than is strictly necessary to achieve its stated
objective and must be accompanied by adequate and effective safeguards. In this
respect, in relation to the proportionality of the limitation, the statement of
compatibility provides relevant information. It acknowledges that proposed
sections 37 and 38 provide a requirement or authorisation under Australian law
for the purposes of the Privacy Act 1988 (Privacy Act). As such, this
requirement or authorisation operates as an exception to the prohibition on the
disclosure of personal information by a Commonwealth entity for a secondary
purpose and allows information to be disclosed to ONI. This means the Privacy
Act will not act as a safeguard in the context of the measures. However, the
statement of compatibility argues that the measures are nevertheless
sufficiently circumscribed. In relation to the compulsory evidence gathering
power in proposed section 37, it states:
...section 37 is broad, but it is not unconstrained. It can only
be exercised for the purposes of ONI’s international assessments function under
paragraph 7(1)(c). The Director-General is also obliged to consider any privacy
concerns raised by the relevant Commonwealth authority before making the
request to compel information. This ensures that requests will not be made
unless the Director-General considers that the importance of obtaining the
information outweighs the importance of preserving the right to privacy.[194]
1.201
The statement of compatibility further explains that section 37 does not
override any existing secrecy provisions and ONI will have express obligations
in relation to the use and protection of such information.[195] While these matters are relevant to the proportionality of the limitation, it
is noted that the breadth of the power remains broad.
1.202
In relation to proposed section 38, the statement of compatibility
acknowledges that the provision provides a permissive authority for
Commonwealth authorities to disclose information to ONI even if doing so would
not otherwise fall within the scope of the authority's statutory functions.
However, the statement of compatibility explains that these disclosure powers
are also limited to material related to ONI's assessment functions.[196] While this may be the case, it is noted that the assessment functions are broad
and so may permit disclosure of a very extensive range of information to ONI.
1.203
In relation to proposed section 39, the statement of compatibility
explains that while this provides a broad power of voluntary disclosure from
NIC agencies, the broader power is reasonable as NIC agencies will hold far
greater information that is relevant to ONI's functions than Commonwealth
agencies more generally. The statement of compatibility further outlines some
relevant safeguards in relation to the handling of disclosed information.[197] While there are relevant safeguards, it is unclear from the information
provided that the scope of the power is sufficiently circumscribed. This is
because while NIC agencies may hold information relevant to ONI's functions, it
is unclear whether the disclosure of information from NIC agencies would be
proportionate in each case.
1.204
In relation to ONI's proposed power to collect 'identifiable
information'[198] under ONI's open source function, the statement of compatibility explains that
the Prime Minister will be required to make privacy rules governing ONI's
collection, communication, handling and retention of such information.[199] Such rules may operate as a safeguard in relation to the right to privacy. However,
the likely content of these rules is not described in the statement of
compatibility and it is therefore difficult to assess whether the rules will be
sufficient to ensure that the limitation on the right to privacy is
proportionate.
1.205
Further, in relation to the scope of the rules as a potential safeguard,
it is noted that the requirement to make rules regarding 'identifiable
information' will only apply in respect of Australian citizens and permanent
residents rather than all persons in Australia or subject to Australian
jurisdiction. This is of concern as Australia owes human rights obligations to
all persons within Australia.
1.206
In explaining the scope of the requirement to make privacy rules, the
statement of compatibility nevertheless states that:
...the provision does not limit the matters in relation to
which the Prime Minister may make rules. It remains open to the Prime Minister
to extend these rules, or to make additional rules, to protect the personal
information of others, including foreign nationals.[200]
1.207
While it is possible that the Prime Minister may decide to make rules to
protect the privacy of people who are not Australian citizens or permanent
residents, there is no requirement to make such rules. Accordingly, it is
unclear what other safeguards are in place to protect the right to privacy of
non-nationals or whether the measure is the least rights restrictive approach.
In this respect, there may also be concerns about the compatibility of the
measure with the right to equality and non-discrimination.
Committee comment
1.208
The preceding analysis raises questions as to whether the
information gathering powers are a proportionate limitation on the right to
privacy.
1.209
The committee seeks the advice of the Prime Minister and the
Attorney-General as to whether the measures are reasonable and proportionate to
achieve the stated objectives, including:
- whether each of the information gathering powers are
sufficiently circumscribed and accompanied by adequate and effective
safeguards;
- how the measures constitute the least rights restrictive
approach;
- in relation to the power to collect open source information,
whether a copy of the proposed rules could be provided; and
- what safeguards will be in place in relation to the power to
collect open source information from people who are not Australian citizens or
permanent residents.
Compatibility of the measures with
the right to equality and non-discrimination
1.210
The right to equality and non-discrimination provides that everyone is
entitled to enjoy their rights without discrimination of any kind, and that all
people are equal before the law and entitled without discrimination to equal
and non‑discriminatory protection of the law.
1.211
'Discrimination' under articles 2 and 26 of the ICCPR includes both
measures that have a discriminatory intent (direct discrimination) and measures
that have a discriminatory effect on the enjoyment of rights (indirect
discrimination).[201] The UN Human Rights Committee has explained indirect discrimination as 'a rule
or measure that is neutral at face value or without intent to discriminate',
but which exclusively or disproportionately affects people with a particular
personal attribute (for example, nationality or national origin).[202]
1.212
In this respect, while Australia maintains some discretion under
international law with respect to its treatment of non-nationals, Australia has
obligations not to discriminate on the grounds of nationality or national
origin.[203] As acknowledged in the statement of compatibility, by providing that the
proposed privacy rules (see above, [1.204]) are only required to apply to
Australian citizens and permanent residents, the measure engages the right to
equality and non-discrimination on the basis of nationality. That is, the
measure allows for Australian citizens and permanent residents to be treated
differently to people who do not fall into these categories.
1.213
Differential treatment
(including the differential effect of a measure that is neutral on its face)
will not constitute unlawful discrimination if the differential treatment is
based on reasonable and objective criteria such that it serves a legitimate
objective, is rationally connected to that legitimate objective and is a
proportionate means of achieving that objective.
1.214
In relation to the objective of the differential treatment, the
statement of compatibility states it:
...is to provide protections for Australians while facilitating
the performance of ONI’s functions in the interests of national security and
for Australia’s economic, strategic and political benefit.[204]
1.215
However, the statement of compatibility does not explain the importance
of this objective in the context of the measure nor how the measure is
rationally connected to that objective. The statement of compatibility instead
states that 'special protection for Australians is a long-standing, core
principle of accountability for intelligence agencies'.[205] While privacy protections for Australians may assist to ensure the
accountability of intelligence agencies, it is unclear from the information
provided why there needs to be differential treatment in the form of less
protection of the right to privacy for those who are within Australia but are
not Australian citizens or permanent residents.
1.216
In relation to proportionality, the statement of compatibility provides
some information as to how the information collection powers of intelligence
agencies are circumscribed. While this is relevant to the question of
proportionality, it is unclear from the information provided whether excluding
non-nationals from additional privacy protections is based on reasonable and
objective criteria or represents the least rights restrictive approach.
Accordingly, this raises questions as to whether the measure is compatible with
the right to equality and non-discrimination.
Committee comment
1.217
The preceding analysis raises questions as to whether the
differential treatment is compatible with the right to equality and
non-discrimination.
1.218
Accordingly, the committee requests the advice of the Prime
Minister and the Attorney-General as to:
- whether there is reasoning or evidence that establishes that
the stated objective addresses a pressing or substantial concern or whether the
proposed changes are otherwise aimed at achieving a legitimate objective;
- how the measures are effective to achieve (that is, rationally
connected to) that objective; and
- whether the measures are reasonable and proportionate to
achieving the stated objective of the bill (including how the measures are
based on reasonable and objective criteria, whether the measures are the least
rights-restrictive way of achieving the stated objective and the existence of
any safeguards).
Cooperation with entities in connection with ONI's performance of functions
1.219
Proposed section 13 provides that, subject to relevant approvals, ONI
may cooperate with an authority of another country approved by an instrument,
or any other person or entity, within or outside Australia.
Compatibility of the measure with
the right to privacy
1.220
As set out above, the right to privacy includes respect for
informational privacy, including the right to respect for private and
confidential information, particularly the use and sharing of such information
and the right to control the dissemination of information about one's private
life. By providing that the ONI may cooperate with an authority or person
outside Australia, this measure appears to allow for the sharing of personal or
confidential information. As such, the measure may engage and limit the right
to privacy. While the right to privacy may be subject to permissible
limitations in certain circumstances, this issue is not addressed in the
statement of compatibility.
Committee comment
1.221
The preceding analysis raises questions as to whether the measure
is compatible with the right to privacy.
1.222
The committee requests the advice of the Prime Minister and the
Attorney-General as to:
- whether the measure is aimed at achieving a legitimate
objective for the purposes of international human rights law;
- how the measure is effective to achieve (that is, rationally
connected to) that objective; and
- whether the limitation is a reasonable and proportionate
measure to achieve the stated objective (including whether the measure is
sufficiently circumscribed and whether there are adequate and effective
safeguards in relation to the operation of the measure).
Compatibility of the measure with
the right to life and the prohibition on torture, cruel, inhuman, or degrading
treatment or punishment
1.223
Under international human rights law every human being has the inherent
right to life, which should be protected by law. The right to life imposes an
obligation on state parties to protect people from being killed by others or
from identified risks. While the ICCPR does not completely prohibit the
imposition of the death penalty, international law prohibits states which have
abolished the death penalty (such as Australia) from exposing a person to the
death penalty in another nation state.
1.224
The United Nations (UN) Human Rights Committee has made clear that
international law prohibits the provision of information to other countries
that may be used to investigate and convict someone of an offence to which the
death penalty applies. In this context, the UN Human Rights Committee stated in
2009 its concern that Australia lacks 'a comprehensive prohibition on the
providing of international police assistance for the investigation of crimes
that may lead to the imposition of the death penalty in another state', and
concluded that Australia should take steps to ensure it 'does not provide
assistance in the investigation of crimes that may result in the imposition of
the death penalty in another State'.[206]
1.225
By providing that the ONI may cooperate with an authority or person
outside Australia, this measure appears to allow for the sharing of personal or
confidential information overseas. Such sharing of information internationally
could accordingly engage the right to life. This issue was not addressed in the
statement of compatibility.
1.226
A related issue raised by the measure is the possibility that sharing of
information may result in torture, or cruel, inhuman or degrading treatment or
punishment. Under international law the prohibition on torture is absolute and
can never be subject to permissible limitations.[207] This issue was also not addressed in the statement of compatibility.
Committee comment
1.227
The preceding analysis raises questions as to whether the measure
is compatible with the right to life and the prohibition on torture, or cruel,
inhuman and degrading treatment or punishment.
1.228
In relation to the right to life, the committee seeks the advice
of the Prime Minister and the Attorney-General on the compatibility of the
measure with this right (including the existence of relevant safeguards or
guidelines).
1.229
In relation to the prohibition on torture, or cruel, inhuman or
degrading treatment or punishment, the committee seeks the advice of the Prime
Minister and the Attorney-General in relation to the compatibility of the
measure with this right (including any relevant safeguards or guidelines).
Unexplained Wealth Legislation Amendment Bill 2018
Purpose |
Seeks to: extend the scope
of commonwealth unexplained wealth restraining orders and unexplained wealth
orders under the Proceeds of Crime Act 2002 (POC Act) to state
and territory offences; allow
participating state and territory agencies to access commonwealth information
gathering powers under the POC Act for the investigation or litigation of
unexplained wealth matters under state or territory unexplained wealth
legislation; amend the way in which recovered proceeds are shared between the
Commonwealth, states and territories and foreign law enforcement entities; also seeks to amend the Telecommunications
(Interception and Access) Act 1979 to facilitate information-sharing on
unexplained wealth between commonwealth, participating state and territory
agencies |
Portfolio |
Home Affairs |
Introduced |
House of Representatives,
20 June 2018 |
Rights |
Fair trial; fair hearing;
privacy (see Appendix 2) |
Status |
Seeking additional
information |
Background – unexplained wealth orders
1.230
Part 2-6 of the Proceeds of Crime Act 2002 (POC Act) enables
certain orders to be made relating to 'unexplained wealth':[208]
- unexplained wealth restraining orders, which are interim orders
that restrict a person's ability to dispose of, or otherwise deal with,
property;[209]
- preliminary unexplained wealth orders, which require a person to
appear before a court to enable the court to determine whether or not to make
an unexplained wealth order against the person;[210] and
- unexplained wealth orders, which require a person to pay an
amount to the commonwealth where the court is not satisfied that the whole or
any part of the person's wealth was not derived or realised, directly or
indirectly, from an offence against the law of the commonwealth, a foreign
indictable offence or a state offence that has a federal aspect. The amount to
be paid (the unexplained wealth) is the difference between a person's total
wealth and the wealth shown to have been derived lawfully.[211]
Compatibility of unexplained wealth
orders with human rights
1.231
The committee has previously commented on the human rights compatibility
of the unexplained wealth regime. In those reports, the committee raised
concerns that the unexplained wealth provisions may involve the determination
of a criminal charge for the purposes of international human rights law.[212] Similar concerns have been discussed in the context of the broader underlying
regime established by the POC Act for the freezing, restraint or forfeiture of
property.[213]
1.232
The committee has previously noted that the POC Act was introduced prior
to the establishment of the committee and therefore before the requirement for
bills to contain a statement of compatibility with human rights.[214] The committee has therefore previously recommended that the minister undertake
a detailed assessment of the POC Act to determine its compatibility with the
right to a fair trial and right to a fair hearing.
Expansion of the unexplained wealth orders regime – Schedules 2 and 3
1.233
The bill extends the scope of the commonwealth unexplained wealth
restraining orders and unexplained wealth orders (defined in the bill as the
'main unexplained wealth provisions'[215])
under the POC Act to territory offences as well as 'relevant offences'[216] of 'participating states'.[217] Currently, existing provisions of the POC Act allow unexplained wealth
restraining orders and unexplained wealth orders to be made in relation to
commonwealth offences, foreign indictable offences and state offences that have
a federal aspect. The effect of these amendments is to expand the scope of the
unexplained wealth regime to provide that:
- unexplained wealth restraining orders must be made by a court if,
relevantly, there are reasonable grounds to suspect that a person has committed
a territory offence or a relevant offence of a participating state, or where
there are reasonable grounds to suspect that the whole or any part of a
person's wealth was derived from a territory offence or relevant offence of a
participating state;[218] and
-
unexplained wealth orders must be made by a court if, relevantly,
the court is not satisfied that the whole or any part of the person's wealth
was not derived from a territory offence or relevant offence of a participating
state.[219]
Compatibility of the measure with
the right to a fair trial and fair hearing
1.234
The right to a fair trial and fair hearing is protected by articles 14
and 15 of the International Covenant on Civil and Political Rights (ICCPR).
These rights are concerned with procedural fairness, and encompass notions of
equality in proceedings, the right to a public hearing and the requirement that
hearings be conducted by an independent and impartial body. Specific guarantees
of the right to a fair trial in relation to a criminal charge include the presumption
of innocence,[220] the right not to incriminate oneself,[221] and the guarantee against retrospective criminal laws.[222]
Minimum guarantees in criminal
proceedings
1.235
As noted earlier, the committee has previously raised concerns that the
unexplained wealth provisions may be considered 'criminal' for the purposes of
international human rights law. The committee considered that if the provisions
were considered to be 'criminal' for the purposes of international human rights
law, there would be concerns as to the compatibility of the measures with the
right to a fair trial and the right to a fair hearing, in particular the right
to be presumed innocent until proven guilty.[223] By broadening the circumstances in which unexplained wealth restraining orders
and unexplained wealth orders can be made, those matters raised in previous
analyses are of equal relevance to this bill.
1.236
As set out in the committee's Guidance Note 2, the term
'criminal' has an autonomous meaning in international human rights law, such
that even if a penalty is classified as civil in character domestically it may
nevertheless be considered 'criminal' for the purposes of international human
rights law.
1.237
The statement of compatibility acknowledges that the minimum guarantees
in criminal proceedings in Articles 14(2)-(7) and 15 of the ICCPR may extend to
acts regarded as penal or criminal regardless of their qualification under
domestic law.[224] However, the statement of compatibility explains that the unexplained wealth
proceedings and other proceedings under the POC Act should not be characterised
as criminal for the following reasons:
Unexplained wealth proceedings and other proceedings under
the POC Act are brought by a public authority for the purpose of determining
and punishing breaches of Commonwealth law. However, these proceedings are
civil proceedings only and are not criminal in nature – unexplained wealth
orders imposed via unexplained wealth proceedings cannot create criminal
liability, do not result in any finding of criminal guilt and do not expose
people to any criminal sanctions. Proceedings on an application for a
restraining order or an unexplained wealth order are also explicitly
characterised as civil in section 315 of the POC Act and the rules of statutory
construction and evidence applicable only in relation to criminal law do not
apply in proceedings under the Act.[225]
1.238
In addition to the domestic classification of the offence, the
committee's Guidance Note 2 explains that there are two other relevant
tests in determining whether provisions may be characterised as 'criminal' in
character. These concern the nature and purpose of the measure and the severity
of the penalty. The statement of compatibility states that the purpose of the
bill is to enable closer coordination between Commonwealth, states and
territories to target criminal assets and use 'unexplained wealth laws to
undermine criminal gangs and prevent them reinvesting their profits to support
further criminal activity'.[226] This would indicate that the unexplained wealth provisions may have a
preventative purpose. Preventative measures have not generally been
characterised as 'criminal charges' or 'penalties' in international human
rights law.[227] However, the characterisation will ultimately depend on the particular facts of
a case in question,[228] including whether the degree of culpability of the offender impacts the amount
of the order,[229] and whether proceedings are initiated after the relevant criminal proceedings
have ended with an outcome other than conviction (such as acquittal or
discontinuation of criminal proceedings as being statute-barred).[230] It is also noted that the broader purpose of the POC Act (including unexplained
wealth provisions) is outlined in section 5 of the Act and includes to punish
and deter persons from breaching laws. Proceeds of crime measures which have a
deterrent purpose are more likely to be considered 'criminal'.[231] The committee has previously noted that these purposes raise concerns that the
proceeds of crime proceedings (including unexplained wealth proceedings) may be
characterised as a form of punishment.[232] The unexplained wealth provisions also appear to apply to the public in
general. This is relevant in determining whether the measures are 'criminal' in
nature, as measures are more likely to be criminal if they apply to the public
in general.
1.239
As to severity, the unexplained wealth restraining orders and
unexplained wealth orders can involve significant sums of money, which raises
concerns that the cumulative effect of the purpose and severity of the measures
would lead to the provisions being characterised as criminal.
1.240
If the provisions were characterised as 'criminal' for the purposes of
human rights law, this means that the provisions in question must be shown to
be consistent with criminal process guarantees set out in Articles 14 and 15 of
the ICCPR, including any justifications for any limitations on these rights
where applicable.
1.241
As noted earlier, the committee has previously raised particular
concerns in relation to the compatibility of the unexplained wealth provisions
with the presumption of innocence, if the measures are characterised as
'criminal'. This is because, where the court is considering whether to make an
unexplained wealth order, the burden of proving that a person's wealth is not
derived, directly or indirectly, from one or more of the relevant offences
would lie on the person against which an order is being sought.[233] The committee has previously raised concerns that this reverse burden placed on
a respondent effectively gives rise to a presumption of unlawful conduct.[234]
Fair hearing
1.242
The committee has also previously raised concerns insofar as a
preliminary unexplained wealth order or unexplained wealth restraining order
may be made against a person who does not appear at the hearing, and so may not
have an opportunity to be heard.[235] The POC Act also provides that a court may make an unexplained wealth order
even when the person failed to appear as required by the preliminary
unexplained wealth order.[236] As the amendments to the bill expand the operation of the unexplained wealth
regime, these concerns apply equally to the amendments introduced by the bill.
1.243
The statement of compatibility acknowledges that the ability to make
orders without notice being given to the person who is the subject of the
application may engage the right to a fair hearing.[237] However, it further states that the laws 'serve the justifiable and reasonable
purpose of preventing a person from dispersing his or her assets during the
time between an order being sought and an order being made' and prevent persons
'from frustrating unexplained wealth proceedings by simply failing to appear
when ordered to do so'.[238] These would appear to be legitimate objectives and the measures would appear to
be rationally connected to this objective.
1.244
However, there are questions as to the proportionality of the limitation
on the right to a fair hearing. The statement of compatibility states that
where such orders are made without notice, the POC Act provides mechanisms
which allow a person to contest these orders.[239] However, it is not clear whether such safeguards would be sufficient for the
purposes of international human rights law. For example, once an unexplained
wealth restraining order has been made, if a person was notified of the
application for the restraining order but did not appear at the hearing of that
application, a person cannot apply for an order excluding property from a
restraining order unless the court gives leave.[240] A court may give leave if satisfied that the person had a good reason for not
appearing,[241] but this is discretionary. This raises concerns that the safeguards would not
be sufficient from a human rights law perspective and that there may be other,
less rights restrictive means of achieving the legitimate objective.
Committee comment
1.245
The preceding analysis of the proposed amendments to the
unexplained wealth provisions in schedules 2 and 3 of the bill raise questions
as to whether expanding the application of the POC Act is compatible with the
right to a fair trial and the right to a fair hearing.
1.246
The committee seeks the advice of the minister as to whether
these amendments to the POC Act are compatible with these rights, including:
- whether the unexplained wealth provisions (as expanded by the
bill) may be characterised as 'criminal' for the purposes of international
human rights law, having regard in particular to the nature, purpose and
severity of the measures;
- the extent to which the provisions are compatible with the
criminal process guarantees in articles 14 and 15 of the ICCPR, including any
justification for any limitations on these rights where applicable; and
- the extent to which the provisions are compatible with the right
to a fair hearing (including whether there are other, less rights restrictive,
means of achieving the objectives of the bill).
1.247
As the POC Act was introduced prior to the establishment of the
committee, the committee recommends that the minister undertake a detailed
assessment of the POC Act to determine its compatibility with the right to a
fair trial and right to a fair hearing. This would inform the committee's
consideration of the compatibility of the amendments in the context of the
legislative scheme as a whole.
Compatibility of the measure with
the right to privacy
1.248
The right to privacy includes the right not to be subject to arbitrary
or unlawful interference with one's privacy, family, home or correspondence. As
acknowledged in the statement of compatibility, the bill engages and limits the
right not to be subject to arbitrary or unlawful interference with a person's
home, as unexplained wealth restraining orders can be used to restrain real
property, and the amount a person has to repay pursuant to an unexplained
wealth order is determined in part by reference to property (including real
property) owned by a person, and that property may be ordered to be available
to authorities to satisfy the unexplained wealth order.[242]
1.249
A limitation on the right to privacy will be permissible under
international human rights law where it addresses a legitimate objective, is
rationally connected to that objective and is a proportionate means of
achieving that objective.
1.250
The statement of compatibility states that the amendments in schedules 2
and 3 support 'the important objective of ensuring that criminals are not able
to profit from their crimes and are deterred from further criminal activity'.[243] This would appear to be a legitimate objective for the purposes of
international human rights law. However, insofar as unexplained wealth
restraining orders and unexplained wealth orders may apply in circumstances
where a person has not been convicted of any crime, it is not clear whether the
measures are rationally connected to this objective.
1.251
As to proportionality, the statement of compatibility identifies the
following safeguards:
- courts may refuse to make an unexplained wealth restraining
order, a preliminary unexplained wealth order or an unexplained wealth order if
there are not reasonable grounds to suspect that a person's total wealth
exceeds by $100,000 or more the value of their wealth that was 'lawfully
acquired;[244]
- a court may refuse to make an unexplained wealth restraining
order or unexplained wealth order if the court is satisfied that it is not in
the public interest to make the order;[245]
- courts may also exclude property from the scope of some of these
orders or revoke these orders in a range of situations, including where it is
in the public interest or the interests of justice to do so;[246] and
-
courts may also make orders relieving dependents from hardship
caused by unexplained wealth orders[247] and allow for reasonable expenses to be paid out of funds restrained under
unexplained wealth restraining orders.[248]
1.252
The statement of compatibility also emphasises that proceeds of crime
authorities are bound by an obligation to act as model litigants, which
requires the authorities to act honestly and fairly in handling litigation
under the POC Act.[249]
1.253
Notwithstanding these safeguards, questions remain as to the
proportionality of the measure in circumstances where a person has not been
convicted of a criminal offence. It is also noted that some of the safeguards
identified in the statement of compatibility, such as the ability to allow
reasonable expenses to be paid out of funds restrained pursuant to unexplained
wealth restraining orders, and the ability to refuse to make orders if the court
is satisfied it is not in the public interest to do so, are discretionary.[250] This raises questions as to whether there may be other, less rights
restrictive, means of achieving the objective. For example, a mandatory rather
than discretionary requirement for a court to refuse to make an unexplained
wealth order when particular circumstances apply would appear to be a less
rights restrictive approach.
Committee comment
1.254
The preceding analysis indicates that the measures in schedules 2
and 3 of the bill may engage and limit the right to privacy.
1.255
The committee seeks the advice of the minister as to:
- whether the measures in schedules 2 and 3 are rationally
connected (that is, effective to achieve) the legitimate objective of the
measures; and
-
the proportionality of the limitation on the right to privacy
(including whether the safeguards in the POC Act referred to in the statement
of compatibility are the least rights restrictive means of achieving the
objective).
Information gathering powers under the national cooperative scheme on
unexplained wealth – Schedule 4
1.256
Schedule 4 of the bill allows specified officers in territories and
participating states to apply for production orders, which would require a
person to produce or make available documents relevant to identifying, locating
or quantifying property of a person for the purposes of unexplained wealth
proceedings that have commenced or deciding whether to institute such
proceedings.[251] Such orders can only require production of documents that are in the
possession, or under the control, of a corporation or are used, or intended to
be used, in the carrying on of a business.[252]
1.257
A person is not excused from producing or making available a document
made under such an order on the ground that producing the document would tend
to incriminate the person or expose the person to a penalty.[253] In this respect, a 'use immunity' is provided, such that any document produced
or made available is not admissible in evidence in a criminal proceeding
against the person except for the offences of giving false or misleading
information or documents under the Criminal Code.[254] However, no derivative use immunity is provided.[255]
1.258
A person who obtains information as a direct result of the exercise of
the production order power or function may disclose the information to a number
of specified authorities for a number of specified purposes, if the person
believes on reasonable grounds that the disclosure will serve that purpose and
a court has not made an order prohibiting disclosure.[256] This includes disclosure to authorities of a state or territory for the
purposes of engaging in proceedings under the state or territory law;
disclosure to an 'authority of the Commonwealth with one or more functions
under [the POC] Act' for the purpose of 'facilitating the authority's
performance of its functions under this Act'; disclosure to authorities of the
commonwealth, state or territory to assist in the prevention, investigation or
prosecution of an offence against that law that is punishable on conviction by
imprisonment for at least three years; and disclosure to the Australian
Taxation Office for the purpose of protecting public revenue.[257]
Compatibility of the measures with
the right not to incriminate oneself
1.259
As noted earlier, specific guarantees of the right to a fair trial in
the determination of a criminal charge guaranteed by article 14 of the ICCPR
include the right not to incriminate oneself.[258]
1.260
The statement of compatibility does not acknowledge that the proposed
production orders powers engage and limit the right not to incriminate oneself.
Instead, the statement of compatibility states in general terms that the
proceeds are civil proceedings only and are not criminal in nature, with the
result that the bill does not engage the specific guarantees relating to the
determination of criminal charges in the ICCPR.[259] However, by requiring a person to produce or make available documents
notwithstanding that to do so might tend to incriminate that person, schedule 4
engages and limits the right not to incriminate oneself.
1.261
The right not to incriminate oneself may be subject to permissible
limitations where the limitation pursues a legitimate objective, is rationally
connected to that objective and is a proportionate way of achieving that
objective.
1.262
The explanatory memorandum explains that overriding the privilege
against self-incrimination is appropriate because 'criminals regularly seek to
hide their ill-gotten gains behind a web of complex legal, contractual and
business arrangements'.[260] The measure therefore appears to address a substantial and pressing concern and
is likely to be a legitimate objective for the purposes of international human
rights law. The explanatory memorandum also states that requiring the
production of documents is 'necessary to enable law enforcement to effectively
trace, restrain and confiscate unexplained wealth amounts'. This suggests the
measure is also rationally connected to this objective.
1.263
The availability of use and derivative use immunities can be one
important factor in
determining whether the limitation on the right not to incriminate oneself is proportionate.
While a 'use' immunity is provided in the bill, no 'derivative use' immunity is
provided (which would prevent information or evidence indirectly obtained from
being used in criminal proceedings against the person). The lack of a
'derivative use' immunity raises questions about whether the measure is the
least rights restrictive way of achieving its objective.
1.264
The explanatory memorandum emphasises that the production orders can
only require the production of documents that are in the possession, or under
the control, of a corporation, or are used, or intended to be used, in the
carrying on of a business. That is, they do not require production of documents
in the custody of an individual which relate to the affairs of an individual.[261] The explanatory memorandum explains that the bill does not compel production of
documents in the custody of an individual which relate to the affairs of the
individual because no derivative use immunity has been conferred.[262] While this information provided in the explanatory memorandum is useful and may
constitute a relevant safeguard in relation to the scope of the powers, it is
not sufficient as it does not provide an assessment of whether the limitation
on human rights is permissible. As set out in the committee's Guidance Note
1, the committee's expectation is that statements of compatibility read as
stand-alone documents, as the committee relies on the statement as the primary
document that sets out the legislation proponent's analysis of the
compatibility of the bill with Australia's international human rights
obligations.
Committee comment
1.265
The preceding analysis raises questions as to the compatibility
of the abrogation of the privilege against self-incrimination with the right
not to incriminate oneself in Article 14(3)(g) of the ICCPR.
1.266
The committee seeks the advice of the minister as to whether the
measures are a proportionate means of achieving the stated objective. This
includes information as to whether a 'derivative use' immunity is reasonably
available as a less rights restrictive alternative.
1.267
The committee reiterates its position set out in Guidance Note
1 that a statement of compatibility should read as a stand-alone document
and that all issues relating to compatibility with human rights should be
addressed in the statement of compatibility.
Compatibility of the measure with
the right to privacy
1.268
The right to privacy includes respect for informational privacy,
including the right to respect for private and confidential information,
particularly the use and sharing of such information and the right to control
the dissemination of information about one's private life.
1.269
As noted above, the documents that can be subject to the production
orders are limited to those documents in possession of a corporation that are
used in the carrying on of a business. However, it appears possible that such
documents may involve the disclosure of personal information about a person in
relation to, for example, the carrying on of a business. If the disclosure to
authorities of documents that are produced as a result of compulsory production
orders involves the disclosure of personal information, this would engage and
limit the right to privacy.
1.270
The statement of compatibility acknowledges that the power to compel
persons to produce documents and power to disclose those documents to specified
authorities engages the right to privacy.[263] Limitations on the right to privacy will be permissible where they are not
arbitrary such that they pursue a legitimate objective, are rationally
connected to that objective and are a proportionate means of achieving that
objective.
1.271
The statement of compatibility explains that the limitation on the right
to privacy 'is aimed at disrupting and combating serious and organised crime'.[264] This is likely to be a legitimate objective for the purposes of international
human rights law. The statement of compatibility also explains that the measure
would facilitate information sharing programs between commonwealth, state and
territory agencies whose functions relate to unexplained wealth, which would
appear to be rationally connected to this objective.
1.272
As to proportionality, the statement of compatibility explains that
information obtained from the orders is protected by a use (but not derivative
use) immunity, such that evidence obtained from a production order against a
person will not be admissible in criminal proceedings against a person. This is
a relevant but limited safeguard in relation to the right to privacy. The
statement of compatibility further notes that information obtained from
production orders can only be disclosed to specific authorities where a person
believes on reasonable grounds that the disclosure will serve a specified
purpose, and will be overseen by the Parliamentary Joint Committee on Law
Enforcement.[265]
1.273
However, in order to constitute a proportionate limitation on the right
to privacy, a limitation must only be as extensive as is strictly necessary.
Notwithstanding the safeguards described in the previous paragraph, questions
remain as to the breadth of the purposes for which information may be disclosed
by a person to authorities. For example, information may be disclosed to an
'authority of the commonwealth with one or more functions under [the POC] Act'
for the broad purpose of 'facilitating the authority's performance of its
functions under this Act'.[266] It is not clear from the information provided what this may entail, and whether
it is strictly necessary to include such a broad purpose of disclosure. It is
also unclear what safeguards are in place with respect to the use, storage and
retention of information obtained pursuant to production orders.
Committee comment
1.274
The preceding analysis raises questions as to the compatibility
of the information gathering powers with the right to privacy.
1.275
The committee seeks the advice of the minister as to the
proportionality of the limitation on the right to privacy (including whether
the measure is sufficiently circumscribed and whether there are safeguards in
place with respect to the use, disclosure, storage and retention of information
obtained pursuant to production orders).
Information sharing provisions – amendments to TIA Act – Schedule 6
1.276
Currently, lawfully intercepted information and interception warrant
information may be used in unexplained wealth proceedings only where the
proceedings are 'in connection with the commission of a prescribed offence'.[267] Similarly, agencies may only 'deal' in interception information for certain
prescribed purposes and proceedings, which does not currently include
unexplained wealth provisions or proceedings.[268] Schedule 6 of the bill would allow officers in Commonwealth, territory and
participating state agencies to use, record or communicate lawfully intercepted
information or interception warrant information under the Telecommunications
(Interception and Access) Act 1979 (TIA Act) for purposes connected with
unexplained wealth proceedings, without having to show a link to a prescribed
offence. This amendment would override the general prohibition in the TIA Act
on using, disclosing, recording and giving in evidence lawfully intercepted
information.[269]
1.277
It would also amend section 68 of the TIA Act to allow the chief officer
of an agency to communicate lawfully intercepted information to the relevant
Commissioner of Police if it relates to the unexplained wealth provisions of
that jurisdiction.[270]
Compatibility of the measure with
the right to privacy
1.278
As the TIA Act was legislated prior to the establishment of the
committee, the scheme has never been required to be subject to a foundational
human rights compatibility assessment in accordance with the terms of the Human
Rights (Parliamentary Scrutiny) Act 2011. A full human rights
assessment of proposed measures which extend or amend existing legislation
requires an assessment of how such measures interact with the existing
legislation. The committee is therefore faced with the difficult task of
assessing the human rights compatibility of an amendment to the TIA Act without
the benefit of a foundational human rights assessment of the Act.
1.279
As noted earlier, the right to privacy includes the right to respect for
private and confidential information, particularly the storing, use and sharing
of such information. It also includes the right to control the dissemination of
information about one's private life. As acknowledged in the statement of
compatibility, schedule 6 of the bill engages and limits the right to privacy
by allowing officers in Commonwealth, territory and participating state
agencies to use, record or communicate lawfully intercepted information or
interception warrant information for a purpose connected with unexplained
wealth proceedings.[271] This may include private communications, including potentially the content of
private telephone conversations and emails.
1.280
The statement of compatibility explains that the legitimate objective of
the amendments is to ensure 'law enforcement authorities are in a position to
effectively combat serious and organised crime' in circumstances where covert
movement of funds often occurs across state and territory borders.[272] While this may be capable of constituting a legitimate objective for the
purposes of international human rights law, further information is required as
to how it addresses a pressing and substantial concern in the context of the
proposed measure. In this respect, the statement of compatibility does not
fully address whether there is a gap in existing abilities to combat serious or
organised crime or why the expanded powers are needed. It is also unclear from
the information provided how the expanded information-sharing arrangements
between law enforcement agencies will be effective to achieve (that is,
rationally connected) to the stated objective.
1.281
As to proportionality, the statement of compatibility identifies
safeguards in the TIA Act relating to disclosure and other protections under
that Act. The statement of compatibility identifies the following safeguards:
- restrictions that prevent Australian law enforcement,
anti-corruption, and national security agencies from accessing communications[273] and telecommunications data[274] except for proper purposes under a warrant or authorisation;
- prohibitions on a range of people associated with the telecommunications
industry, such as employees of carriers and emergency call service people, from
disclosing any information or document relating to a communication, which
includes telecommunications data; and
- requirements that an authorised officer must consider the privacy
of a person before authorising disclosure of particular information, or that
persons who issue warrants must consider the privacy of persons affected by
those warrants.[275]
1.282
The statement of compatibility also states that the TIA Act already allows
for the communication of lawfully intercepted information or interception
warrant information relevant to certain forfeiture matters, and that the
amendments in the bill 'merely extend the existing disclosure laws to ensure
that they cover information relevant to unexplained wealth proceedings'.[276]
1.283
However, there are questions as to whether the safeguards identified in
the statement of compatibility are sufficient for the purposes of international
human rights law. The safeguards identified in the statement of compatibility
relating to warranted access to information are found in Chapters 2 and 3 of
the TIA Act. The committee has not previously considered chapters 2 and 3 of
the TIA Act in detail. The committee has previously noted, however, that while
the warrant regime may assist to ensure that access to private communications
is sufficiently circumscribed, the use of warrants does not provide a complete
answer as to whether chapters 2 and 3 of the TIA Act constitute a proportionate
limit on the right to privacy, as questions arise as to the proportionality of
the broad access that may be granted in relation to 'services' or 'devices'
under these chapters of the TIA Act.[277] This would be of particular relevance in the context of the present amendments
as there would be no requirement to show a link to a prescribed offence before
using the information.
1.284
Accordingly, further information from the minister in relation to the
human rights compatibility of the TIA Act would assist a human rights
assessment of the proposed measures in the context of the TIA Act.
1.285
Further, as noted above, in order for a limitation on the right to
privacy to be proportionate, it must be no more extensive than is strictly
necessary. In this respect, the statement of compatibility does not fully
address why the expanded information sharing powers are necessary or why the
current law is insufficient to address the stated object of the measure. This
raises concerns that the measure may not be sufficiently circumscribed such as
to constitute a proportionate limitation on the right to privacy.
Committee comment
1.286
The committee notes that the Telecommunications (Interception and
Access) Act 1979 (TIA Act) was legislated prior to the establishment of the
committee and has not been the subject of a foundational human rights analysis.
1.287
In light of the human rights concerns regarding the scope of powers
under the TIA Act, the preceding analysis raises questions as to whether the
amendments to the TIA Act introduced by the bill are compatible with the
right to privacy.
1.288
The committee therefore seeks the advice of the minister as to the
compatibility with the right to privacy of allowing officers in Commonwealth,
territory and participating state agencies to use, record or communicate
lawfully intercepted information or interception warrant information under the TIA
Act in an unexplained wealth proceeding without having to show a link to a
prescribed offence, including:
- whether there is reasoning or evidence that establishes that
the stated objective addresses a pressing or substantial concern or whether the
proposed changes are otherwise aimed at achieving a legitimate objective;
- how the measure is effective to achieve (that is, rationally
connected to) that objective;
- whether the limitation is a reasonable and proportionate
measure for the achievement of that objective (including whether the measure is
necessary and sufficiently circumscribed and whether it is accompanied by
adequate and effective safeguards); and
- whether an assessment of the TIA Act could be undertaken to
determine its compatibility with the right to privacy (including in respect of
matters previously raised by the committee).
Advice only
1.289
The committee draws the following bills 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.
Banking System Reform (Separation of Banks) Bill 2018
Purpose |
Seeks to make a range of
reforms to the banking sector, including to limit the activities of banks and
to establish a joint parliamentary committee to oversee the Australian
Prudential Regulation Authority |
Legislation proponent |
The Hon Bob Katter MP |
Introduced |
House of Representatives,
25 June 2018 |
Rights |
Privacy; liberty; quality
of law (see Appendix 2) |
Status |
Advice only |
Offence provisions
1.290
A number of provisions in the bill seek to introduce offences that each
carry a maximum penalty of five years' imprisonment or 1,190 penalty units
($249,900), or both.[278] These offences may apply to individuals.
Compatibility of the measure with human rights
1.291
Article 9 of the International Covenant on Civil and Political Rights (ICCPR)
protects the right to liberty, including the right not to be arbitrarily
detained. The prohibition on arbitrary detention requires that the state should
not deprive a person of their liberty except in accordance with law. The notion
of 'arbitrariness' includes elements of inappropriateness, injustice and lack
of predictability. The UN Human Rights Committee has noted that any substantive
grounds for detention 'must be prescribed by law and should be defined with
sufficient precision to avoid overly broad or arbitrary interpretation or
application'.[279]
1.292
As the offence provisions in the bill provide for a term of
imprisonment, they engage and limit the right to liberty. Under international
human rights law, limitations on the right to liberty may be permissible where
they are reasonable, necessary and proportionate in the individual case. In
these circumstances, deprivation of liberty will not generally constitute
arbitrary detention.
1.293
However, human rights standards require that interferences with rights
must have a clear basis in law. This principle includes the requirement that
laws must satisfy the 'quality of law' test, which means that any measures
which interfere with human rights must be sufficiently certain and accessible,
such that people are able to understand when an interference with their rights
will be justified.
1.294
As drafted, the offence provisions in the bill, which carry potential
terms of imprisonment, may lack sufficient certainty. It is unclear from the
proposed offences the scope of conduct that may be captured by the offence
provisions.[280]
1.295
However, the statement of compatibility does not identify that the
proposed offences engage and limit the right to liberty and instead states that
the bill 'does not engage any of the applicable rights or freedoms'.[281] The statement therefore does not provide an assessment as to whether the
measure is compatible with the right to liberty in accordance with the committee's Guidance Note 1.
Requirement for APRA to provide documents
1.296
Subsection 14(15) of the bill provides that the Australian Prudential
Regulation Authority (APRA) shall provide to the Australian Federal Police,
state police and law enforcement bodies any documents, information or data
requested by such bodies regarding any bank under APRA's regulatory supervision
or which may come to the attention of APRA and which may evidence a breach of
Australian law. A person commits an offence if they evade or attempt to evade
subsection 14(15) or the person is an officer, employee or agent of APRA and
knowingly participates in such a violation.[282]
Compatibility of the measure with
the right to privacy
1.297
The right to privacy includes respect for informational privacy,
including the right to respect for private and confidential information,
particularly the use and sharing of such information and the right to control
the dissemination of information about one's private life. To the extent that
the requirement to provide documents extends to APRA providing information or
documents, which may include personal or confidential information, the proposed
measure engages and may limit the right to privacy.
1.298
The right to privacy may be subject to permissible limitations which are
provided by law and are not arbitrary. In order for limitations not to be
arbitrary, they must seek to achieve a legitimate objective and be rationally
connected (that is, effective to achieve) and proportionate to that objective.
As noted above, the statement of compatibility does not acknowledge that any
human rights are engaged by the bill and accordingly does not provide an
assessment as to the compatibility of the measure with the right to privacy.
Committee comment
1.299
The committee draws the human rights implications of the bill in
respect of the right to liberty, the right to privacy and the quality of law
test to the attention of the legislation proponent and the parliament.
1.300
If the bill proceeds to further stages of debate, the committee
may request information from the legislation proponent as to the compatibility
of the bill with human rights.
Freedom of Speech Legislation Amendment (Censorship)
Bill 2018
Freedom of Speech Legislation Amendment (Insult and Offend) Bill 2018
Freedom of Speech Legislation Amendment (Security)
Bill 2018
Purpose |
Repeal and amend certain
restrictions on communication in Commonwealth laws in relation to
broadcasting and online services; the classification of films, publications
and computer games; offensive or insulting conduct; and the disclosure of
information |
Legislation Proponent |
Senator Leyonhjelm |
Introduced |
Senate, 25 June 2018 |
Rights |
Freedom of expression;
equality and non-discrimination; rights of the child; privacy (see Appendix
2) |
Status |
Advice only |
Amending and removing certain restrictions on communication
1.301
The Freedom of Speech Legislation Amendment (Censorship) Bill 2018
(censorship bill), Freedom of Speech Legislation Amendment (Insult and Offend)
Bill 2018 (insult and offend bill) and the Freedom of Speech Legislation
Amendment (Security) Bill 2018 (security bill) (the bills) are part of a suite
of four bills which seek to repeal or amend various provisions in Commonwealth
laws which restrict communication.[283] The proposed amendments include:
- removing provisions in 23 Commonwealth Acts which prohibit
'offensive or insulting' language and conduct;[284]
- restricting the scope and operation of the disclosure offences in
the Australian Security Intelligence Organisation Act 1979, Crimes
Act 1914 and Criminal Code Act 1995;[285]
- excluding from the 'Refused Classification' (RC) [286] category publications, films or computer games which advocate terrorism;[287]
- restricting the RC classification to publications, films and
computer games which:
- depict or describe, in a way that is likely to cause offence to a
reasonable adult, a person who is, or appears to be, a minor engaged in sexual
activity; or
- promote crime, or incite or instruct in matters of crime;[288]
-
repealing the prohibition on the possession, control and supply
of certain materials in certain areas of the Northern Territory in part 10 of
the Classification (Publications, Films and Computer Games) Act 1995
(Classification Act);[289]
- permitting subscription television broadcasting licensees and
online content services to facilitate access to content classified as
Restricted (X 18+),[290] and, in relation to online services, 'Category 1 Restricted'[291] and 'Category 2 Restricted' material,[292] provided access is subject to a restricted access system;[293] and
- removing the ban on broadcasting electoral advertising
immediately prior to elections.[294]
Compatibility of the measures with
human rights
1.302
The right to freedom of expression protects the communication of information
or ideas through any medium, including written and oral communications, the
media, public protest, broadcasting, artistic works and commercial advertising.[295] As acknowledged by the statements of compatibility, the measures in all three
bills engage the right to freedom of expression.[296]
1.303
The committee has previously examined the compatibility of particular
disclosure offences and particular provisions prohibiting offensive or
insulting conduct with human rights, and has considered that such provisions
engage and limit the right to freedom of expression.[297] While the right to freedom of expression may be subject to permissible
limitations providing particular criteria are met, measures which remove or
limit provisions which restrict communication, such as those contained in these
bills, engage and may promote the right to freedom of expression.
1.304
However, the statements of compatibility do not address other rights
potentially engaged by the bills, including the rights of children, the right
to privacy and the right to equality and non-discrimination, and accordingly do
not provide an assessment as to whether the measures in each bill are
compatible with these rights. For example, in relation to the Censorship Bill:
- the proposed repeal of part 10 of the Classification Act
engages a number of human rights, including the right to equality and
non-discrimination to the extent that the current measures disproportionately
affect Aboriginal and Torres Strait Islander people;[298] and
- the proposed narrowing of the RC classification for films,
publications and computer games may engage the rights of children and the
obligation on states to take all appropriate legislative measures to protect
children from all forms of physical or mental violence, injury or abuse,[299] to
the extent that the current RC classification deters the production and
distribution of material involving the abuse of children.[300]
Committee comment
1.305
The committee draws the human rights implications of the bills to
the attention of the legislation proponent and the parliament.
1.306
If the bills proceed to further stages of debate, the committee
may request information from the legislation proponent with respect to the
compatibility of each bill with human rights.
Bills not raising human rights
concerns
1.307
Of the bills introduced into the Parliament between 25 and 28 June, the following
did not raise human rights concerns (this may be because the bill does not
engage or promotes human rights, and/or permissibly limits human rights):
- Commonwealth Inscribed Stock Amendment (Restoring the Debt
Ceiling) Bill 2018;
- Customs Tariff Amendment (Incorporation of Proposals) Bill 2018;
- Export Control Amendment (Equine Live Export for Slaughter
Prohibition) Bill 2018;
- Fair Work Amendment (A Living Wage) Bill 2018;
- Fair Work Amendment (Restoring Penalty Rates) Bill 2018;
- Family Law Amendment (Family Violence and Cross-examination of
Parties) Bill 2018;
- Legislation Amendment (Sunsetting Review and Other Measures) Bill
2018;
-
Regional, Rural and Remote Education Commissioner Bill 2018;
- Telecommunications Amendment (Giving the Community Rights on
Phone Towers) Bill 2018;
-
Telecommunications Legislation Amendment Bill 2018;
- Therapeutic Goods Amendment (2018 Measures No. 1) Bill 2018; and
- Treasury Laws Amendment (Financial Sector Regulation) Bill 2018.
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